|
10th Jul, 2025 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 32 had been made on 10.07.2025: - - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISINs | INE733E07CQ9/
INE733E07CR7/
NE733E07CS5/
INE733E07CT3
INE733E07CU1 | 2 | Issue Size | Rs 35 Crore | 3 | Interest Amount to be paid on due date | Rs 3,09,72,550/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2025 | 10 | Amount of interest paid | Rs 3,09,72,550/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments : N/A
In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 34 had been made on 10.07.2025: - - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISINs | INE733E07DG8/
INE733E07DH6/
INE733E07DI4/
INE733E07DJ2/
INE733E07DK0 | 2 | Issue Size | Rs 50 Crore | 3 | Interest Amount to be paid on due date | Rs 4,35,50,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2025 | 10 | Amount of interest paid | Rs 4,35,50,000/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments : N/A
In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 35 had been made on 10.07.2025: - - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISINs | INE733E07DU9/
INE733E07DV7/
INE733E07DW5/
INE733E07DX3/
INE733E07DY1/
INE733E07DZ8 | 2 | Issue Size | Rs 48 Crore | 3 | Interest Amount to be paid on due date | Rs 4,21,68,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2025 | 10 | Amount of interest paid | Rs 4,21,68,000/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments : N/A
In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 36 had been made on 10.07.2025: - - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISINs | INE733E07EJ0/
INE733E07EK8/
INE733E07EL6/
INE733E07EM4/
INE733E07EN2/
INE733E07EO0 | 2 | Issue Size | Rs 30 Crore | 3 | Interest Amount to be paid on due date | Rs 2,64,25,800/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2025 | 10 | Amount of interest paid | Rs 2,64,25,800/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments : N/A
In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 38 had been made on 10.07.2025: - - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISINs | INE733E07EZ6/
INE733E07FA6/
INE733E07FB4/
INE733E07FC2/
INE733E07FD0/
INE733E07FE8 | 2 | Issue Size | Rs 30 Crore | 3 | Interest Amount to be paid on due date | Rs 2,75,10,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2025 | 10 | Amount of interest paid | Rs 2,75,10,000/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments : N/A
In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 39 had been made on 10.07.2025: - - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISINs | INE733E07FO7/
INE733E07FP4/
INE733E07FQ2/
INE733E07FR0/
INE733E07FS8/
INE733E07FT6 | 2 | Issue Size | Rs 42 Crore | 3 | Interest Amount to be paid on due date | Rs 3,94,36,320/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2025 | 10 | Amount of interest paid | Rs 3,94,36,320/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments : N/A
In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 40 had been made on 10.07.2025: - - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISINs | INE733E07GC0/
INE733E07GD8/
INE733E07GE6/
INE733E07GF3/
INE733E07GG1/
INE733E07GH9/
INE733E07GI7 | 2 | Issue Size | Rs 35 Crore | 3 | Interest Amount to be paid on due date | Rs 3,34,53,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2025 | 10 | Amount of interest paid | Rs 3,34,53,000/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments : N/A
In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 41 had been made on 10.07.2025: - - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISINs | INE733E07GR8/
INE733E07GS6/
INE733E07GT4/
INE733E07GU2/
NE733E07GV0/
INE733E07GW8/
INE733E07GX6 | 2 | Issue Size | Rs 35 Crore | 3 | Interest Amount to be paid on due date | Rs 3,38,49,550/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2025 | 10 | Amount of interest paid | Rs 3,38,49,550/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments : N/A
In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 43 had been made on 10.07.2025: - - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISINs | INE733E07HL9/
INE733E07HM7/
INE733E07HN5/
INE733E07HO3/
INE733E07HP0/
INE733E07HQ8/
INE733E07HR6 | 2 | Issue Size | Rs 35 Crore | 3 | Interest Amount to be paid on due date | Rs 3,24,00,550/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2025 | 10 | Amount of interest paid | Rs 3,24,00,550/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments : N/A
In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 45 had been made on 10.07.2025: - - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISINs | INE733E07IF9/
INE733E07IG7/
INE733E07IH5/
INE733E07II3/
INE733E07IJ1/
INE733E07IK9/
INE733E07IL7 | 2 | Issue Size | Rs 35 Crore | 3 | Interest Amount to be paid on due date | Rs 3,30,31,600/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2025 | 10 | Amount of interest paid | Rs 3,30,31,600/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments : N/A
In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 46 had been made on 10.07.2025: - - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISINs | INE733E07IT0/
INE733E07IU8/
INE733E07IV6/
INE733E07IW4/
INE733E07IX2/
INE733E07IY0/
INE733E07IZ7/
INE733E07JA8 | 2 | Issue Size | Rs 40 Crore | 3 | Interest Amount to be paid on due date | Rs 3,73,89,200/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2025 | 10 | Amount of interest paid | Rs 3,73,89,200/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments : N/A
In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 32 had been made on 10.07.2025: - - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISINs | INE733E07CQ9/
INE733E07CR7/
INE733E07CS5/
INE733E07CT3
INE733E07CU1 | 2 | Issue Size | Rs 35 Crore | 3 | Interest Amount to be paid on due date | Rs 3,09,72,550/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2025 | 10 | Amount of interest paid | Rs 3,09,72,550/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments : N/A
In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 34 had been made on 10.07.2025: - - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISINs | INE733E07DG8/
INE733E07DH6/
INE733E07DI4/
INE733E07DJ2/
INE733E07DK0 | 2 | Issue Size | Rs 50 Crore | 3 | Interest Amount to be paid on due date | Rs 4,35,50,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2025 | 10 | Amount of interest paid | Rs 4,35,50,000/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments : N/A
In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 35 had been made on 10.07.2025: - - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISINs | INE733E07DU9/
INE733E07DV7/
INE733E07DW5/
INE733E07DX3/
INE733E07DY1/
INE733E07DZ8 | 2 | Issue Size | Rs 48 Crore | 3 | Interest Amount to be paid on due date | Rs 4,21,68,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2025 | 10 | Amount of interest paid | Rs 4,21,68,000/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments : N/A
In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 36 had been made on 10.07.2025: - - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISINs | INE733E07EJ0/
INE733E07EK8/
INE733E07EL6/
INE733E07EM4/
INE733E07EN2/
INE733E07EO0 | 2 | Issue Size | Rs 30 Crore | 3 | Interest Amount to be paid on due date | Rs 2,64,25,800/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2025 | 10 | Amount of interest paid | Rs 2,64,25,800/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments : N/A
In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 38 had been made on 10.07.2025: - - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISINs | INE733E07EZ6/
INE733E07FA6/
INE733E07FB4/
INE733E07FC2/
INE733E07FD0/
INE733E07FE8 | 2 | Issue Size | Rs 30 Crore | 3 | Interest Amount to be paid on due date | Rs 2,75,10,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2025 | 10 | Amount of interest paid | Rs 2,75,10,000/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments : N/A
In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 39 had been made on 10.07.2025: - - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISINs | INE733E07FO7/
INE733E07FP4/
INE733E07FQ2/
INE733E07FR0/
INE733E07FS8/
INE733E07FT6 | 2 | Issue Size | Rs 42 Crore | 3 | Interest Amount to be paid on due date | Rs 3,94,36,320/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2025 | 10 | Amount of interest paid | Rs 3,94,36,320/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments : N/A
In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 40 had been made on 10.07.2025: - - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISINs | INE733E07GC0/
INE733E07GD8/
INE733E07GE6/
INE733E07GF3/
INE733E07GG1/
INE733E07GH9/
INE733E07GI7 | 2 | Issue Size | Rs 35 Crore | 3 | Interest Amount to be paid on due date | Rs 3,34,53,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2025 | 10 | Amount of interest paid | Rs 3,34,53,000/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments : N/A
In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 41 had been made on 10.07.2025: - - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISINs | INE733E07GR8/
INE733E07GS6/
INE733E07GT4/
INE733E07GU2/
INE733E07GV0/
INE733E07GW8/
INE733E07GX6 | 2 | Issue Size | Rs 35 Crore | 3 | Interest Amount to be paid on due date | Rs 3,38,49,550/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2025 | 10 | Amount of interest paid | Rs 3,38,49,550/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments : N/A
In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 43 had been made on 10.07.2025: - - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISINs | INE733E07HL9/
INE733E07HM7/
INE733E07HN5/
INE733E07HO3/
INE733E07HP0/
INE733E07HQ8/
INE733E07HR6 | 2 | Issue Size | Rs 35 Crore | 3 | Interest Amount to be paid on due date | Rs 3,24,00,550/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2025 | 10 | Amount of interest paid | Rs 3,24,00,550/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments : N/A
In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 45 had been made on 10.07.2025: - - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISINs | INE733E07IF9/
INE733E07IG7/
INE733E07IH5/
INE733E07II3/
INE733E07IJ1/
INE733E07IK9/
INE733E07IL7 | 2 | Issue Size | Rs 35 Crore | 3 | Interest Amount to be paid on due date | Rs 3,30,31,600/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2025 | 10 | Amount of interest paid | Rs 3,30,31,600/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments : N/A
In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 46 had been made on 10.07.2025: - - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISINs | INE733E07IT0/
INE733E07IU8/
INE733E07IV6/
INE733E07IW4/
INE733E07IX2/
INE733E07IY0/
INE733E07IZ7/
INE733E07JA8 | 2 | Issue Size | Rs 40 Crore | 3 | Interest Amount to be paid on due date | Rs 3,73,89,200/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2025 | 10 | Amount of interest paid | Rs 3,73,89,200/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments : N/A
|
03rd Jul, 2025 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 55 are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 55 | INE733E07JQ4 | 06-08-2025 | 21-08-2025 |
In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 62 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 62 | INE733E07KE8 | 11-08-2025 | 25-08-2025 |
In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 78 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 78 | INE733E08221 | 11-08-2025 | 25-08-2025 |
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10th Jun, 2025 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 34 STRPP I had been made on 10.06.2025:- - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISIN | INE733E07DF0 | 2 | Issue Size | ₹ 10,00,00,000/- | 3 | Interest Amount to be paid on due date | ₹ 79,94,110/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 26/05/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/06/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/06/2025 | 10 | Amount of interest paid | ₹ 79,94,110/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments :
Sr. No. | Particulars | Details | 1 | ISIN | INE733E07DF0 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
- By face value redemption
- By quantity redemption
| N/A | 4 | If redemption is based on quantity, specify, whether on:
- Lot basis
- Pro-rata basis
| N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 1000 | 9 | Due date for redemption/ maturity | 10/06/2025 | 10 | Actual date for redemption (DD/MM/YYYY) | 10/06/2025 | 11 | Amount redeemed | ₹ 10,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 10/07/2024 |
|
09th Jun, 2025 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 39 STRPP I had been made on 09.06.2025:- - Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISIN | INE733E07FN9 | 2 | Issue Size | ₹ 7,00,00,000/- | 3 | Interest Amount to be paid on due date | ₹ 60,14,489/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 26/05/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 09/06/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 09/06/2025 | 10 | Amount of interest paid | ₹ 60,14,489/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments :
Sr. No. | Particulars | Details | 1 | ISIN | INE733E07FN9 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
- By face value redemption
- By quantity redemption
| N/A | 4 | If redemption is based on quantity, specify, whether on:
- Lot basis
- Pro-rata basis
| N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 700 | 9 | Due date for redemption/ maturity | 09/06/2025 | 10 | Actual date for redemption (DD/MM/YYYY) | 09/06/2025 | 11 | Amount redeemed | ₹ 7,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 10/07/2024 |
|
05th Jun, 2025 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 71 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 71 | INE733E08155 | 16-07-2025 | 31-07-2025 |
In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 40 (STRPP I) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 40 (STRPP I) | INE733E07GC0 | 14-07-2025 | 29-07-2025 |
In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 46 (STRPP H) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 46 (STRPP H) | INE733E07IT0 | 07-07-2025 | 21-07-2025 |
In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 69 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 69 | INE733E07KL3 | 02-07-2025 | 17-07-2025 |
In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 46 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 46 | INE733E07IT0
INE733E07IU8
INE733E07IV6
INE733E07IW4
INE733E07IX2
INE733E07IY0
INE733E07IZ7
INE733E07JA8 | 25-06-2025 | 10-07-2025 |
In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 45 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 45 | INE733E07IF9
INE733E07IG7
INE733E07IH5
INE733E07II3
INE733E07IJ1
INE733E07IK9
INE733E07IL7 | 25-06-2025 | 10-07-2025 |
In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 43 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 43 | INE733E07HL9
INE733E07HM7
INE733E07HN5
INE733E07HO3
INE733E07HP0
INE733E07HQ8
INE733E07HR6 | 25-06-2025 | 10-07-2025 |
In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 41 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 41 | INE733E07GR8
INE733E07GS6
INE733E07GT4
INE733E07GU2
INE733E07GV0
INE733E07GW8
INE733E07GX6 | 25-06-2025 | 10-07-2025 |
In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 40 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 40 | INE733E07GC0
INE733E07GD8
INE733E07GE6
INE733E07GF3
INE733E07GG1
INE733E07GH9
INE733E07GI7 | 25-06-2025 | 10-07-2025 |
In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 39 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 39 | INE733E07FO7
INE733E07FP4
INE733E07FQ2
INE733E07FR0
INE733E07FS8
INE733E07FT6 | 25-06-2025 | 10-07-2025 |
In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 38 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 38 | INE733E07EZ6
INE733E07FA6
INE733E07FB4
INE733E07FC2
INE733E07FD0
INE733E07FE8 | 25-06-2025 | 10-07-2025 |
In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 36 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 36 | INE733E07EJ0
INE733E07EK8
INE733E07EL6
INE733E07EM4
INE733E07EN2
INE733E07EO0 | 25-06-2025 | 10-07-2025 |
In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 35 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 35 | INE733E07DU9
INE733E07DV7
INE733E07DW5
INE733E07DX3
INE733E07DY1
INE733E07DZ8 | 25-06-2025 | 10-07-2025 |
In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 34 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 34 | INE733E07DG8
INE733E07DH6
INE733E07DI4
INE733E07DJ2
INE733E07DK0 | 25-06-2025 | 10-07-2025 |
In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 32 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 32 | INE733E07CQ9
INE733E07CR7
INE733E07CS5
INE733E07CT3
INE733E07CU1 | 25-06-2025 | 10-07-2025 |
|
27th May, 2025 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 61 had been made on 27.05.2025: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISINs | INE733E07KC2/
INE733E07KD0 | 2 | Issue Size | Rs 715 Crore | 3 | Interest Amount to be paid on due date | Rs 57,91,50,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 13/05/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 27/05/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 27/05/2025 | 10 | Amount of interest paid | Rs 57,91,50,000/- | 11 | Date of last interest payment | 27/05/2024 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
16th May, 2025 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 45 STRPP H had been made on 16.05.2025:-
a) Whether interest payment / redemption payment made: Yes
b) Details of interest payment: Sr. No. | Particulars | Details | 1 | ISIN | INE733E07IE2 | 2 | Issue Size | Rs 5,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 40,07,748/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 02/05/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 16/05/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 16/05/2025 | 10 | Amount of interest paid | Rs 40,07,748/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07IE2 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 500 | 9 | Due date for redemption/ maturity | 16/05/2025 | 10 | Actual date for redemption (DD/MM/YYYY) | 16/05/2025 | 11 | Amount redeemed | Rs 5,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 10/07/2024 |
|
16th May, 2025 | NTPC Ltd. Bonds Series 45 - STRPP H (ISIN INE733E07IE2) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.4376% 2025
(S- XLV) STRPP-H | PT | 16.05.2025 |
The said Bonds had matured on 16.05.2025 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
5th May, 2025 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 60 had been made on 05.05.2025: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07KA6 | 2 | Issue Size | Rs 1,000 Crore | 3 | Interest Amount to be paid on due date | Rs 80,27,94,519/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 21/04/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 05/05/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 05/05/2025 | 10 | Amount of interest paid | Rs 80,27,94,519/- | 11 | Date of last interest payment | 06/05/2024 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
3 rd May, 2025 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest/ Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 44 had been made on 03.05.2025:-
a) Whether interest payment / redemption payment made: Yes
b) Details of interest payment: Sr. No. | Particulars | Details | 1 | ISIN | INE733E07HU0/INE733E07HV8/
INE733E07HW6 | 2 | Issue Size | Rs 300,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 27,67,39,732/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 21/04/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 03/05/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 03/05/2025 | 10 | Amount of interest paid | Rs 27,67,39,732/- | 11 | Date of last interest payment | 04/05/2024 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07HU0 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 5000 | 9 | Due date for redemption/ maturity | 03/05/2025 | 10 | Actual date for redemption (DD/MM/YYYY) | 03/05/2025 | 11 | Amount redeemed | Rs 100,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 04/05/2024 |
|
3 rd May, 2025 | NTPC Ltd. Bonds Series 44 - STRPP C (ISIN INE733E07HU0) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under: Security Description | Security Type | Maturity Date | NTPC 9.25% 2025
(S- XLIV) STRPP-C | PT | 03.05.2025 |
The said Bonds had matured on 03.05.2025 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
01 st May, 2025 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 39 (STRPP I) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 39
(STRPP I) | INE733E07FN9 | 26-05-2025 | 09-06-2025 |
|
01 st May, 2025 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 34 (STRPP J) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 34
(STRPP J) | INE733E07DF0 | 26-05-2025 | 10-06-2025 |
|
21th April, 2025 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 74 had been made on 21.04.2025: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E08189 | 2 | Issue Size | Rs 3,996 Crore | 3 | Interest Amount to be paid on due date | Rs 274,52,52,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 07/04/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 21/04/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 21/04/2025 | 10 | Amount of interest paid | Rs 274,52,52,000/- | 11 | Date of last interest payment | 20/04/2024 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
17th April, 2025 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 80 had been made on 17.04.2025: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E08247 | 2 | Issue Size | Rs 3,000 Crore | 3 | Interest Amount to be paid on due date | Rs 220,50,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 02/04/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 17/04/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 17/04/2025 | 10 | Amount of interest paid | Rs 220,50,00,000/- | 11 | Date of last interest payment | 17/04/2024 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
2 nd April, 2025 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 61 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 61 | INE733E07KC2
INE733E07KD0 | 13-05-2025 | 27-05-2025 |
|
2 nd April, 2025 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 45 (STRPP H) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 45
(STRPP H) | INE733E07IE2 | 02-05-2025 | 16-05-2025 |
|
2 nd April, 2025 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 60 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 60 | INE733E07KA6 | 21-04-2025 | 05-05-2025 |
|
2 nd April, 2025 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date / Interest Payment Date for NTPC Ltd. Bonds – Series 44 are detailed below:- Bond Series | ISIN | Record Date | Nature Of Payment | Payment Date |
44 | INE733E07HU0
______________ INE733E07HV8
INE733E07HW6 | 21-04-2025 | Redemption & Interest thereon
_______________________________ Interest | 03-05-2025 |
|
25th March, 2025 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 32 STRPP J had been made on 25.03.2025:-
a) Whether interest payment / redemption payment made: Yes
b) Details of interest payment: Sr. No. | Particulars | Details | 1 | ISIN | INE733E07CP1 | 2 | Issue Size | Rs 7,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 43,78,585/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 10/03/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 25/03/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 25/03/2025 | 10 | Amount of interest paid | Rs 43,78,585/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07CP1 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 700 | 9 | Due date for redemption/ maturity | 25/03/2025 | 10 | Actual date for redemption (DD/MM/YYYY) | 25/03/2025 | 11 | Amount redeemed | Rs 7,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 10/07/2024 |
|
25th March, 2025 | NTPC Ltd. Bonds Series 32 - STRPP J (ISIN INE733E07CP1) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.8493% 2025
(S-XXXII) STRPP-J | PT | 25.03.2025 |
The said Bonds had matured on 25.03.2025 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
25th March, 2025 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Final Partial Redemption Payment of Rs 5/- along with Interest for the following ISIN of NTPC Ltd. Bonus Debentures had been made on 25.03.2025:-
a) Whether interest payment / redemption payment made: Yes
b) Details of interest payment: Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JP6 | 2 | Issue Size | Rs 10306,83,05,000/- | 3 | Interest Amount to be paid on due date | Rs 352,89,68,633.81 | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 10/03/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 25/03/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 25/03/2025 | 10 | Amount of interest paid | Rs 352,89,68,633.81 | 11 | Date of last interest payment | 22/03/2024 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JP6 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 8245464400 | 9 | Due date for redemption/ maturity | 25/03/2025 | 10 | Actual date for redemption (DD/MM/YYYY) | 25/03/2025 | 11 | Amount redeemed | Rs 4122,73,22,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 22/03/2024 |
Post final partial redemption payment of Rs 5/- per debenture, the debenture stands fully redeemed. |
25th March, 2025 | NTPC Ltd. Bonus Debentures (ISIN INE733E07JP6) are listed on the Debt Market Segment of your NSE & BSE. The Security description given to the said Debentures by Exchanges is as under:- ISIN | Security Description | Security Type | Maturity Date | INE733E07JP6 | NTPC-8.49%-25-03-2025-NCD | Public Issue | 25.03.2025 |
The said Debentures had matured on 25.03.2025 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE & BSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchanges. |
24th March, 2025 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 38 STRPP I had been made on 24.03.2025:-
a) Whether interest payment / redemption payment made: Yes
b) Details of interest payment: Sr. No. | Particulars | Details | 1 | ISIN | INE733E07EY9 | 2 | Issue Size | Rs 5,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 32,28,342/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 10/03/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 24/03/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 24/03/2025 | 10 | Amount of interest paid | Rs 32,28,342/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07EY9 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 500 | 9 | Due date for redemption/ maturity | 24/03/2025 | 10 | Actual date for redemption (DD/MM/YYYY) | 24/03/2025 | 11 | Amount redeemed | Rs 5,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 10/07/2024 |
|
24th March, 2025 | NTPC Ltd. Bonds Series 38 - STRPP I (ISIN INE733E07EY9) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.17% 2025
(S-XXXVIII) STRPP-I | PT | 24.03.2025 |
The said Bonds had matured on 24.03.2025 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
21 st March, 2025 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 81 had been made on 21.03.2025: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E08254 | 2 | Issue Size | Rs 1,500 Crore | 3 | Interest Amount to be paid on due date | Rs 112,20,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 06/03/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 21/03/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 21/03/2025 | 10 | Amount of interest paid | Rs 112,20,00,000/- | 11 | Date of last interest payment | N/A | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
4th March, 2025 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds Series 51-B & Series 51-C had been made on 04.03.2025: -
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISINs | INE733E07JL5/INE733E07JM3 | 2 | Issue Size | Rs 425 Crore | 3 | Interest Amount to be paid on due date | Rs 36,61,35,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 17/02/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 04/03/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 04/03/2025 | 10 | Amount of interest paid | Rs 36,61,35,000/- | 11 | Date of last interest payment | 04/03/2024 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A
In continuation to our Disclosure Ref: FA/Bonds/DS/RDI/54 dated 10.02.2025 regarding fixation of Record Date and the Final Partial Repayment (Face Value Reduction) along with Interest Date for NTPC Ltd. Bonds – Series 54 in terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015. It is further intimated that Post final partial redemption payment of Rs 5/- per debenture on due date, the debenture shall stand fully redeemed as per details below:- Bond Series | 54 | ISIN | INE733E07JP6 | Record Date | 10-03-2025 | Partial Repayment & Interest Date | 25-03-2025 | Current Face Value per NCD | Rs 5/- | Face Value per NCD to be redeemed | Rs 5/- | Post Redemption Face Value per NCD | Nil |
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3rd March, 2025 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 74 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 80 | INE733E08247 | 02-04-2025 | 17-04-2025 |
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3rd March, 2025 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 74 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 74 | INE733E08189 | 07-04-2025 | 21-04-2025 |
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3rd March, 2025 | NTPC Ltd. Bonds Series 43 - STRPP H (ISIN INE733E07HK1) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.2573% 2025
(S-XLIII) STRPP-H | PT | 03.03.2025 |
The said Bonds had matured on 03.03.2025 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
3rd March, 2025 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 43 STRPP H had been made on 03.03.2025:-
a) Whether interest payment / redemption payment made: Yes
b) Details of interest payment: Sr. No. | Particulars | Details | 1 | ISIN | INE733E07HK1 | 2 | Issue Size | Rs 5,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 29,92,771/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 17/02/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 03/03/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 03/03/2025 | 10 | Amount of interest paid | Rs 29,92,771/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07HK1 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 500 | 9 | Due date for redemption/ maturity | 03/03/2025 | 10 | Actual date for redemption (DD/MM/YYYY) | 03/03/2025 | 11 | Amount redeemed | Rs 5,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 10/07/2024 |
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10th February, 2025 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 43 (STRPP H) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 43
(STRPP H) | INE733E07HK1 | 17-02-2025 | 03-03-2025 |
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10th February, 2025 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 56 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 51-B 51-C | INE733E07JL5 INE733E07JM3 | 17-02-2025 | 04-03-2025 |
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10th February, 2025 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 81 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 81 | INE733E08254 | 06-03-2025 | 21-03-2025 |
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10th February, 2025 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 38 (STRPP I) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 38
(STRPP I) | INE733E07EY9 | 10-03-2025 | 24-03-2025 |
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10th February, 2025 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 32 (STRPP J) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 32
(STRPP J) | INE733E07CP1 | 10-03-2025 | 25-03-2025 |
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10th February, 2025 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Final Partial Repayment along with Interest Date for NTPC Ltd. Bonds – Series 54 are detailed below:- Bond Series | ISIN | Record Date | Partial Repayment & Interest Date | 54 | INE733E07JP6 | 10-03-2025 | 25-03-2025 |
Post final partial redemption payment of Rs 5/- per debenture on due date, the debenture shall stand fully redeemed. |
27th January, 2025 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 73 had been made on 27.01.2025: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E08171 | 2 | Issue Size | Rs 2,500 Crore | 3 | Interest Amount to be paid on due date | Rs 160,75,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 13/01/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 27/01/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 27/01/2025 | 10 | Amount of interest paid | Rs 160,75,00,000/- | 11 | Date of last interest payment | 29/01/2024 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
24th January, 2025 | NTPC Ltd. Bonds Series 42 - STRPP C (ISIN INE733E07HA2) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.00% 2025
(S- XLII) STRPP-C | PT | 24.01.2025 |
The said Bonds had matured on 24.01.2025 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
24th January, 2025 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest/ Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 42 had been made on 24.01.2025:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07HA2/INE733E07HB0/
INE733E07HC8 | 2 | Issue Size | Rs 300,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 26,92,62,295/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 09/01/2025 | 8 | Due date for interest payment (DD/MM/YYYY) | 24/01/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 24/01/2025 | 10 | Amount of interest paid | Rs 26,92,62,295/- | 11 | Date of last interest payment | 25/01/2024 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07HA2 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 5000 | 9 | Due date for redemption/ maturity | 24/01/2025 | 10 | Actual date for redemption (DD/MM/YYYY) | 24/01/2025 | 11 | Amount redeemed | Rs 100,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 25/01/2024 |
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15th January, 2025 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 67 had been made on 15.01.2025: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07KJ7 | 2 | Issue Size | Rs 4,000 Crore | 3 | Interest Amount to be paid on due date | Rs 332,00,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 31/12/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 15/01/2025 | 9 | Actual date for interest payment (DD/MM/YYYY) | 15/01/2025 | 10 | Amount of interest paid | Rs 332,00,00,000/- | 11 | Date of last interest payment | 15/01/2024 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
23 rd December, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 41 STRPP H had been made on 23.12.2024:-
a) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07GQ0 | 2 | Issue Size | Rs 5,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 21,99,227/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 09/12/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 23/12/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 23/12/2024 | 10 | Amount of interest paid | Rs 21,99,227/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
b) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07GQ0 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 500 | 9 | Due date for redemption/ maturity | 23/12/2024 | 10 | Actual date for redemption (DD/MM/YYYY) | 23/12/2024 | 11 | Amount redeemed | Rs 5,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 10/07/2024 |
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20th December, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 76 had been made on 20.12.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E08205 | 2 | Issue Size | Rs 1,175 Crore | 3 | Interest Amount to be paid on due date | Rs 79,19,50,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 05/12/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 20/12/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 20/12/2024 | 10 | Amount of interest paid | Rs 79,19,50,000/- | 11 | Date of last interest payment | 20/12/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
16th December, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 66 had been made on 16.12.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07KI9 | 2 | Issue Size | Rs 3,925 Crore | 3 | Interest Amount to be paid on due date | Rs 2,90,85,32,242/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 02/12/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 16/12/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 16/12/2024 | 10 | Amount of interest paid | Rs 2,90,85,32,242/- | 11 | Date of last interest payment | 14/12/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
16th December, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 35 STRPP I had been made on 17.09.2024:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07EI2 | 2 | Issue Size | Rs 5,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 19,18,585/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 02/12/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 16/12/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 16/12/2024 | 10 | Amount of interest paid | Rs 19,18,585/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07EI2 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 500 | 9 | Due date for redemption/ maturity | 16/12/2024 | 10 | Actual date for redemption (DD/MM/YYYY) | 16/12/2024 | 11 | Amount redeemed | Rs 5,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 10/07/2024 |
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16th December, 2024 | NTPC Ltd. Bonds Series 36 - STRPP I (ISIN INE733E07EI2) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.8086% 2024
(S-XXXVI) STRPP-I | PT | 16.12.2024 |
The said Bonds had matured on 16.12.2024 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
16th December, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 57 had been made on 16.12.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISINs | INE733E07JX0 | 2 | Issue Size | Rs 500 Crore | 3 | Interest Amount to be paid on due date | Rs 41,06,18,856/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 02/12/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 16/12/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 16/12/2024 | 10 | Amount of interest paid | Rs 41,06,18,856/- | 11 | Date of last interest payment | 15/12/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
16th December, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Tax Free Bonds 2013 had been made on 16.12.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISINs | INE733E07JF7/INE733E07JG5/
INE733E07JI1/INE733E07JJ9 | 2 | Issue Size | Rs 1,053.33 Crore | 3 | Interest Amount to be paid on due date | Rs 91,59,96,850/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 02/12/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 16/12/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 16/12/2024 | 10 | Amount of interest paid | Rs 91,59,96,850/- | 11 | Date of last interest payment | 16/12/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
16th December, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 79 had been made on 16.12.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISINs | INE733E08239 | 2 | Issue Size | Rs 500 Crore | 3 | Interest Amount to be paid on due date | Rs 37,20,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 02/12/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 16/12/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 16/12/2024 | 10 | Amount of interest paid | Rs 37,20,00,000/- | 11 | Date of last interest payment | 16/12/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
2 nd December, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 73 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 73 | INE733E08171 | 13-01-2025 | 27-01-2025 |
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2 nd December, 2024 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date / Interest Payment Date for NTPC Ltd. Bonds – Series 42 are detailed below:- Bond Series | ISIN | Record Date | Nature Of Payment | Payment Date |
42 | INE733E07HA2
______________ INE733E07HB0
INE733E07HC8 | 09-01-2025 | Redemption & Interest thereon
_______________________________ Interest | 24-01-2025 |
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2 nd December, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 67 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 67 | INE733E07KJ7 | 31-12-2024 | 15-01-2025 |
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7th November, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 64 had been made on 07.11.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISINs | INE733E07KG3 | 2 | Issue Size | Rs 700 Crore | 3 | Interest Amount to be paid on due date | Rs 52,43,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 23/10/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 07/11/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 07/11/2024 | 10 | Amount of interest paid | Rs 52,43,00,000/- | 11 | Date of last interest payment | 07/11/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
6th November, 2024 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 41 (STRPP H) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 41
(STRPP H) | INE733E07GQ0 | 09-12-2024 | 23-12-2024 |
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6th November, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 76 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 76 | INE733E08205 | 05-12-2024 | 20-12-2024 |
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6th November, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 79 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 79 | INE733E08239 | 02-12-2024 | 16-12-2024 |
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6th November, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 50 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 50-2A
50-3A
50-2B
50-3B | INE733E07JF7
INE733E07JG5
INE733E07JI1
INE733E07JJ9 | 02-12-2024 | 16-12-2024 |
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6th November, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 57 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 57 | INE733E07JX0 | 02-12-2024 | 16-12-2024 |
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6th November, 2024 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 36 (STRPP I) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 36
(STRPP I) | INE733E07EI2 | 02-12-2024 | 16-12-2024 |
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6th November, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 66 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 66 | INE733E07KI9 | 02-12-2024 | 16-12-2024 |
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15th October, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 72 had been made on 15.10.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISINs | INE733E08163 | 2 | Issue Size | Rs 4,000 Crore | 3 | Interest Amount to be paid on due date | Rs 218,00,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 30/09/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 15/10/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 15/10/2024 | 10 | Amount of interest paid | Rs 218,00,00,000/- | 11 | Date of last interest payment | 16/10/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
5th October, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 56 had been made on 05.10.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISINs | INE733E07JR2/INE733E07JS0/
INE733E07JT8/INE733E07JU6/
INE733E07JV4/INE733E07JW2 | 2 | Issue Size | Rs 700 Crore | 3 | Interest Amount to be paid on due date | Rs 51,58,84,852/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 20/09/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 05/10/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 05/10/2024 | 10 | Amount of interest paid | Rs 51,58,84,852/- | 11 | Date of last interest payment | 05/10/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
1 st October, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 64 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 64 | INE733E07KG3 | 23-10-2024 | 07-11-2024 |
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21th September, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 53 had been made on 21.09.2024:-a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JO9 | 2 | Issue Size | Rs 1000,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 91,44,94,533/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 06/09/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 21/09/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 21/09/2024 | 10 | Amount of interest paid | Rs 91,44,94,533/- | 11 | Date of last interest payment | 22/09/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JO9 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 10000 | 9 | Due date for redemption/ maturity | 21/09/2024 | 10 | Actual date for redemption (DD/MM/YYYY) | 21/09/2024 | 11 | Amount redeemed | Rs 1000,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 22/09/2023 |
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21th September, 2024 | NTPC Ltd. Bonds Series 53 (ISIN INE733E07JO9) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.17% 2024 SR-53 | PT | 21.09.2024 |
The said Bonds had matured on 21.09.2024 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
17th September, 2024 | NTPC Ltd. Bonds Series 35 - STRPP I (ISIN INE733E07DT1) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.785% 2024
(S-XXXV) STRPP-I | PT | 17.09.2024 |
The said Bonds had matured on 17.09.2024 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
17th September, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 35 STRPP I had been made on 17.09.2024:-a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07DT1 | 2 | Issue Size | Rs 8,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 13,28,581/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 28/08/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 17/09/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 17/09/2024 | 10 | Amount of interest paid | Rs 13,28,581/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07DT1 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 800 | 9 | Due date for redemption/ maturity | 17/09/2024 | 10 | Actual date for redemption (DD/MM/YYYY) | 17/09/2024 | 11 | Amount redeemed | Rs 8,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 10/07/2024 |
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17th September, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 63 had been made on 17.09.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07KF5 | 2 | Issue Size | Rs 670 Crore | 3 | Interest Amount to be paid on due date | Rs 50,18,57,459/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 02/09/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 17/09/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 17/09/2024 | 10 | Amount of interest paid | Rs 50,18,57,459/- | 11 | Date of last interest payment | 16/09/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
13th September, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 75 had been made on 13.09.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E08197 | 2 | Issue Size | Rs 3,000 Crore | 3 | Interest Amount to be paid on due date | Rs 200,70,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 29/08/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 13/09/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 13/09/2024 | 10 | Amount of interest paid | Rs 200,70,00,000/- | 11 | Date of last interest payment | 13/09/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
3 rd September, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 72 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 72 | INE733E08163 | 30-09-2024 | 15-10-2024 |
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3 rd September, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 56 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 56-1A
56-2A
56-3A
56-1B
56-2B
56-3B | INE733E07JR2
INE733E07JS0
INE733E07JT8
INE733E07JU6
INE733E07JV4
INE733E07JW2 | 20-09-2024 | 05-10-2024 |
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26th August, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 78 had been made on 26.08.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E08221 | 2 | Issue Size | Rs 2,000 Crore | 3 | Interest Amount to be paid on due date | Rs 148,80,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 12/08/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 26/08/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 26/08/2024 | 10 | Amount of interest paid | Rs 148,80,00,000/- | 11 | Date of last interest payment | 25/08/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
23 rd August, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 62 had been made on 23.08.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07KE8 | 2 | Issue Size | Rs 800 Crore | 3 | Interest Amount to be paid on due date | Rs 60,64,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 08/08/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 23/08/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 23/08/2024 | 10 | Amount of interest paid | Rs 60,64,00,000/- | 11 | Date of last interest payment | 23/08/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
21 st August, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 55 had been made on 21.08.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JQ4 | 2 | Issue Size | Rs 300 Crore | 3 | Interest Amount to be paid on due date | Rs 21,45,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 06/08/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 21/08/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 21/08/2024 | 10 | Amount of interest paid | Rs 21,45,00,000/- | 11 | Date of last interest payment | 21/08/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
05th July, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 75 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment date |
---|
75 | INE733E08197 | 29-08-2024 | 13-09-2024 |
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05th July, 2024 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 35 (STRPP I) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date |
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35
(STRPP I) | INE733E07DT1 | 28-08-2024 | 17-09-2024 |
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05th July, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 63 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment date |
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63 | INE733E07KF5 | 02-09-2024 | 17-09-2024 |
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05th July, 2024 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 53 are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date |
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53 | INE733E07JO9 | 06-09-2024 | 21-09-2024 |
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31 st July, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 71 had been made on 31.07.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E08155 | 2 | Issue Size | ₹ 1,000 Crore | 3 | Interest Amount to be paid on due date | ₹ 62,90,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 16/07/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 31/07/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 31/07/2024 | 10 | Amount of interest paid | ₹ 62,90,00,000/- | 11 | Date of last interest payment | 31/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
29th July, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 40 STRPP H had been made on 29.07.2024:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07GB2 | 2 | Issue Size | Rs 5,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 2,48,770/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 15/07/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 29/07/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 29/07/2024 | 10 | Amount of interest paid | Rs 2,48,770/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07GB2 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 500 | 9 | Due date for redemption/ maturity | 29/07/2024 | 10 | Actual date for redemption (DD/MM/YYYY) | 29/07/2024 | 11 | Amount redeemed | Rs 5,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 10/07/2024 |
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29th July, 2024 | NTPC Ltd. Bonds Series 40 – STRPP H (ISIN INE733E07GB2) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by your Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.558% 2024
(S-XL) STRPP-H | PT | 29.07.2024 |
The said Bonds had matured on 29.07.2024 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
20th July, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 46 STRPP G had been made on 20.07.2024:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07IS2 | 2 | Issue Size | Rs 5,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 1,28,045/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 05/07/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 20/07/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 20/07/2024 | 10 | Amount of interest paid | Rs 1,28,045/- | 11 | Date of last interest payment | 10/07/2024 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07IS2 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 500 | 9 | Due date for redemption/ maturity | 20/07/2024 | 10 | Actual date for redemption (DD/MM/YYYY) | 20/07/2024 | 11 | Amount redeemed | Rs 5,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 10/07/2024 |
|
20th July, 2024 | NTPC Ltd. Bonds Series 46 – STRPP G (ISIN INE733E07IS2) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.3473% 2024
(S-XLVI) STRPP-G | PT | 20.07.2024 |
The said Bonds had matured on 20.07.2024 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
18th July, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 69 had been made on 18.07.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07KL3 | 2 | Issue Size | Rs 4,300 Crore | 3 | Interest Amount to be paid on due date | Rs 314,76,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 03/07/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 18/07/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 18/07/2024 | 10 | Amount of interest paid | Rs 314,76,00,000/- | 11 | Date of last interest payment | 17/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
10th July, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 46 had been made on 10.07.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07IS2/INE733E07IT0/
INE733E07IU8/INE733E07IV6/
INE733E07IW4/INE733E07IX2/
INE733E07IY0/INE733E07IZ7/
INE733E07JA8 | 2 | Issue Size | Rs 45 Crore | 3 | Interest Amount to be paid on due date | Rs 4,20,62,850/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2024 | 10 | Amount of interest paid | Rs 4,20,62,850/- | 11 | Date of last interest payment | 10/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
10th July, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 45 had been made on 10.07.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07IE2/INE733E07IF9/
INE733E07IG7/INE733E07IH5/
INE733E07II3/INE733E07IJ1/
INE733E07IK9/INE733E07IL7 | 2 | Issue Size | Rs 40 Crore | 3 | Interest Amount to be paid on due date | Rs 3,77,50,400/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2024 | 10 | Amount of interest paid | Rs 3,77,50,400/- | 11 | Date of last interest payment | 10/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
10th July, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 43 had been made on 10.07.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07HK1/INE733E07HL9/
INE733E07HM7/INE733E07HN5/
INE733E07HO3/INE733E07HP0/
INE733E07HQ8/INE733E07HR6 | 2 | Issue Size | Rs 40 Crore | 3 | Interest Amount to be paid on due date | Rs 3,70,29,200/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2024 | 10 | Amount of interest paid | Rs 3,70,29,200/- | 11 | Date of last interest payment | 10/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
10th July, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 41 had been made on 10.07.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07GQ0/INE733E07GR8/
INE733E07GS6/INE733E07GT4/
INE733E07GU2/INE733E07GV0/
INE733E07GW8/INE733E07GX6 | 2 | Issue Size | Rs 40 Crore | 3 | Interest Amount to be paid on due date | Rs 3,86,85,200/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2024 | 10 | Amount of interest paid | Rs 3,86,85,200/- | 11 | Date of last interest payment | 10/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
10th July, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 40 had been made on 10.07.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07GB2/INE733E07GC0/
INE733E07GD8/INE733E07GE6/
INE733E07GF3/INE733E07GG1/
INE733E07GH9/INE733E07GI7 | 2 | Issue Size | Rs 40 Crore | 3 | Interest Amount to be paid on due date | Rs 3,82,32,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/06/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2024 | 10 | Amount of interest paid | Rs 3,82,32,000/- | 11 | Date of last interest payment | 10/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
10th July, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 39 had been made on 10.07.2024: a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07FN9/INE733E07FO7/
INE733E07FP4/INE733E07FQ2/
INE733E07FR0/INE733E07FS8/
INE733E07FT6 | 2 | Issue Size | Rs 49 Crore | 3 | Interest Amount to be paid on due date | Rs 4,60,09,040/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 04/07/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2024 | 10 | Amount of interest paid | Rs 4,60,09,040/- | 11 | Date of last interest payment | 10/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
10th July, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 38 had been made on 10.07.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07EY9/INE733E07EZ6/
INE733E07FA6/INE733E07FB4/
INE733E07FC2/INE733E07FD0/
INE733E07FE8 | 2 | Issue Size | Rs 35 Crore | 3 | Interest Amount to be paid on due date | Rs 3,20,95,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 04/07/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2024 | 10 | Amount of interest paid | Rs 3,20,95,000/- | 11 | Date of last interest payment | 10/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
10th July, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 36 had been made on 10.07.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07EI2/INE733E07EJ0/
INE733E07EK8/INE733E07EL6/
INE733E07EM4/INE733E07EN2/
INE733E07EO0 | 2 | Issue Size | Rs 35 Crore | 3 | Interest Amount to be paid on due date | Rs 3,08,30,100/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 20/06/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2024 | 10 | Amount of interest paid | Rs 3,08,30,100/- | 11 | Date of last interest payment | 10/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
10th July, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 35 had been made on 10.07.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07DT1/INE733E07DU9/
INE733E07DV7/INE733E07DW5/
INE733E07DX3/INE733E07DY1/
INE733E07DZ8 | 2 | Issue Size | Rs 56 Crore | 3 | Interest Amount to be paid on due date | Rs 4,91,96,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 20/06/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2024 | 10 | Amount of interest paid | Rs 4,91,96,000/- | 11 | Date of last interest payment | 10/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
10th July, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 34 had been made on 10.07.2024: a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07DF0/INE733E07DG8/
INE733E07DH6/INE733E07DI4/
INE733E07DJ2/INE733E07DK0 | 2 | Issue Size | Rs 60 Crore | 3 | Interest Amount to be paid on due date | Rs 5,22,60,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 20/06/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2024 | 10 | Amount of interest paid | Rs 5,22,60,000/- | 11 | Date of last interest payment | 10/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
10th July, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 32 had been made on 10.07.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07CP1/INE733E07CQ9/
INE733E07CR7/INE733E07CS5/
INE733E07CT3/INE733E07CU1 | 2 | Issue Size | Rs 42 Crore | 3 | Interest Amount to be paid on due date | Rs 3,71,67,060/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 20/06/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2024 | 10 | Amount of interest paid | Rs 3,71,67,060/- | 11 | Date of last interest payment | 10/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
1 st July, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 78 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment date |
---|
78 | INE733E08221 | 12-08-2024 | 26-08-2024 |
|
1 st July, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 62 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment date |
---|
62 | INE733E07KE8 | 08-08-2024 | 23-08-2024 |
|
1 st July, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 55 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment date |
---|
55 | INE733E07JQ4 | 06-08-2024 | 21-08-2024 |
|
10th June, 2024 | NTPC Ltd. Bonds Series 39 – STRPP H (ISIN INE733E07FM1) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.3896% 2024
(S- XXXIX) STRPP-H | PT | 10.06.2024 |
The said Bonds had matured on 10.06.2024 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
10th June, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 39 STRPP H had been made on 10.06.2024:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07FM1 | 2 | Issue Size | Rs 7,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 60,33,972/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 04/06/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/06/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/06/2024 | 10 | Amount of interest paid | Rs 60,33,972/- | 11 | Date of last interest payment | 10/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07FM1 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 700 | 9 | Due date for redemption/ maturity | 10/06/2024 | 10 | Actual date for redemption (DD/MM/YYYY) | 10/06/2024 | 11 | Amount redeemed | Rs 7,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 10/07/2023 |
|
10th June, 2024 | NTPC Ltd. Bonds Series 34 – STRPP I (ISIN INE733E07DE3) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.71% 2024
(S- XXXIV) STRPP-I | PT | 10.06.2024 |
The said Bonds had matured on 10.06.2024 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
10th June, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 34 STRPP I had been made on 10.06.2024:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07DE3 | 2 | Issue Size | Rs 10,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 79,94,110/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 21/05/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/06/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/06/2024 | 10 | Amount of interest paid | Rs 79,94,110/- | 11 | Date of last interest payment | 10/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07DE3 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 1000 | 9 | Due date for redemption/ maturity | 10/06/2024 | 10 | Actual date for redemption (DD/MM/YYYY) | 10/06/2024 | 11 | Amount redeemed | Rs 10,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 10/07/2023 |
|
4th June, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 71 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment date |
---|
71 | INE733E08155 | 16-07-2024 | 31-07-2024 |
|
4th June, 2024 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 40 (STRPP H) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date |
---|
40
(STRPP H) | INE733E07GB2 | 15-07-2024 | 29-07-2024 |
|
4th June, 2024 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 46 (STRPP G) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date |
---|
46
(STRPP G) | INE733E07IS2 | 05-07-2024 | 20-07-2024 |
|
4th June, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 69 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment date |
---|
69 | INE733E07KL3 | 03-07-2024 | 18-07-2024 |
|
4th June, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 46 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date |
---|
46 | INE733E07IS2
INE733E07IT0
INE733E07IU8
INE733E07IV6
INE733E07IW4
INE733E07IX2
INE733E07IY0
INE733E07IZ7
INE733E07JA8 | 25-06-2024 | 10-07-2024 |
|
4th June, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 45 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date |
---|
45 | INE733E07IE2
INE733E07IF9
INE733E07IG7
INE733E07IH5
INE733E07II3
INE733E07IJ1
INE733E07IK9
INE733E07IL7 | 25-06-2024 | 10-07-2024 |
|
4th June, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 43 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date |
---|
43 | INE733E07HK1
INE733E07HL9
INE733E07HM7
INE733E07HN5
INE733E07HO3
INE733E07HP0
INE733E07HQ8
INE733E07HR6 | 25-06-2024 | 10-07-2024 |
|
4th June, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 41 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date |
---|
41 | INE733E07GQ0
INE733E07GR8
INE733E07GS6
INE733E07GT4
INE733E07GU2
INE733E07GV0
INE733E07GW8
INE733E07GX6 | 25-06-2024 | 10-07-2024 |
|
4th June, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 40 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date |
---|
40 | INE733E07GB2
INE733E07GC0
INE733E07GD8
INE733E07GE6
INE733E07GF3
INE733E07GG1
INE733E07GH9
INE733E07GI7 | 25-06-2024 | 10-07-2024 |
|
4th June, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 39 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date |
---|
39 | INE733E07FN9
INE733E07FO7
INE733E07FP4
INE733E07FQ2
INE733E07FR0
INE733E07FS8
INE733E07FT6 | 04-07-2024 | 10-07-2024 |
|
4th June, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 38 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date |
---|
38 | INE733E07EY9
INE733E07EZ6
INE733E07FA6
INE733E07FB4
INE733E07FC2
INE733E07FD0
INE733E07FE8 | 04-07-2024 | 10-07-2024 |
|
4th June, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 36 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date |
---|
36 | INE733E07EI2
INE733E07EJ0
INE733E07EK8
INE733E07EL6
INE733E07EM4
INE733E07EN2
INE733E07EO0 | 20-06-2024 | 10-07-2024 |
|
4th June, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 35 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date |
---|
35 | INE733E07DT1
INE733E07DU9
INE733E07DV7
INE733E07DW5
INE733E07DX3
INE733E07DY1
INE733E07DZ8 | 20-06-2024 | 10-07-2024 |
|
4th June, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 34 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date |
---|
34 | INE733E07DF0
INE733E07DG8
INE733E07DH6
INE733E07DI4
INE733E07DJ2
INE733E07DK0 | 20-06-2024 | 10-07-2024 |
|
4th June, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 32 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date |
---|
32 | INE733E07CP1
INE733E07CQ9
INE733E07CR7
INE733E07CS5
INE733E07CT3
INE733E07CU1 | 20-06-2024 | 10-07-2024 |
|
27th May, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 61 had been made on 27.05.2024:- a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment :: Sr. No. | Particulars | Details | 1 | ISIN | INE733E07KC2/
INE733E07KD0 | 2 | Issue Size | Rs 715 Crore | 3 | Interest Amount to be paid on due date | Rs 57,59,85,248/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 13/05/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 27/05/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 27/05/2024 | 10 | Amount of interest paid | Rs 57,59,85,248/- | 11 | Date of last interest payment | 29/05/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
16th May, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 45 STRPP G had been made on 16.05.2024:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07ID4 | 2 | Issue Size | Rs 5,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 40,09,691/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 02/05/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 16/05/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 16/05/2024 | 10 | Amount of interest paid | Rs 40,09,691/- | 11 | Date of last interest payment | 10/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07ID4 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 500 | 9 | Due date for redemption/ maturity | 16/05/2024 | 10 | Actual date for redemption (DD/MM/YYYY) | 16/05/2024 | 11 | Amount redeemed | Rs 5,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 10/07/2023 |
|
16th May, 2024 | NTPC Ltd. Bonds Series 45 – STRPP G (ISIN INE733E07ID4) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.4376% 2024
(S- XLV) STRPP-G | PT | 16.05.2024 |
The said Bonds had matured on 16.05.2024 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
06th May, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 60 had been made on 06.05.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment :: Sr. No. | Particulars | Details | 1 | ISIN | INE733E07KA6 | 2 | Issue Size | Rs 1,000 Crore | 3 | Interest Amount to be paid on due date | Rs 80,50,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 22/04/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 06/05/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 06/05/2024 | 10 | Amount of interest paid | Rs 80,50,00,000/- | 11 | Date of last interest payment | 06/05/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
04th May, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest/Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 44 had been made on 04.05.2024:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07HT2/INE733E07HV8/
INE733E07HU0/INE733E07HW6 | 2 | Issue Size | Rs 400,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 37,00,00,000/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 19/04/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 04/05/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 04/05/2024 | 10 | Amount of interest paid | Rs 37,00,00,000/- | 11 | Date of last interest payment | 04/05/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07HT2 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 5000 | 9 | Due date for redemption/ maturity | 04/05/2024 | 10 | Actual date for redemption (DD/MM/YYYY) | 04/05/2024 | 11 | Amount redeemed | Rs 100,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 04/05/2023 |
|
04th May, 2024 | NTPC Ltd. Bonds Series 44 – STRPP B (ISIN INE733E07HT2) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.25% 2024
(S- XLIV) STRPP-B | PT | 04.05.2024 |
The said Bonds had matured on 04.05.2024 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
03 rd May, 2024 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 39 (STRPP H) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date |
---|
39
(STRPP H) | INE733E07FM1 | 04-06-2024 | 10-06-2024 |
|
03 rd May, 2024 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 34 (STRPP I) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date |
---|
34
(STRPP I) | INE733E07DE3 | 21-05-2024 | 10-06-2024 |
|
29th April, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 77 had been made on 29.04.2024:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E08213 | 2 | Issue Size | Rs 1500,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 86,70,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 15/04/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 29/04/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 29/04/2024 | 10 | Amount of interest paid | Rs 86,70,00,000/- | 11 | Date of last interest payment | 29/04/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E08213 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 15000 | 9 | Due date for redemption/ maturity | 29/04/2024 | 10 | Actual date for redemption (DD/MM/YYYY) | 29/04/2024 | 11 | Amount redeemed | Rs 1500,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 29/04/2023 |
|
29th April, 2024 | NTPC Ltd. Bonds Series 77 (ISIN INE733E08213) is listed on the Debt Market Segment of BSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 5.78% 2024
(S-77) | PT | 29.04.2024 |
The said Bonds had matured on 29.04.2024 and payments towards redemption had been made to the Beneficial Owner. We have requested BSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
20th April, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 74 had been made on 20.04.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment :: Sr. No. | Particulars | Details | 1 | ISIN | INE733E08189 | 2 | Issue Size | Rs 3,996 Crore | 3 | Interest Amount to be paid on due date | Rs 274,52,52,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 05/04/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 20/04/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 20/04/2024 | 10 | Amount of interest paid | Rs 274,52,52,000/- | 11 | Date of last interest payment | 20/04/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
17th April, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 80 had been made on 17.04.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment :: Sr. No. | Particulars | Details | 1 | ISIN | INE733E08247 | 2 | Issue Size | Rs 3,000 Crore | 3 | Interest Amount to be paid on due date | Rs 220,50,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 02/04/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 17/04/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 17/04/2024 | 10 | Amount of interest paid | Rs 220,50,00,000/- | 11 | Date of last interest payment | N/A | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
08th April, 2024 | Disclosure under Chapter XIV - Centralized Database for corporate bonds/debentures of SEBI Operational Circular on SEBI (Issue and Listing of Non-Convertible Securities) Regulations, 2021. Click here |
01 st April, 2024 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date / Interest Payment Date for NTPC Ltd. Bonds – Series 44 are detailed below:- Bond Series | ISIN | Record Date | Nature Of Payment | Payment Date |
44 | INE733E07HT2
______________ INE733E07HU0
INE733E07HV8
INE733E07HW6 | 19-04-2024 | Redemption & Interest thereon
_______________________________ Interest | 04-05-2024 |
|
01 st April, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 60 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date |
---|
60 | INE733E07KA6 | 22-04-2024 | 06-05-2024 |
|
01 st April, 2024 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 45 (STRPP G) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date |
---|
45
(STRPP G) | INE733E07ID4 | 02-05-2024 | 16-05-2024 |
|
01 st April, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 61 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date |
---|
61 | INE733E07KC2
INE733E07KD0 | 13-05-2024 | 27-05-2024 |
|
26th March, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 32 STRPP I had been made on 26.03.2024:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07CO4 | 2 | Issue Size | Rs 7,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 43,95,556/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 06/03/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 26/03/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 26/03/2024 | 10 | Amount of interest paid | Rs 43,95,556/- | 11 | Date of last interest payment | 10/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07CO4 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 700 | 9 | Due date for redemption/ maturity | 26/03/2024 | 10 | Actual date for redemption (DD/MM/YYYY) | 26/03/2024 | 11 | Amount redeemed | Rs 7,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 10/07/2023 |
|
26th March, 2024 | NTPC Ltd. Bonds Series 32 – STRPP I (ISIN INE733E07CO4) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.8493% 2024
(S-XXXII) STRPP-I | PT | 26.03.2024 |
The said Bonds had matured on 26.03.2024 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
22th March, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 38 STRPP H had been made on 22.03.2024:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07EX1 | 2 | Issue Size | Rs 5,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 32,06,995/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 18/03/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 22/03/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 22/03/2024 | 10 | Amount of interest paid | Rs 32,06,995/- | 11 | Date of last interest payment | 10/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07EX1 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 500 | 9 | Due date for redemption/ maturity | 22/03/2024 | 10 | Actual date for redemption (DD/MM/YYYY) | 22/03/2024 | 11 | Amount redeemed | Rs 5,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 10/07/2023 |
|
22th March, 2024 | NTPC Ltd. Bonds Series 38 – STRPP H (ISIN INE733E07EX1) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.17% 2024
(S-XXXVIII) STRPP-H | PT | 22.03.2024 |
The said Bonds had matured on 22.03.2024 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
22th March, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 52 had been made on 22.03.2024:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JN1 | 2 | Issue Size | Rs 750,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 34,25,94,263/- | 4 | Frequency | Half Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 07/03/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 22/03/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 22/03/2024 | 10 | Amount of interest paid | Rs 34,25,94,263/- | 11 | Date of last interest payment | 25/09/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JN1 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 7500 | 9 | Due date for redemption/ maturity | 22/03/2024 | 10 | Actual date for redemption (DD/MM/YYYY) | 22/03/2024 | 11 | Amount redeemed | Rs 750,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 25/09/2023 |
|
22th March, 2024 | NTPC Ltd. Bonds Series 52 (ISIN INE733E07JN1) is listed on the Debt Market Segment of NSE & BSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.34% 2024
(S-LII) | PT | 22.03.2024 |
The said Bonds had matured on 22.03.2024 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE & BSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
22th March, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Partial Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 54 had been made on 22.03.2024:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JP6 | 2 | Issue Size | Rs 10306,83,05,000/- | 3 | Interest Amount to be paid on due date | Rs 696,21,45,783.25 | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 07/03/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 22/03/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 22/03/2024 | 10 | Amount of interest paid | Rs 696,21,45,783.25 | 11 | Date of last interest payment | 24/03/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JP6 | 2 | Type of redemption (full/ partial) | Partial | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | By face value redemption | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Others –
Partial redemption | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | N/A | 9 | Due date for redemption/ maturity | 22/03/2024 | 10 | Actual date for redemption (DD/MM/YYYY) | 22/03/2024 | 11 | Amount redeemed | Rs 4122,73,22,000/- | 12 | Outstanding amount (Rs.) | Rs 4122,73,22,000/- | 13 | Date of last Interest payment | 24/03/2023 |
Post 2nd partial redemption of Rs 5/-, Face value of debentures stand reduced to Rs 5/- per Debenture from revised Face value of Rs 10/-. |
8th March, 2024 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 77 are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date |
---|
77 | INE733E08213 | 15-04-2024 | 29-04-2024 |
|
8th March, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 74 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date |
---|
74 | INE733E08189 | 05-04-2024 | 20-04-2024 |
|
8th March, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 80 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date |
---|
80 | INE733E08247 | 02-04-2024 | 17-04-2024 |
|
4th March, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest/Interest Payment for the following ISINs of NTPC Ltd. Bonds Series 51-A, Series 51-B & Series 51-C had been made on 04.03.2024:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JK7/INE733E07JL5/
INE733E07JM3 | 2 | Issue Size | Rs 500 Crore | 3 | Interest Amount to be paid on due date | Rs 42,75,60,000/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 19/02/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 04/03/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 04/03/2024 | 10 | Amount of interest paid | Rs 42,75,60,000/- | 11 | Date of last interest payment | 04/03/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JK7 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 750 | 9 | Due date for redemption/ maturity | 04/03/2024 | 10 | Actual date for redemption (DD/MM/YYYY) | 04/03/2024 | 11 | Amount redeemed | Rs 75,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 04/03/2023 |
|
4th March, 2024 | NTPC Ltd. Bonds Series 51-A (ISIN INE733E07JK7) is listed on the Debt Market Segment of NSE & BSE. The Security description given to the said Bonds by your Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.19% 2024
(S-LI A) | PT | 04.03.2024 |
The said Bonds had matured on 04.03.2024 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE & BSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
2 nd March, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 43 STRPP G had been made on 02.03.2024:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07HJ3 | 2 | Issue Size | Rs 5,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 29,84,594/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 16/02/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 02/03/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 02/03/2024 | 10 | Amount of interest paid | Rs 29,84,594/- | 11 | Date of last interest payment | 10/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07HJ3 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 500 | 9 | Due date for redemption/ maturity | 02/03/2024 | 10 | Actual date for redemption (DD/MM/YYYY) | 02/03/2024 | 11 | Amount redeemed | Rs 5,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 10/07/2023 |
|
2 nd March, 2024 | NTPC Ltd. Bonds Series 43 – STRPP G (ISIN INE733E07HJ3) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by your Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.2573% 2024
(S-XLIII) STRPP-G | PT | 02.03.2024 |
The said Bonds had matured on 02.03.2024 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
2 nd February, 2024 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 32 (STRPP I) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date |
---|
32
(STRPP I) | INE733E07CO4 | 06-03-2024 | 26-03-2024 |
|
2 nd February, 2024 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Partial Repayment along with Interest Date for NTPC Ltd. Bonds – Series 54 are detailed below:- Bond Series | ISIN | Record Date | Partial Repayment & Interest Date |
---|
54 | INE733E07JP6 | 07-03-2024 | 22-03-2024 |
Post partial redemption of Rs 5/-, face value of debenture shall reduce to Rs 5/- from Rs 10/- per debenture. |
2 nd February, 2024 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 52 are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date |
---|
52 | INE733E07JN1 | 07-03-2024 | 22-03-2024 |
|
2 nd February, 2024 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 38 (STRPP H) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date |
---|
38
(STRPP H) | INE733E07EX1 | 18-03-2024 | 22-03-2024 |
|
2 nd February, 2024 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date / Interest Payment Date for NTPC Ltd. Bonds – Series 51-A, Series 51-B & Series 51-C are detailed below:- Bond Series | ISIN | Record Date | Nature Of Payment | Payment Date | 51-A
51-B
51-C
| INE733E07JK7
INE733E07JL5
INE733E07JM3
| 19-02-2024 | Redemption & Interest thereon _______________________________ Interest | 04-03-2024 |
|
2 nd February, 2024 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 43 (STRPP G) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date |
---|
43
(STRPP G) | INE733E07HJ3 | 16-02-2024 | 02-03-2024 |
|
29th January, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 73 had been made on 29.01.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment :: Sr. No. | Particulars | Details | 1 | ISIN | INE733E08171 | 2 | Issue Size | Rs 2,500 Crore | 3 | Interest Amount to be paid on due date | Rs 160,75,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 15/01/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 29/01/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 29/01/2024 | 10 | Amount of interest paid | Rs 160,75,00,000/- | 11 | Date of last interest payment | 27/01/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
25th January, 2024 | NTPC Ltd. Bonds Series 42 – STRPP B (ISIN INE733E07GZ1) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.00% 2024
(S- XLII) STRPP-B | PT | 25.01.2024 |
The said Bonds had matured on 25.01.2024 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
25th January, 2024 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest/Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 42 had been made on 25.01.2024:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07GZ1/INE733E07HA2/
INE733E07HB0/INE733E07HC8 | 2 | Issue Size | Rs 400,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 36,00,00,000/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 10/01/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 25/01/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 25/01/2024 | 10 | Amount of interest paid | Rs 36,00,00,000/- | 11 | Date of last interest payment | 25/01/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07GZ1 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 5000 | 9 | Due date for redemption/ maturity | 25/01/2024 | 10 | Actual date for redemption (DD/MM/YYYY) | 25/01/2024 | 11 | Amount redeemed | Rs 100,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 25/01/2023 |
|
15th January, 2024 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 67 had been made on 15.01.2024: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment :: Sr. No. | Particulars | Details | 1 | ISIN | INE733E07KJ7 | 2 | Issue Size | Rs 4000 Crore | 3 | Interest Amount to be paid on due date | Rs 3,32,00,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 01/01/2024 | 8 | Due date for interest payment (DD/MM/YYYY) | 15/01/2024 | 9 | Actual date for interest payment (DD/MM/YYYY) | 15/01/2024 | 10 | Amount of interest paid | Rs 3,32,00,00,000/- | 11 | Date of last interest payment | 16/01/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
26th December, 2023 | NTPC Ltd. Bonds Series 41 – STRPP G (ISIN INE733E07GP2) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.6713% 2022
(S-XLI) STRPP G | PT | 26.12.2023 |
The said Bonds had matured on 26.12.2023 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
26th December, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 41 STRPP G had been made on 26.12.2023:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07GP2 | 2 | Issue Size | Rs 5,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 22,32,855/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 11/12/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 26/12/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 26/12/2023 | 10 | Amount of interest paid | Rs 22,32,855/- | 11 | Date of last interest payment | 10/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07GP2 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 500 | 9 | Due date for redemption/ maturity | 26/12/2023 | 10 | Actual date for redemption (DD/MM/YYYY) | 26/12/2023 | 11 | Amount redeemed | Rs 5,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 10/07/2023 |
|
20th December, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 76 had been made on 20.12.2023: -
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E08205 | 2 | Issue Size | Rs 1,175 Crore | 3 | Interest Amount to be paid on due date | Rs 79,19,50,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 05/12/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 20/12/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 20/12/2023 | 10 | Amount of interest paid | Rs 79,19,50,000/- | 11 | Date of last interest payment | 20/12/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
16th December, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 79 had been made on 16.12.2023: -
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E08239 | 2 | Issue Size | Rs 500 Crore | 3 | Interest Amount to be paid on due date | Rs 37,20,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 01/12/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 16/12/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 16/12/2023 | 10 | Amount of interest paid | Rs 37,20,00,000/- | 11 | Date of last interest payment | N/A | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : |
16th December, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest / Interest Payment for the following ISINs of NTPC Ltd. – Tax Free Bonds 2013 had been made on 16.12.2023:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JE0/INE733E07JF7
INE733E07JG5/INE733E07JH3
INE733E07JI1/INE733E07JJ9 | 2 | Issue Size | Rs 1,750 Crore | 3 | Interest Amount to be paid on due date | Rs 1,50,65,95,216/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 01/12/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 16/12/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 16/12/2023 | 10 | Amount of interest paid | Rs 1,50,65,95,216/- | 11 | Date of last interest payment | 16/12/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JE0 | INE733E07JH3 | 2 | Type of redemption (full/ partial) | Full | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | Maturity | 6 | Redemption date due to put option (if any) | N/A | N/A | 7 | Redemption date due to call option (if any) | N/A | N/A | 8 | Quantity redeemed (no. of NCDs) | 4880265 | 2086391 | 9 | Due date for redemption/ maturity | 16/12/2023 | 16/12/2023 | 10 | Actual date for redemption (DD/MM/YYYY) | 16/12/2023 | 16/12/2023 | 11 | Amount redeemed | Rs 4,88,02,65,000 /- | Rs 2,08,63,91,000/- | 12 | Outstanding amount (Rs.) | Nil | Nil | 13 | Date of last Interest payment | 16/12/2022 | 16/12/2022 |
|
16th December, 2023 | NTPC Ltd. Bonds Series 50-1A (ISIN INE733E07JE0) and Series 50-1B (ISIN INE733E07JH3) are listed on the Debt Market Segment of BSE & NSE. The Security description given to the said Bonds by Exchanges is as under:- ISIN | Security Description | Security Type | Maturity Date | INE733E07JE0 | NTPC LIMITED SR-1A 8.41
BD 16DC23 FVRS1000 | Public Issue | 16.12.2023 | INE733E07JH3 | NTPC LIMITED SR-1B 8.66
BD 16DC23 FVRS1000 | Public Issue | 16.12.2023 |
The said Bonds had matured on 16.12.2023 and payments towards redemption had been made to the Beneficial Owner. We have requested BSE & NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
15th December, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 36 STRPP H had been made on 15.12.2023:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07EH4 | 2 | Issue Size | Rs 5,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 19,01,310/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 28/11/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 15/12/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 15/12/2023 | 10 | Amount of interest paid | Rs 19,01,310/- | 11 | Date of last interest payment | 10/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07EH4 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 500 | 9 | Due date for redemption/ maturity | 15/12/2023 | 10 | Actual date for redemption (DD/MM/YYYY) | 15/12/2023 | 11 | Amount redeemed | Rs 5,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 10/07/2023 |
|
15th December, 2023 | NTPC Ltd. Bonds Series 36 – STRPP H (ISIN INE733E07EH4) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under: Security Description | Security Type | Maturity Date | NTPC 8.8086% 2023
(S-XXXVI) STRPP-H | PT | 15.12.2023 |
The said Bonds had matured on 15.12.2023 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
15th December, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 57 had been made on 15.12.2023: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JX0 | 2 | Issue Size | Rs 500 Crore | 3 | Interest Amount to be paid on due date | Rs 40,95,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 30/11/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 15/12/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 15/12/2023 | 10 | Amount of interest paid | Rs 40,95,00,000/- | 11 | Date of last interest payment | 15/12/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
14th December, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 66 had been made on 14.12.2023: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07KI9 | 2 | Issue Size | Rs 3,925 Crore | 3 | Interest Amount to be paid on due date | Rs 289,27,25,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 29/11/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 14/12/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 14/12/2023 | 10 | Amount of interest paid | Rs 289,27,25,000/- | 11 | Date of last interest payment | 14/12/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
07th December, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 73 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date |
---|
73 | INE733E08171 | 15-01-2024 | 29-01-2024 |
|
07th December, 2023 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date / Interest Payment Date for NTPC Ltd. Bonds – Series 42 are detailed below:- Bond Series | ISIN | Record Date | Nature Of Payment | Payment Date |
42 | INE733E07GZ1
______________ INE733E07HA2
INE733E07HB0
INE733E07HC8 | 10-01-2024 | Redemption & Interest thereon
_______________________________ Interest | 25-01-2024 |
|
07th December, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 67 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date |
---|
67 | INE733E07KJ7 | 01-01-2024 | 15-01-2024 |
|
07th November, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 64 had been made on 07.11.2023: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07KG3 | 2 | Issue Size | Rs 700 Crore | 3 | Interest Amount to be paid on due date | Rs 52,43,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 23/10/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 07/11/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 07/11/2023 | 10 | Amount of interest paid | Rs 52,43,00,000/- | 11 | Date of last interest payment | 07/11/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
03 rd November, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 66 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date |
---|
66 | INE733E07KI9 | 29-11-2023 | 14-12-2023 |
|
03 rd November, 2023 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 36 (STRPP H) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date |
---|
36
(STRPP H) | INE733E07EH4 | 28-11-2023 | 15-12-2023 |
|
03 rd November, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 57 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date |
---|
57 | INE733E07JX0 | 30-11-2023 | 15-12-2023 |
|
03 rd November, 2023 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest / Interest Payment Date for NTPC Ltd. Bonds – Series 50 are detailed below:- Bond Series | ISIN | Record Date | Nature Of Payment | Payment Date | 50-1A
50-1B
______________
50-2A
50-2B
50-3A
50-3B | INE733E07JE0
INE733E07JH3
______________
INE733E07JF7
INE733E07JI1
INE733E07JG5
INE733E07JJ9 | 01-12-2023 | Redemption & Interest thereon
_______________________________ Interest | 16-12-2023 |
|
03 rd November, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 79 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date |
---|
79 | INE733E08239 | 01-12-2023 | 16-12-2023 |
|
03 rd November, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 76 are detailed below:-
Bond Series | ISIN | Record Date | Interest Payment Date |
---|
76 | INE733E08205 | 05-12-2023 | 20-12-2023 |
|
03 rd November, 2023 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 41 (STRPP G) are detailed below:-
Bond Series | ISIN | Record Date | Repayment & Interest Date |
---|
41
(STRPP G) | INE733E07GP2 | 11-12-2023 | 26-12-2023 |
|
16th October, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 72 had been made on 16.10.2023: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E08163 | 2 | Issue Size | Rs 4,000 Crore | 3 | Interest Amount to be paid on due date | Rs 218,00,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 03/10/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 16/10/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 16/10/2023 | 10 | Amount of interest paid | Rs 218,00,00,000/- | 11 | Date of last interest payment | 15/10/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
05th October, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 56 had been made on 05.10.2023: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JR2/INE733E07JS0/
INE733E07JT8/INE733E07JU6/
INE733E07JV4/INE733E07JW2 | 2 | Issue Size | Rs 700 Crore | 3 | Interest Amount to be paid on due date | Rs 51,45,16,471/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 20/09/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 5/10/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 5/10/2023 | 10 | Amount of interest paid | Rs 51,45,16,471/- | 11 | Date of last interest payment | 06/10/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
03 rd October, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 64 are detailed below:-
Bond Series | ISIN | Record Date | Interest Payment Date |
---|
64 | INE733E07KG3 | 23-10-2023 | 07-11-2023 |
|
25th September, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 52 had been made on 25.09.2023: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JN1 | 2 | Issue Size | Rs 750 Crore | 3 | Interest Amount to be paid on due date | Rs 35,40,77,870/- | 4 | Frequency | Half-Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 11/09/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 25/09/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 25/09/2023 | 10 | Amount of interest paid | Rs 35,40,77,870/- | 11 | Date of last interest payment | 24/03/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
22th September, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 53 had been made on 22.09.2023: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JO9 | 2 | Issue Size | Rs 1000,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 91,70,00,000/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 07/09/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 22/09/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 22/09/2023 | 10 | Amount of interest paid | Rs 91,70,00,000/- | 11 | Date of last interest payment | 22/09/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
16th September, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 63 had been made on 16.09.2023: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07KF5 | 2 | Issue Size | Rs. 670 Crore | 3 | Interest Amount to be paid on due date | Rs. 50,04,90,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 01/09/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 16/09/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 16/09/2023 | 10 | Amount of interest paid | Rs. 50,04,90,000/- | 11 | Date of last interest payment | 16/09/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
15th September, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 35 STRPP H had been made on 15.09.2023:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07DS3 | 2 | Issue Size | Rs 8,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 12,90,071/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 28/08/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 15/09/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 15/09/2023 | 10 | Amount of interest paid | Rs 12,90,071/- | 11 | Date of last interest payment | 10/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07DS3 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 800 | 9 | Due date for redemption/ maturity | 15/09/2023 | 10 | Actual date for redemption (DD/MM/YYYY) | 15/09/2023 | 11 | Amount redeemed | Rs 8,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 10/07/2023 |
|
15th September, 2023 | NTPC Ltd. Bonds Series 35 – STRPP H (ISIN INE733E07DS3) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.785% 2023
(S-XXXV) STRPP-H | PT | 15.09.2023 |
The said Bonds had matured on 15.09.2023 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
13th September, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 75 had been made on 13.09.2023: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E08197 | 2 | Issue Size | Rs. 3,000 Crore | 3 | Interest Amount to be paid on due date | Rs. 2,00,70,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 29/08/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 13/09/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 13/09/2023 | 10 | Amount of interest paid | Rs. 2,00,70,00,000/- | 11 | Date of last interest payment | 13/09/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
01 st September, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 56 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 56-1A
56-2A
56-3A
56-1B
56-2B
56-3B | INE733E07JR2
INE733E07JS0
INE733E07JT8
INE733E07JU6
INE733E07JV4
INE733E07JW2 | 20-09-2023 | 05-10-2023 |
|
01 st September, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 72 are detailed below:-
Bond Series | ISIN | Record Date | Interest Payment Date |
---|
72 | INE733E08163 | 03-10-2023 | 16-10-2023 |
|
25th August, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 78 had been made on 25.08.2023: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E08221 | 2 | Issue Size | Rs 2,000 Crore | 3 | Interest Amount to be paid on due date | Rs 148,80,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 10/08/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 25/08/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 25/08/2023 | 10 | Amount of interest paid | Rs 148,80,00,000/- | 11 | Date of last interest payment | N/A | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
23th August, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 62 had been made on 23.08.2023: - a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07KE8 | 2 | Issue Size | Rs 800 Crore | 3 | Interest Amount to be paid on due date | Rs 60,64,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 08/08/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 23/08/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 23/08/2023 | 10 | Amount of interest paid | Rs 60,64,00,000/- | 11 | Date of last interest payment | 23/08/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
21th August, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 55 had been made on 21.08.2023: -
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JQ4 | 2 | Issue Size | Rs 300 Crore | 3 | Interest Amount to be paid on due date | Rs 21,39,12,322/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 7/08/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 21/08/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 21/08/2023 | 10 | Amount of interest paid | Rs 21,39,12,322/- | 11 | Date of last interest payment | 22/08/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
4th August, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 75 are detailed below:-
Bond Series | ISIN | Record Date | Interest Payment Date |
---|
75 | INE733E08197 | 29-08-2023 | 13-09-2023 |
|
4th August, 2023 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 35 (STRPP H) are detailed below:-
Bond Series | ISIN | Record Date | Repayment & Interest Date |
---|
35 (STRPP H) | INE733E07DS3 | 28-08-2023 | 15-09-2023 |
|
4th August, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 63 are detailed below:-
Bond Series | ISIN | Record Date | Interest Payment Date |
---|
63 | INE733E07KF5 | 01-09-2023 | 16-09-2023 |
|
4th August, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 53 are detailed below:-
Bond Series | ISIN | Record Date | Interest Payment Date |
---|
53 | INE733E07JO9 | 07-09-2023 | 22-09-2023 |
|
4th August, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 52 are detailed below:-
Bond Series | ISIN | Record Date | Interest Payment Date |
---|
52 | INE733E07JN1 | 11-09-2023 | 25-09-2023 |
|
31 st July, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 40 STRPP G had been made on 31.07.2023:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07GA4 | 2 | Issue Size | Rs 5,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 2,74,205/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 17/07/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 31/07/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 31/07/2023 | 10 | Amount of interest paid | Rs 2,74,205/- | 11 | Date of last interest payment | 10/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07GA4 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 500 | 9 | Due date for redemption/ maturity | 31/07/2023 | 10 | Actual date for redemption (DD/MM/YYYY) | 31/07/2023 | 11 | Amount redeemed | Rs 5,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 10/07/2023 |
|
31 st July, 2023 | NTPC Ltd. Bonds Series 40 – STRPP G (ISIN INE733E07GA4) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.558% 2023
(S-XL) STRPP-G | PT | 31.07.2023 |
The said Bonds had matured on 31.07.2023 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
31 st July, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 71 had been made on 31.07.2023: -
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E08155 | 2 | Issue Size | Rs 1,000 Crore | 3 | Interest Amount to be paid on due date | Rs 62,90,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 17/07/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 31/07/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 31/07/2023 | 10 | Amount of interest paid | Rs 62,90,00,000/- | 11 | Date of last interest payment | 01/08/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
29th July, 2023 | Pursuant to Regulation 52(7) & 52(7A) of the Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations, 2015, statement on utilisation of proceeds of Non-Convertible Debenture and statement of Deviation/variation (Nil report) for the Quarter ended June 30, 2023 is attached . | |
20th July, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 46 STRPP F had been made on 20.07.2023:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07IR4 | 2 | Issue Size | Rs 5,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 1,27,695/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 05/07/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 20/07/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 20/07/2023 | 10 | Amount of interest paid | Rs 1,27,695/ | 11 | Date of last interest payment | 10/07/2023 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07IR4 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 500 | 9 | Due date for redemption/ maturity | 20/07/2023 | 10 | Actual date for redemption (DD/MM/YYYY) | 20/07/2023 | 11 | Amount redeemed | Rs 5,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 10/07/2023 |
|
20th July, 2023 | NTPC Ltd. Bonds Series 46 – STRPP F (ISIN INE733E07IR4) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.3473% 2023
(S-XLVI) STRPP-F | PT | 20.07.2023 |
The said Bonds had matured on 20.07.2023 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
17th July, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 69 had been made on 17.07.2023: -
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07KL3 | 2 | Issue Size | Rs 4,300 Crore | 3 | Interest Amount to be paid on due date | Rs 314,76,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 03/07/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 17/07/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 17/07/2023 | 10 | Amount of interest paid | Rs 314,76,00,000/- | 11 | Date of last interest payment | 18/07/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
10th July, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 46 had been made on 10.07.2023: -
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07IR4/INE733E07IS2/
INE733E07IT0/INE733E07IU8/
INE733E07IV6/INE733E07IW4/
INE733E07IX2/INE733E07IY0/
INE733E07IZ7/INE733E07JA8 | 2 | Issue Size | Rs 75 Crore | 3 | Interest Amount to be paid on due date | Rs 4,66,08,455/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 26/06/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2023 | 10 | Amount of interest paid | Rs 4,66,08,455/- | 11 | Date of last interest payment | 11/07/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments :N/A |
10th July, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 45 had been made on 10.07.2023: -
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07ID4/INE733E07IE2/
INE733E07IF9/INE733E07IG7/
INE733E07IH5/INE733E07II3/
INE733E07IJ1/INE733E07IK9/
INE733E07IL7 | 2 | Issue Size | Rs 75 Crore | 3 | Interest Amount to be paid on due date | Rs 4,27,01,908/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 26/06/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2023 | 10 | Amount of interest paid | Rs 4,27,01,908/- | 11 | Date of last interest payment | 08/07/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments :N/A |
10th July, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 43 had been made on 10.07.2023: -
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07HJ3/INE733E07HK1/
INE733E07HL9/INE733E07HM7/
INE733E07HN5/INE733E07HO3/
INE733E07HP0/INE733E07HQ8/
INE733E07HR6 | 2 | Issue Size | Rs 75 Crore | 3 | Interest Amount to be paid on due date | Rs 4,15,43,719/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 26/06/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2023 | 10 | Amount of interest paid | Rs 4,15,43,719/- | 11 | Date of last interest payment | 11/07/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments :N/A |
10th July, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 41 had been made on 10.07.2023: -
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07GP2/INE733E07GQ0/
INE733E07GR8/INE733E07GS6/
INE733E07GT4/INE733E07GU2/
INE733E07GV0/INE733E07GW8/
INE733E07GX6 | 2 | Issue Size | Rs 75 Crore | 3 | Interest Amount to be paid on due date | Rs 4,37,59,320/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 26/06/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2023 | 10 | Amount of interest paid | Rs 4,37,59,320/- | 11 | Date of last interest payment | 08/07/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments :N/A |
10th July, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 40 had been made on 10.07.2023: -
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07GA4/INE733E07GB2/
INE733E07GC0/INE733E07GD8/
INE733E07GE6/INE733E07GF3/
INE733E07GG1/INE733E07GH9/
INE733E07GI7 | 2 | Issue Size | Rs 75 Crore | 3 | Interest Amount to be paid on due date | Rs 4,28,93,162/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 26/06/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2023 | 10 | Amount of interest paid | Rs 4,28,93,162/- | 11 | Date of last interest payment | 11/07/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments :N/A |
10th July, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 39 had been made on 10.07.2023: -
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07FM1/INE733E07FN9/
INE733E07FO7/INE733E07FP4/
INE733E07FQ2/INE733E07FR0/
INE733E07FS8/INE733E07FT6 | 2 | Issue Size | Rs 105 Crore | 3 | Interest Amount to be paid on due date | Rs 5,24,37,700/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 04/07/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2023 | 10 | Amount of interest paid | Rs 5,24,37,700/- | 11 | Date of last interest payment | 11/07/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments :N/A |
10th July, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 38 had been made on 10.07.2023: -
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07EX1/INE733E07EY9/
INE733E07EZ6/INE733E07FA6/
INE733E07FB4/INE733E07FC2/
INE733E07FD0/INE733E07FE8 | 2 | Issue Size | Rs 105 Crore | 3 | Interest Amount to be paid on due date | Rs 3,65,79,507/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 04/07/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2023 | 10 | Amount of interest paid | Rs 3,65,79,507/- | 11 | Date of last interest payment | 11/07/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments :N/A |
10th July, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 36 had been made on 10.07.2023: - -
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07EH4/INE733E07EI2/
INE733E07EJ0/INE733E07EK8/
INE733E07EL6/INE733E07EM4/
INE733E07EN2/INE733E07EO0 | 2 | Issue Size | Rs 75 Crore | 3 | Interest Amount to be paid on due date | Rs 3,51,37,867/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 20/06/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2023 | 10 | Amount of interest paid | Rs 3,51,37,867/- | 11 | Date of last interest payment | 11/07/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments :N/A |
10th July, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 35 had been made on 10.07.2023: - -
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07DS3/INE733E07DT1/
INE733E07DU9/INE733E07DV7/
INE733E07DW5/INE733E07DX3/
INE733E07DY1/INE733E07DZ8 | 2 | Issue Size | Rs 120 Crore | 3 | Interest Amount to be paid on due date | Rs 5,60,69,962/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 20/06/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2023 | 10 | Amount of interest paid | Rs 5,60,69,962/- | 11 | Date of last interest payment | 11/07/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments :N/A |
10th July, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 34 had been made on 10.07.2023: -
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07DE3/INE733E07DF0/
INE733E07DG8/INE733E07DH6/
INE733E07DI4/INE733E07DJ2/
INE733E07DK0 | 2 | Issue Size | Rs 150 Crore | 3 | Interest Amount to be paid on due date | Rs 6,08,02,959/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 20/06/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2023 | 10 | Amount of interest paid | Rs 6,08,02,959/- | 11 | Date of last interest payment | 11/07/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments :N/A |
10th July, 2023 | In terms of regulation 57 of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 32 had been made on 10.07.2023: -
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07CO4/INE733E07CP1/
INE733E07CQ9/INE733E07CR7/
INE733E07CS5/INE733E07CT3/
INE733E07CU1 | 2 | Issue Size | Rs 105 Crore/- | 3 | Interest Amount to be paid on due date | Rs 4,32,42,771/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 20/06/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 10/07/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 10/07/2023 | 10 | Amount of interest paid | Rs 4,32,42,771/- | 11 | Date of last interest payment | 11/07/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments :N/A |
03th July, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 55 are detailed below:-
Bond Series | ISIN | Record Date | Interest Payment Date |
---|
55 | INE733E07JQ4 | 07-08-2023 | 21-08-2023 |
|
03th July, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 62 are detailed below:-
Bond Series | ISIN | Record Date | Interest Payment Date |
---|
62 | INE733E07KE8 | 08-08-2023 | 23-08-2023 |
|
03th July, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 78 are detailed below:-
Bond Series | ISIN | Record Date | Interest Payment Date |
---|
78 | INE733E08221 | 10-08-2023 | 25-08-2023 |
|
12th June, 2023 | NTPC Ltd. Bonds Series 34 – STRPP H (ISIN INE733E07DD5) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.71% 2023
(S- XXXIV) STRPP-H | PT | 12.06.2023 |
The said Bonds had matured on 12.06.2023 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
|
12th June, 2023 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 34 STRPP H had been made on 12.06.2023:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07DD5 | 2 | Issue Size | Rs 10,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 80,17,973/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 23/05/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 12/06/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 12/06/2023 | 10 | Amount of interest paid | Rs 80,17,973/- | 11 | Date of last interest payment | 11/07/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07DD5 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 1000 | 9 | Due date for redemption/ maturity | 12/06/2023 | 10 | Actual date for redemption (DD/MM/YYYY) | 12/06/2023 | 11 | Amount redeemed | Rs 10,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 11/07/2022 |
|
09th June, 2023 | NTPC Ltd. Bonds Series 39 – STRPP G (ISIN INE733E07FL3) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.3896% 2023
(S- XXXIX) STRPP-G | PT | 09.06.2023 |
The said Bonds had matured on 09.06.2023 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
09th June, 2023 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 39 STRPP G had been made on 09.06.2023:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07FL3 | 2 | Issue Size | Rs 7,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 59,96,482/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 05/06/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 09/06/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 09/06/2023 | 10 | Amount of interest paid | Rs 59,96,482/- | 11 | Date of last interest payment | 11/07/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07FL3 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 700 | 9 | Due date for redemption/ maturity | 09/06/2023 | 10 | Actual date for redemption (DD/MM/YYYY) | 09/06/2023 | 11 | Amount redeemed | Rs 7,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 11/07/2022 |
|
05th June, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 71 are detailed below:-
Bond Series | ISIN | Record Date | Interest Payment Date |
---|
71 | INE733E08155 | 17-07-2023 | 31-07-2023 |
|
05th June, 2023 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 40 (STRPP G) are detailed below:-
Bond Series | ISIN | Record Date | Repayment & Interest Date |
---|
40 (STRPP G) | INE733E07GA4 | 17-07-2023 | 31-07-2023 |
|
05th June, 2023 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 46 (STRPP F) are detailed below:-
Bond Series | ISIN | Record Date | Repayment & Interest Date |
---|
46 (STRPP F) | INE733E07IR4 | 05-07-2023 | 20-07-2023 |
|
05th June, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 69 are detailed below:-
Bond Series | ISIN | Record Date | Interest Payment Date |
---|
69 | INE733E07KL3 | 03-07-2023 | 17-07-2023 |
|
05th June, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 46 are detailed below:-
Bond Series | ISIN | Record Date | Interest Payment Date |
---|
46 | INE733E07IR4 | 26-06-2023 | 10-07-2023 | INE733E07IS2 | INE733E07IT0 | INE733E07IU8 | INE733E07IV6 | INE733E07IW4 | INE733E07IX2 | INE733E07IY0 | INE733E07IZ7 | INE733E07JA8 |
|
05th June, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 45 are detailed below:-
Bond Series | ISIN | Record Date | Interest Payment Date |
---|
45 | INE733E07ID4 | 26-06-2023 | 10-07-2023 | INE733E07IE2 | INE733E07IF9 | INE733E07IG7 | INE733E07IH5 | INE733E07II3 | INE733E07IJ1 | INE733E07IK9 | INE733E07IL7 |
|
05th June, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 43 are detailed below:-
Bond Series | ISIN | Record Date | Interest Payment Date |
---|
43 | INE733E07HJ3 | 26-06-2023 | 10-07-2023 | INE733E07HK1 | INE733E07HL9 | INE733E07HM7 | INE733E07HN5 | INE733E07HO3 | INE733E07HP0 | INE733E07HQ8 | INE733E07HR6 |
|
05th June, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 41 are detailed below:-
Bond Series | ISIN | Record Date | Interest Payment Date |
---|
41 | INE733E07GP2 | 26-06-2023 | 10-07-2023 | INE733E07GQ0 | INE733E07GR8 | INE733E07GS6 | INE733E07GT4 | INE733E07GU2 | INE733E07GV0 | INE733E07GW8 | INE733E07GX6 |
|
05th June, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 40 are detailed below:-
Bond Series | ISIN | Record Date | Interest Payment Date |
---|
40 | INE733E07GA4 | 26-06-2023 | 10-07-2023 | INE733E07GB2 | INE733E07GC0 | INE733E07GD8 | INE733E07GE6 | INE733E07GF3 | INE733E07GG1 | INE733E07GH9 | INE733E07GI7 |
|
05th June, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 39 are detailed below:-
Bond Series | ISIN | Record Date | Interest Payment Date |
---|
39 | INE733E07FM1 | 04-07-2023 | 10-07-2023 | INE733E07FN9 | INE733E07FO7 | INE733E07FP4 | INE733E07FQ2 | INE733E07FR0 | INE733E07FS8 | INE733E07FT6 |
|
05th June, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 38 are detailed below:-
Bond Series | ISIN | Record Date | Interest Payment Date |
---|
38 | INE733E07EX1 | 04-07-2023 | 10-07-2023 | INE733E07EY9 | INE733E07EZ6 | INE733E07FA6 | INE733E07FB4 | INE733E07FC2 | INE733E07FD0 | INE733E07FE8 |
|
05th June, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 36 are detailed below:-
Bond Series | ISIN | Record Date | Interest Payment Date |
---|
36 | INE733E07EH4 | 20-06-2023 | 10-07-2023 | INE733E07EI2 | INE733E07EJ0 | INE733E07EK8 | INE733E07EL6 | INE733E07EM4 | INE733E07EN2 | INE733E07EO0 |
|
05th June, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 35 are detailed below:-
Bond Series | ISIN | Record Date | Interest Payment Date |
---|
35 | INE733E07DS3 | 20-06-2023 | 10-07-2023 | INE733E07DT1 | INE733E07DU9 | INE733E07DV7 | INE733E07DW5 | INE733E07DX3 | INE733E07DY1 | INE733E07DZ8 |
|
05th June, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 34 are detailed below:-
Bond Series | ISIN | Record Date | Interest Payment Date |
---|
34 | INE733E07DE3 | 20-06-2023 | 10-07-2023 | INE733E07DF0 | INE733E07DG8 | INE733E07DH6 | INE733E07DI4 | INE733E07DJ2 | INE733E07DK0 |
|
05th June, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 32 are detailed below:-
Bond Series | ISINs | Record Date | Interest Payment Date |
---|
32 | INE733E07CO4 | 20-06-2023 | 10-07-2023 | INE733E07CP1 | INE733E07CQ9 | INE733E07CR7 | INE733E07CS5 | INE733E07CT3 | INE733E07CU1 |
|
29th May, 2023 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 61 had been made on 29.05.2023: - - a) Whether interest payment / redemption payment made : Yes b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISINs | INE733E07KC2/
INE733E07KD0 | 2 | Issue Size | Rs 715 Crore | 3 | Interest Amount to be paid on due date | Rs 58,23,23,427/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 15/05/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 29/05/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 29/05/2023 | 10 | Amount of interest paid | Rs 58,23,23,427/- | 11 | Date of last interest payment | 27/05/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
16th May, 2023 | - NTPC Ltd. Bonds Series 45 – STRPP F (ISIN INE733E07IC6) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:-
Security Description | Security Type | Maturity Date |
---|
NTPC 9.4376% 2023 (S- XLV) STRPP-F | PT | 16.05.2023 |
The said Bonds had matured on 16.05.2023 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. - In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 45 STRPP F had been made on 16.05.2023:-
- Whether interest payment / redemption payment made : Yes
- Details of interest payment :
Sr. No. | Particulars | Details |
---|
1 | ISIN | INE733E07IC6 | 2 | Issue Size | Rs 5,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 40,33,604/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 02/05/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 16/05/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 16/05/2023 | 10 | Amount of interest paid | Rs 40,33,604/- | 11 | Date of last interest payment | 08/07/2022 | 12 | Reason for non-payment /delay in payment | N/A |
- Details of redemption payments :
Sr. No. | Particulars | Details |
---|
1 | ISIN | INE733E07IC6 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
- By face value redemption
- By quantity redemption
| N/A | 4 | If redemption is based on quantity, specify, whether on:
- Lot basis
- Pro-rata basis
| N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 500 | 9 | Due date for redemption/ maturity | 16/05/2023 | 10 | Actual date for redemption (DD/MM/YYYY) | 16/05/2023 | 11 | Amount redeemed | Rs 5,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 08/07/2022 |
|
06th May, 2023 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 60 had been made on 06.05.2023: - a) Whether interest payment / redemption payment made : Yes b) Details of interest payment : c) Details of redemption payments : N/A Sr. No. | Particulars | Details | 1 | ISIN | INE733E07KA6 | 2 | Issue Size | Rs 1,000 Crore | 3 | Interest Amount to be paid on due date | Rs 80,72,05,480/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 21/04/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 06/05/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 06/05/2023 | 10 | Amount of interest paid | Rs 80,72,05,480/- | 11 | Date of last interest payment | 05/05/2022 | 12 | Reason for non-payment /delay in payment | N/A |
|
04th May, 2023 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest/Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 44 had been made on 04.05.2023:- a) Whether interest payment / redemption payment made : Yes b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07HS4/ INE733E07HT2/ INE733E07HU0/ INE733E07HV8/ INE733E07HW6 | 2 | Issue Size | Rs 5,00,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 46,25,00,000/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 05/04/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 19/04/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 04/05/2023 | 10 | Amount of interest paid | Rs 46,25,00,000/- | 11 | Date of last interest payment | 04/05/2022 | 12 | Reason for non-payment /delay in payment | N/A | Sr. No. | Particulars | Details | 1 | ISIN | INE733E07HS4 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 5000 | 9 | Due date for redemption/ maturity | 04/05/2023 | 10 | Actual date for redemption (DD/MM/YYYY) | 04/05/2023 | 11 | Amount redeemed | Rs 1,00,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 04/05/2022 |
c) Details of redemption payments : N/A |
04th May, 2023 | NTPC Ltd. Bonds Series 44 – STRPP A (ISIN INE733E07HS4) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.25% 2023 (S- XLIV) STRPP-A | PT | 04.05.2023 |
The said Bonds had matured on 04.05.2023 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
04th May, 2023 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 34 (STRPP-H) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 34 (STRPP-H) | INE733E07DD5 | 23-05-2023 | 12-06-2023 |
|
04th May, 2023 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 39 (STRPP-G) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 39 (STRPP-G) | INE733E07FL3 | 05-06-2023 | 09-06-2023 |
|
20th April, 2023 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 74 had been made on 20.04.2023:- a) Whether interest payment / redemption payment made : Yes b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E08189 | 2 | Issue Size | Rs 3,996 Crore | 3 | Interest Amount to be paid on due date | Rs 2,74,52,52,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 05/04/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 20/04/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 20/04/2023 | 10 | Amount of interest paid | Rs 2,74,52,52,000/- | 11 | Date of last interest payment | 20/04/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
17th April, 2023 | NTPC Ltd. Bonds Series 70 (ISIN INE733E08148) is listed on the Debt Market Segment of NSE & BSE. The Security description given to the said Bonds by Exchanges is as under:- Security Description | Security Type | Maturity Date | NTPC 6.55% 2023 (S-70) | PT | 17.04.2023 |
The said Bonds had matured on 17.04.2023 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE & BSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
17th April, 2023 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 70 had been made on 17.04.2023:- a) Whether interest payment / redemption payment made : Yes b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E08148 | 2 | Issue Size | Rs 43,74,10,00,000/- | 3 | Interest Amount to be paid on due date | Rs 2,87,28,84,912/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 03/04/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 17/04/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 17/04/2023 | 10 | Amount of interest paid | Rs 2,87,28,84,912/- | 11 | Date of last interest payment | 16/04/2022 | 12 | Reason for non-payment /delay in payment | N/A | Sr. No. | Particulars | Details | 1 | ISIN | INE733E08148 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 43741 | 9 | Due date for redemption/ maturity | 17/04/2023 | 10 | Actual date for redemption (DD/MM/YYYY) | 17/04/2023 | 11 | Amount redeemed | Rs 43,74,10,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 16/04/2022 |
|
03 rd April, 2023 | Pursuant to Regulation 57(5) of the Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations, 2015, we would like to confirm that the Company has complied with the payment obligations in relation to the Non-Convertible Debentures for the Quarter ended March 31, 2023 (details attached) |
03 rd April, 2023 | NTPC Ltd. Bonds Series 49 (ISIN INE733E07JD2) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.80% 2023
(S-XLIX) | PT | 03.04.2023 |
The said Bonds had matured on 03.04.2023 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
03 rd April, 2023 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 49 had been made on 03.04.2023:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : c) Details of redemption payments : N/A Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JD2 | 2 | Issue Size | Rs 200,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 17,55,17,807/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 20/03/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 03/04/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 03/04/2023 | 10 | Amount of interest paid | Rs 17,55,17,807/- | 11 | Date of last interest payment | 04/04/2022 | 12 | Reason for non-payment /delay in payment | N/A | Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JC4 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 2000 | 9 | Due date for redemption/ maturity | 03/04/2023 | 10 | Actual date for redemption (DD/MM/YYYY) | 03/04/2023 | 11 | Amount redeemed | Rs 200,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 04/04/2022 |
|
27th March, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 61 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 61 | INE733E07KC2
INE733E07KD0 | 15-05-2023 | 29-05-2023 |
|
27th March, 2023 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds – Series 45 (STRPP-F) are detailed below:- Bond Series | ISINs | Record Date | Repayment & Interest Date | 45 (STRPP-F) | INE733E07IC6 | 02-05-2023 | 16-05-2023 |
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27th March, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds – Series 60 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 60 | INE733E07KA6 | 21-04-2023 | 06-05-2023 |
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27th March, 2023 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest / Interest Payment Date for NTPC Ltd. Bonds – Series 44 are detailed below:- Bond Series | ISINs | Record Date | Nature of Payment | Payment Date | 44 | INE733E07HS4
INE733E07HT2
INE733E07HU0
INE733E07HV8
INE733E07HW6 | 19-04-2023 | Redemption & Interest thereon
Interest | 04-05-2023 |
|
27th March, 2023 | Pursuant to Regulation 57(5) of the Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations, 2015, we would like to confirm that the Company has complied with the payment obligations in relation to the Non-Convertible Debentures for the Quarter ended March 31, 2023 (details attached) |
27th March, 2023 | NTPC Ltd. Bonds Series 32 – STRPP H (ISIN INE733E07CN6) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.8493% 2023
(S-XXXII) STRPP-H | PT | 27.03.2023 |
The said Bonds had matured on 27.03.2023 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
27th March, 2023 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 32 (STRPP H) had been made on 27.03.2023:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07CN6 | 2 | Issue Size | Rs 7,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 43,95,556/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 08/03/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 27/03/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 27/03/2023 | 10 | Amount of interest paid | Rs 43,95,556/- | 11 | Date of last interest payment | 11/07/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A Sr. No. | Particulars | Details | 1 | ISIN | INE733E07CN6 | 2 | Type of redemption (full/ partial) | Partial | 3 | If partial redemption, then | a. By face value redemption b. By quantity redemption | 4 | If redemption is based on quantity, specify, whether on: | a. Lot basis b. Pro-rata basis | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 700 | 9 | Due date for redemption/ maturity | 27/03/2023 | 10 | Actual date for redemption (DD/MM/YYYY) | 27/03/2023 | 11 | Amount redeemed | Rs 7,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 11/07/2022 |
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24th Mar, 2023 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Partial Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 54 had been made on 24.03.2023:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment :
Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JP6 | 2 | Issue Size | Rs 10306,83,05,000/- | 3 | Interest Amount to be paid on due date | Rs 872,65,25,202.92 | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 09/03/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 24/03/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 24/03/2023 | 10 | Amount of interest paid | Rs 872,65,25,202.92 | 11 | Date of last interest payment | 25/03/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A Post partial redemption of Rs 2.50, Face value of debentures stand reduced to Rs 10.00 per Debenture from original Face value of Rs 12.50. Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JP6 | 2 | Type of redemption (full/ partial) | Partial | 3 | If partial redemption, then | a. By face value redemption b. By quantity redemption | 4 | If redemption is based on quantity, specify, whether on: | a. Lot basis b. Pro-rata basis | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Others – Partial redemption | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | 09/03/2023 | 8 | Quantity redeemed (no. of NCDs) | 24/03/2023 | 9 | Due date for redemption/ maturity | 24/03/2023 | 10 | Actual date for redemption (DD/MM/YYYY) | 24/03/2023 | 11 | Amount redeemed | Rs 8245,46,44,000/- | 12 | Outstanding amount (Rs.) | Rs 8245,46,44,000/- | 13 | Date of last Interest payment | 25/03/2022 |
In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 52 had been made on 24.03.2023:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment: Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JN1 | 2 | Issue Size | Rs 750 Crore | 3 | Interest Amount to be paid on due date | Rs 34,35,32,877/- | 4 | Frequency | Half-Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 09/03/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 24/03/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 24/03/2023 | 10 | Amount of interest paid | Rs 34,35,32,877/- | 11 | Date of last interest payment | 26/09/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
22 nd Mar, 2023 | NTPC Ltd. Bonds Series 38 � STRPP G (ISIN INE733E07EW3) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.17% 2023
(S-XXXVIII) STRPP-G | PT | 22.03.2023 |
The said Bonds had matured on 22.03.2023 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
22 nd Mar, 2023 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 38 (STRPP G) had been made on 22.03.2023:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISINs | INE733E07EW3 | 2 | Issue Size | Rs 5,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 31,90,658/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 16/03/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 22/03/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 22/03/2023 | 10 | Amount of interest paid | Rs 31,90,658/- | 11 | Date of last interest payment | 11/07/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A Sr. No. | Particulars | Details | 1 | ISINs | INE733E07EW3 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then a) By face value redemption b) By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on: a) Lot basis b) Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 500 | 9 | Due date for redemption/ maturity | 22/03/2023 | 10 | Actual date for redemption (DD/MM/YYYY) | 22/03/2023 | 11 | Amount redeemed | Rs 5,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 11/07/2022 |
|
07th Mar, 2023 | NTPC Ltd. Bonds Series 48 (ISIN INE733E07JC4) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.73% 2023
(S-XLVIII) | PT | 07.03.2023 |
The said Bonds had matured on 07.03.2023 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
07th Mar, 2023 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 48 had been made on 07.03.2023:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JC4 | 2 | Issue Size | Rs 300,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 26,19,00,000/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 20/02/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 07/03/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 07/03/2023 | 10 | Amount of interest paid | Rs 26,19,00,000/- | 11 | Date of last interest payment | 07/03/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments :
Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JC4 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 3000 | 9 | Due date for redemption/ maturity | 07/03/2023 | 10 | Actual date for redemption (DD/MM/YYYY) | 07/03/2023 | 11 | Amount redeemed | Rs 300,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 07/03/2022 |
|
06th Mar, 2023 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 51-A, SRS 51-B & SRS 51-C had been made on 04.03.2023:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISINs | INE733E07JK7/
INE733E07JL5/
INE733E07JM3 | 2 | Issue Size | Rs 500 Crore | 3 | Interest Amount to be paid on due date | Rs 42,75,60,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 17/02/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 04/03/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 04/03/2023 | 10 | Amount of interest paid | Rs 42,75,60,000/- | 11 | Date of last interest payment | 04/03/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
03 rd Mar, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 77 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 77 | INE733E08213 | 17-04-2023 | 29-04-2023 |
|
03 rd Mar, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 74 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 74 | INE733E08189 | 05-04-2023 | 20-04-2023 |
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03 rd Mar, 2023 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 70 are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 70 | INE733E08148 | 03-04-2023 | 17-04-2023 |
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03 rd Mar, 2023 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 49 are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 49 | INE733E07JD2 | 20-03-2023 | 03-04-2023 |
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02 nd Mar, 2023 | NTPC Ltd. Bonds Series 43 � STRPP F (ISIN INE733E07HI5) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.2573% 2023
(S-XLIII) STRPP-F | PT | 02.03.2023 |
The said Bonds had matured on 02.03.2023 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
02 nd Mar, 2023 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 43 (STRPP F) had been made on 02.03.2023:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07HI5 | 2 | Issue Size | Rs 5,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 29,67,408/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 15/02/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 02/03/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 02/03/2023 | 10 | Amount of interest paid | Rs 29,67,408/- | 11 | Date of last interest payment | 11/07/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments :
Sr. No. | Particulars | Details | 1 | ISIN | INE733E07HI5 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 500 | 9 | Due date for redemption/ maturity | 02/03/2023 | 10 | Actual date for redemption (DD/MM/YYYY) | 02/03/2023 | 11 | Amount redeemed | Rs 5,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 11/07/2022 |
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01 st Feb, 2023 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 32 (STRPP-H) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 32
(STRPP-H) | INE733E07CN6 | 08-03-2023 | 27-03-2023 |
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01 st Feb, 2023 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Partial Repayment along with Interest Date for NTPC Ltd. Bonds - Series 54 are detailed below:- Bond Series | ISIN | Record Date | Partial Repayment & Interest Date | 54 | INE733E07JP6 | 09-03-2023 | 24-03-2023 |
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01 st Feb, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 52 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 52 | INE733E07JN1 | 09-03-2023 | 24-03-2023 |
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01 st Feb, 2023 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 38 (STRPP-G) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 38
(STRPP-G) | INE733E07EW3 | 16-03-2023 | 22-03-2023 |
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01 st Feb, 2023 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 48 are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 48 | INE733E07JC4 | 20-02-2023 | 07-03-2023 |
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01 st Feb, 2023 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 51-A, Series 51-B & Series 51-C are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 51-A
51-B
51-C | INE733E07JK7
INE733E07JL5
INE733E07JM3 | 17-02-2023 | 04-03-2023 |
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01 st Feb, 2023 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 43 (STRPP-F) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 43
(STRPP-F) | INE733E07HI5 | 15-02-2023 | 02-03-2023 |
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27th Jan, 2023 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 73 had been made on 27.01.2023:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISINs | INE733E08171 | 2 | Issue Size | Rs 2,500 Crore | 3 | Interest Amount to be paid on due date | Rs 1,60,75,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 12/01/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 27/01/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 27/01/2023 | 10 | Amount of interest paid | Rs 1,60,75,00,000/- | 11 | Date of last interest payment | 27/01/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
25th Jan, 2023 | NTPC Ltd. Bonds Series 42 � STRPP A (ISIN INE733E07GY4) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.00% 2023
(S- XLII) STRPP-A | PT | 25.01.2023 |
The said Bonds had matured on 25.01.2023 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
25th Jan, 2023 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest/Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 42 had been made on 25.01.2023:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07GY4/INE733E07GZ1/
INE733E07HA2/INE733E07HB0/
INE733E07HC8 | 2 | Issue Size | Rs 5,00,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 45,00,00,000/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 10/01/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 25/01/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 25/01/2023 | 10 | Amount of interest paid | Rs 45,00,00,000/- | 11 | Date of last interest payment | 25/01/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments :
Sr. No. | Particulars | Details | 1 | ISIN | INE733E07GY4 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 5000 | 9 | Due date for redemption/ maturity | 25/01/2023 | 10 | Actual date for redemption (DD/MM/YYYY) | 25/01/2023 | 11 | Amount redeemed | Rs 1,00,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 25/01/2022 |
|
16th Jan, 2023 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 67 had been made on 16.01.2023:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07KJ7 | 2 | Issue Size | Rs 4,000 Crore | 3 | Interest Amount to be paid on due date | Rs 3,32,00,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 02/01/2023 | 8 | Due date for interest payment (DD/MM/YYYY) | 16/01/2023 | 9 | Actual date for interest payment (DD/MM/YYYY) | 16/01/2023 | 10 | Amount of interest paid | Rs 3,32,00,00,000/- | 11 | Date of last interest payment | 15/01/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
03 rd Jan, 2023 | Pursuant to Regulation 57(5) of the Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations, 2015, we would like to confirm that the Company has complied with the payment obligations in relation to the Non-Convertible Debentures for the Quarter ended December 31, 2022 details attached. Click Here. |
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26th Dec, 2022 | In terms of regulation 57(4) of the SEBI (LODR) Regulations, 2015, details for all the non-convertible securities for which interest/principal obligations are payable during January to March'23 are attached. Click Here. |
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23 rd Dec, 2022 | NTPC Ltd. Bonds Series 41-STRPP F (ISIN INE733E07GO5) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.6713% 2022
(S-XLI) STRPP-F | PT | 23.12.2022 |
The said Bonds had matured on 23.12.2022 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
23 rd Dec, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 41 (STRPP F) had been made on 23.12.2022:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07GO5 | 2 | Issue Size | Rs 5,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 22,25,724/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 08/12/2022 | 8 | Due date for interest payment (DD/MM/YYYY) | 23/12/2022 | 9 | Actual date for interest payment (DD/MM/YYYY) | 23/12/2022 | 10 | Amount of interest paid | Rs 22,25,724/- | 11 | Date of last interest payment | 08/07/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A
Sr. No. | Particulars | Details | 1 | ISIN | INE733E07GO5 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 500 | 9 | Due date for redemption/ maturity | 23/12/2022 | 10 | Actual date for redemption (DD/MM/YYYY) | 23/12/2022 | 11 | Amount redeemed | Rs 5,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 08/07/2022 |
|
20th Dec, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 76 had been made on 20.12.2022:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISINs | INE733E08205 | 2 | Issue Size | Rs 1,175 Crore | 3 | Interest Amount to be paid on due date | Rs 79,19,50,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 05/12/2022 | 8 | Due date for interest payment (DD/MM/YYYY) | 20/12/2022 | 9 | Actual date for interest payment (DD/MM/YYYY) | 20/12/2022 | 10 | Amount of interest paid | Rs 79,19,50,000/- | 11 | Date of last interest payment | N/A | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
16th Dec, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 50 (Tax Free Bonds-2013) had been made on 16.12.2022:- a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISINs | INE733E07JE0/INE733E07JF7
INE733E07JG5/INE733E07JH3
INE733E07JI1/INE733E07JJ9 | 2 | Issue Size | Rs 1,750 Crore | 3 | Interest Amount to be paid on due date | Rs 150,68,41,887/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 01/12/2022 | 8 | Due date for interest payment (DD/MM/YYYY) | 16/12/2022 | 9 | Actual date for interest payment (DD/MM/YYYY) | 16/12/2022 | 10 | Amount of interest paid | Rs 150,68,41,887/- | 11 | Date of last interest payment | 16/12/2021 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
15th Dec, 2022 | NTPC Ltd. Bonds Series 36-STRPP G (ISIN INE733E07EG6) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.8086% 2022
(S-XXXVI) STRPP-G | PT | 15.12.2022 |
The said Bonds had matured on 15.12.2022 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
15th Dec, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 36 (STRPP G) had been made on 15.12.2022:- a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07EG6 | 2 | Issue Size | Rs 5,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 18,94,452/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/11/2022 | 8 | Due date for interest payment (DD/MM/YYYY) | 15/12/2022 | 9 | Actual date for interest payment (DD/MM/YYYY) | 15/12/2022 | 10 | Amount of interest paid | Rs 18,94,452/- | 11 | Date of last interest payment | 11/07/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
15th Dec, 2022 | Sr. No. | Particulars | Details | 1 | ISIN | INE733E07EG6 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on: a. Lot basis b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 500 | 9 | Due date for redemption/ maturity | 15/12/2022 | 10 | Actual date for redemption (DD/MM/YYYY) | 15/12/2022 | 11 | Amount redeemed | Rs 5,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 11/07/2022 |
c) Details of redemption payments : N/A |
15th Dec, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 57 had been made on 15.12.2022:- a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JX0 | 2 | Issue Size | Rs 500 Crore | 3 | Interest Amount to be paid on due date | Rs 40,95,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 30/11/2022 | 8 | Due date for interest payment (DD/MM/YYYY) | 15/12/2022 | 9 | Actual date for interest payment (DD/MM/YYYY) | 15/12/2022 | 10 | Amount of interest paid | Rs 40,95,00,000/- | 11 | Date of last interest payment | 15/12/2021 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
14th Dec, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 66 had been made on 14.12.2022:- a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07KI9 | 2 | Issue Size | Rs 3,925 Crore | 3 | Interest Amount to be paid on due date | Rs 289,27,25,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 29/11/2022 | 8 | Due date for interest payment (DD/MM/YYYY) | 14/12/2022 | 9 | Actual date for interest payment (DD/MM/YYYY) | 14/12/2022 | 10 | Amount of interest paid | Rs 289,27,25,000/- | 11 | Date of last interest payment | 14/12/2021 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
06th Dec, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 73 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 73 | INE733E08171 | 12-01-2023 | 27-01-2023 |
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06th Dec, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 73 are detailed below:- Bond Series | ISIN | Record Date | Nature of Payment | Payment Date | 42 | INE733E07GY4
INE733E07GZ1
INE733E07HA2
INE733E07HB0
INE733E07HC8 | 10-01-2023 | Redemption & Interest thereon
Interest | 25-01-2023 |
|
06th Dec, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 67 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 67 | INE733E07KJ7 | 02-01-2023 | 16-01-2023 |
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14th Nov, 2022 | With reference to our Disclosure dated 19.10.2022 pursuant to Regulation 52(7) & 52(7A) of the Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations, 2015, statement on utilisation of proceeds of Non-Convertible Debenture and statement of Deviation/variation (Nil report) for the Quarter ended September 30, 2022 is attached. Click Here. |
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07th Nov, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 64 had been made on 07.11.2022:- a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07KG3 | 2 | Issue Size | Rs 700 Crore | 3 | Interest Amount to be paid on due date | Rs 52,28,63,558/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 25/10/2022 | 8 | Due date for interest payment (DD/MM/YYYY) | 07/11/2022 | 9 | Actual date for interest payment (DD/MM/YYYY) | 07/11/2022 | 10 | Amount of interest paid | Rs 52,28,63,558/- | 11 | Date of last interest payment | 08/11/2021 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
04th Nov, 2022 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds � Series 41 (STRPP-F) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 41 (STRPP-F) | INE733E07GO5 | 08-12-2022 | 23-12-2022 |
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04th Nov, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 76 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 76 | INE733E08205 | 05-12-2022 | 20-12-2022 |
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04th Nov, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 50 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 50-1A
50-2A
50-3A
50-1B
50-2B
50-3B | INE733E07JE0
INE733E07JF7
INE733E07JG5
INE733E07JH3
INE733E07JI1
INE733E07JJ9 | 01-12-2022 | 16-12-2022 |
|
04th Nov, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 57 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 57 | INE733E07JX0 | 30-11-2022 | 15-12-2022 |
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04th Nov, 2022 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds � Series 36 (STRPP-G) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 36 (STRPP-G) | INE733E07EG6 | 25-11-2022 | 15-12-2022 |
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04th Nov, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 66 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 66 | INE733E07KI9 | 29-11-2022 | 14-12-2022 |
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15th Oct, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 72 had been made on 15.10.2022:- a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISINs | INE733E08163 | 2 | Issue Size | Rs 4,000 Crore | 3 | Interest Amount to be paid on due date | Rs 218,00,00,000/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 30/09/2022 | 8 | Due date for interest payment (DD/MM/YYYY) | 15/10/2022 | 9 | Actual date for interest payment (DD/MM/YYYY) | 15/10/2022 | 10 | Amount of interest paid | Rs 218,00,00,000/- | 11 | Date of last interest payment | 16/10/2021 | 12 | Reason for non-payment /delay in payment | N/A |
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06th Oct, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds SRS 56 had been made on 06.10.2022:- a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISINs | INE733E07JR2/INE733E07JS0/
INE733E07JT8/INE733E07JU6/
INE733E07JV4/INE733E07JW2 | 2 | Issue Size | Rs 700 Crore | 3 | Interest Amount to be paid on due date | Rs 51,73,90,888/- | 4 | Frequency | Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 21/09/2022 | 8 | Due date for interest payment (DD/MM/YYYY) | 06/10/2022 | 9 | Actual date for interest payment (DD/MM/YYYY) | 06/10/2022 | 10 | Amount of interest paid | Rs 51,73,90,888/- | 11 | Date of last interest payment | 05/10/2021 | 12 | Reason for non-payment /delay in payment | N/A | 12 | Reason for non-payment /delay in payment | N/A |
|
04th Oct, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 64 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 64 | INE733E07KG3 | 25-10-2022 | 07-11-2022 |
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04th Oct, 2022 | NTPC Ltd. Bonds Series 47 (ISIN INE733E07JB6) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | Interest Payment Date | NTPC 8.84% 2022
(S- XLVII) | PT | 04.10.2022 |
The said Bonds had matured on 04.10.2022 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
04th Oct, 2022 | Pursuant to Regulation 57(5) of the Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations, 2015, we would like to confirm that the Company has complied with the payment obligations in relation to the Non-Convertible Debentures for the Quarter ended September 30, 2022 details attached. Click Here. |
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04th Oct, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 47 had been made on 04.10.2022:- a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JB6 | 2 | Issue Size | Rs 390,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 34,47,60,000/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 19/09/2022 | 8 | Due date for interest payment (DD/MM/YYYY) | 04/10/2022 | 9 | Actual date for interest payment (DD/MM/YYYY) | 04/10/2022 | 10 | Amount of interest paid | Rs 34,47,60,000/- | 11 | Date of last interest payment | 04/10/2021 | 12 | Reason for non-payment /delay in payment | N/A | 12 | Reason for non-payment /delay in payment | N/A |
|
04th Oct, 2022 | c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JB6 | 2 | Type of redemption (full/ partial) | Full | 3 | Type of redemption (full/ partial)
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis
b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 3900 | 9 | Due date for redemption/ maturity | 04/10/2022 | 10 | Actual date for redemption (DD/MM/YYYY) | 04/10/2022 | 11 | Amount redeemed | Rs 390,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 04/10/2021 |
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26th Sep, 2022 | In terms of regulation 57(4) of the SEBI (LODR) Regulations, 2015, details for all the non-convertible securities for which interest/principal obligations are payable during October to December�22 are annexed below:- Name of the Issuer | Series | ISIN | Due Date | Record Date | Nature of Payment | Listing Status | Debenture Trustee | NTPC Limited | 47 | INE733E07JB6 | 04-10-2022 | 19-09-2022 | Repayment & Interest | NSE | VITCL | 56-1A | INE733E07JR2 | 06-10-2022 | 21-09-2022 | Interest | BSE / NSE | ITSL | 56-2A | INE733E07JS0 | 06-10-2022 | 21-09-2022 | Interest | BSE / NSE | ITSL | 56-3A | INE733E07JT8 | 06-10-2022 | 21-09-2022 | Interest | BSE / NSE | ITSL | 56-1B | INE733E07JU6 | 06-10-2022 | 21-09-2022 | Interest | BSE / NSE | ITSL | 56-2B | INE733E07JV4 | 06-10-2022 | 21-09-2022 | Interest | BSE / NSE | ITSL | 56-3B | INE733E07JW2 | 06-10-2022 | 21-09-2022 | Interest | BSE / NSE | ITSL | 72 | INE733E08163 | 15-10-2022 | 30-09-2022 | Interest | BSE / NSE | ITSL | 64 | INE733E07KG3 | 07-11-2022 | 25-10-2022 | Interest | BSE / NSE | VITCL | 66 | INE733E07KI9 | 14-12-2022 | 29-11-2022 | Interest | BSE / NSE | VITCL | 36 | INE733E07EG6 | 15-12-2022 | 25-11-2022 | Repayment & Interest | NSE | ITSL | 57 | INE733E07JX0 | 15-12-2022 | 30-11-2022 | Interest | BSE / NSE | VITCL | 50-1A | INE733E07JE0 | 16-12-2022 | 01-12-2022 | Interest | BSE / NSE | VITCL | 50-2A | INE733E07JF7 | 16-12-2022 | 01-12-2022 | Interest | BSE / NSE | VITCL | 50-3A | INE733E07JG5 | 16-12-2022 | 01-12-2022 | Interest | BSE / NSE | VITCL | 50-1B | INE733E07JH3 | 16-12-2022 | 01-12-2022 | Interest | BSE / NSE | VITCL | 50-2B | INE733E07JI1 | 16-12-2022 | 01-12-2022 | Interest | BSE / NSE | VITCL | 50-3B | INE733E07JJ9 | 16-12-2022 | 01-12-2022 | Interest | BSE / NSE | VITCL | 76 | INE733E08205 | 20-12-2022 | 05-12-2022 | Interest | NSE | ITSL | 41 | INE733E07GO5 | 23-12-2022 | 08-12-2022 | Repayment & Interest | NSE | ITSL |
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26th Sep, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 52 had been made on 26.09.2022:- a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JN1 | 2 | Issue Size | Rs 750 Crore | 3 | Interest Amount to be paid on due date | Rs 35,69,67,123/- | 4 | Frequency | Half Yearly | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 12/09/2022 | 8 | Due date for interest payment (DD/MM/YYYY) | 26/09/2022 | 9 | Actual date for interest payment (DD/MM/YYYY) | 26/09/2022 | 10 | Amount of interest paid | Rs 35,69,67,123/- | 11 | Date of last interest payment | 24/03/2022 | 12 | Reason for non-payment /delay in payment | N/A |
c) Details of redemption payments : N/A |
22 nd Sep, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 53 had been made on 22.09.2022:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JO9 | 2 | Issue Size | Rs 1,000 Crore | 3 | Interest Amount to be paid on due date | Rs 91,70,00,000/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 07/09/2022 | 8 | Due date for interest payment (DD/MM/YYYY) | 22/09/2022 | 9 | Actual date for interest payment (DD/MM/YYYY) | 22/09/2022 | 10 | Amount of interest paid | Rs 91,70,00,000/- | 11 | Date of last interest payment | 22/09/2021 | 12 | Reason for non-payment /delay in payment | N/A |
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16th Sep, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 63 had been made on 16.09.2022:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07KF5 | 2 | Issue Size | Rs 670 Crore | 3 | Interest Amount to be paid on due date | Rs 50,04,90,000/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 01/09/2022 | 8 | Due date for interest payment (DD/MM/YYYY) | 16/09/2022 | 9 | Actual date for interest payment (DD/MM/YYYY) | 16/09/2022 | 10 | Amount of interest paid | Rs 50,04,90,000/- | 11 | Date of last interest payment | 16/09/2021 | 12 | Reason for non-payment /delay in payment | N/A |
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15th Sep, 2022 | NTPC Ltd. Bonds Series 35 � STRPP G (ISIN INE733E07DR5) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.785% 2022
(S-XXXV) STRPP-G | PT | 15.09.2022 |
The said Bonds had matured on 15.09.2022 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
15th Sep, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds SRS 35 (STRPP G) had been made on 15.09.2022:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : c) Details of redemption payments : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07DR5 | 2 | Issue Size | Rs 8,00,00,000/- | 3 | Interest Amount to be paid on due date | Rs 12,70,816/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 26/08/2022 | 8 | Due date for interest payment (DD/MM/YYYY) | 15/09/2022 | 9 | Actual date for interest payment (DD/MM/YYYY) | 15/09/2022 | 10 | Amount of interest paid | Rs 12,70,816/- | 11 | Date of last interest payment | 11/07/2022 | 12 | Reason for non-payment /delay in payment | N/A | Sr. No. | Particulars | Details | 1 | ISIN | INE733E07DR5 | 2 | Type of redemption (full/ partial) | Full | 3 | If partial redemption, then
a. By face value redemption
b. By quantity redemption | N/A | 4 | If redemption is based on quantity, specify, whether on:
a. Lot basis b. Pro-rata basis | N/A | 5 | Reason for redemption (call, put, premature redemption, maturity, buyback, conversion, others (if any)) | Maturity | 6 | Redemption date due to put option (if any) | N/A | 7 | Redemption date due to call option (if any) | N/A | 8 | Quantity redeemed (no. of NCDs) | 800 | 9 | Due date for redemption/ maturity | 15/09/2022 | 10 | Actual date for redemption (DD/MM/YYYY) | 15/09/2022 | 11 | Amount redeemed | Rs 8,00,00,000/- | 12 | Outstanding amount (Rs.) | Nil | 13 | Date of last Interest payment | 11/07/2022 |
|
13th Sep, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 75 had been made on 13.09.2022:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E08197 | 2 | Issue Size | Rs 3,000 Crore | 3 | Interest Amount to be paid on due date | Rs 200,70,00,000/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 29/08/2022 | 8 | Due date for interest payment (DD/MM/YYYY) | 13/09/2022 | 9 | Actual date for interest payment (DD/MM/YYYY) | 13/09/2022 | 10 | Amount of interest paid | Rs 200,70,00,000/- | 11 | Date of last interest payment | N/A | 12 | Reason for non-payment /delay in payment | N/A |
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02th Sep, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 72 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 72 | INE733E08163 | 30-09-2022 | 15-10-2022 |
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02th Sep, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 56 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 56-1A
56-2A
56-3A
56-1B
56-2B
56-3B | INE733E07JR2
INE733E07JS0
INE733E07JT8
INE733E07JU6
INE733E07JV4
INE733E07JW2 | 21-09-2022 | 06-10-2022 |
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02th Sep, 2022 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds � Series 47 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 47 | INE733E07JB6 | 19-09-2022 | 04-10-2022 |
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23 rd Aug, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds SRS 62 had been made on 23.08.2022:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07KE8 | 2 | Issue Size | Rs 800 Crore | 3 | Interest Amount to be paid on due date | Rs 60,64,00,000/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 08/08/2022 | 8 | Due date for interest payment (DD/MM/YYYY) | 23/08/2022 | 9 | Actual date for interest payment (DD/MM/YYYY) | 23/08/2022 | 10 | Amount of interest paid | Rs 60,64,00,000/- | 11 | Date of last interest payment | 23/08/2021 | 12 | Reason for non-payment /delay in payment | N/A |
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22 nd Aug, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 22.08.2022:-
a) Whether interest payment / redemption payment made : Yes
b) Details of interest payment : Sr. No. | Particulars | Details | 1 | ISIN | INE733E07JQ4 | 2 | Issue Size | Rs 300 Crore | 3 | Interest Amount to be paid on due date | Rs 21,50,87,678/- | 4 | Frequency | Annually | 5 | Change in frequency of payment (if any) | No | 6 | Details of such change | N/A | 7 | Interest payment record date | 08/08/2022 | 8 | Due date for interest payment (DD/MM/YYYY) | 22/08/2022 | 9 | Actual date for interest payment (DD/MM/YYYY) | 22/08/2022 | 10 | Amount of interest paid | Rs 21,50,87,678/- | 11 | Date of last interest payment | 21/08/2021 | 12 | Reason for non-payment /delay in payment | N/A |
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08th Aug, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 53 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 52 | INE733E07JN1 | 12-09-2022 | 26-09-2022 |
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08th Aug, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 53 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 53 | INE733E07JO9 | 07-09-2022 | 22-09-2022 |
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08th Aug, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 63 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 63 | INE733E07KF5 | 01-09-2022 | 16-09-2022 |
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08th Aug, 2022 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds � Series 35 (STRPP G) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 35 (STRPP G) | INE733E07DR5 | 26-08-2022 | 15-09-2022 |
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08th Aug, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 75 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 75 | INE733E08197 | 29-08-2022 | 13-09-2022 |
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01 st Aug, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 01.08.2022:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 71 | INE733E08155 | Interest | 01.08.2022 | 62,90,00,000/- |
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29th July, 2022 | NTPC Ltd. Bonds Series 40 � STRPP F (ISIN INE733E07FZ3) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by your Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.558% 2022
(S-XL) STRPP-F | PT | 29.07.2022 |
The said Bonds had matured on 29.07.2022 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
29th July, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 29.07.2022:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 40
(STRPP F) | INE733E07FZ3 | Redemption & Interest thereon | 29.07.2022 | 5,02,35,677/- |
|
20th July, 2022 | NTPC Ltd. Bonds Series 46 � STRPP E (ISIN INE733E07IQ6) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.3473% 2022
(S-XLVI) STRPP-E | PT | 20.07.2022 |
The said Bonds had matured on 20.07.2022 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
20th July, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 20.07.2022:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid(Rs) | 46
(STRPP E) | INE733E07IQ6 | Redemption & Interest thereon | 20.07.2022 | 5,01,15,241/- |
|
19th July, 2022 | Pursuant to Regulation 52(7) of the Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations, 2015, statement on utilisation of proceeds of Non-Convertible Debenture for the Quarter ended June 30, 2022 is detailed below:- Bonds Series & Issue type | Series 76 (Private placement) | Series 77 (Private placement) | Issue size | Rs 1,175 crore | Rs 1,500 crore | Allotment date | 20-12-2021 | 29-04-2022 | Maturity date | 14-04-2032 | 29-04-2024 | Listed at | NSE | BSE | ISIN | INE733E08205 | INE733E08213 | Funds utilised upto 30.06.2022 | Rs 1,175 crore | Rs 1,500 crore | Deviation/ Variation in use of funds from objects of issue | Nil | Nil | Funds unutilised as on 30.06.2022 | Nil | Nil |
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19th July, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 18.07.2022:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid(Rs) | 69 | INE733E07KL3 | Interest | 18.07.2022 | 3,14,76,00,000/- |
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11th July, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 11.07.2022:- Bond Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid(Rs) | 45 | INE733E07IQ6
INE733E07IR4
INE733E07IS2
INE733E07IT0
INE733E07IU8
INE733E07IV6
INE733E07IW4
INE733E07IX2
INE733E07IY0
INE733E07IZ7
INE733E07JA8 | Interest | 11.07.2022 | 5,12,69,300/- |
|
11th July, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 11.07.2022:- Bond Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid(Rs) | 46 | INE733E07HI5
INE733E07HJ3
INE733E07HK1
INE733E07HL9
INE733E07HM7
INE733E07HN5
INE733E07HO3
INE733E07HP0
INE733E07HQ8
INE733E07HR6 | Interest | 11.07.2022 | 4,61,59,688/- |
|
11th July, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 11.07.2022:- Bond Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid(Rs) | 40 | INE733E07FZ3
INE733E07GA4
INE733E07GB2
INE733E07GC0
INE733E07GD8
INE733E07GE6
INE733E07GF3
INE733E07GG1
INE733E07GH9
INE733E07GI7 | Interest | 11.07.2022 | 4,76,59,068/- |
|
11th July, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 11.07.2022:- Bond Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid(Rs) | 39 | INE733E07FL3
INE733E07FM1
INE733E07FN9
INE733E07FO7
INE733E07FP4
INE733E07FQ2
INE733E07FR0
INE733E07FS8
INE733E07FT6 | Interest | 11.07.2022 | 5,89,92,413/- |
|
11th July, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 11.07.2022:- Bond Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid(Rs) | 38 | INE733E07EW3
INE733E07EX1
INE733E07EY9
INE733E07EZ6
INE733E07FA6
INE733E07FB4
INE733E07FC2
INE733E07FD0
INE733E07FE8 | Interest | 11.07.2022 | 4,11,51,945/- |
|
11th July, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 11.07.2022:- Bond Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid(Rs) | 36 | INE733E07EG6
INE733E07EH4
INE733E07EI2
INE733E07EJ0
INE733E07EK8
INE733E07EL6
INE733E07EM4
INE733E07EN2
INE733E07EO0 | Interest | 11.07.2022 | 3,95,30,101/- |
|
11th July, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 11.07.2022:- Bond Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid(Rs) | 35 | INE733E07DR5
INE733E07DS3
INE733E07DT1
INE733E07DU9
INE733E07DV7
INE733E07DW5
INE733E07DX3
INE733E07DY1
INE733E07DZ8 | Interest | 11.07.2022 | 6,30,78,707/- |
|
11th July, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 11.07.2022:- Bond Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid(Rs) | 34 | INE733E07DD5
INE733E07DE3
INE733E07DF0
INE733E07DG8
INE733E07DH6
INE733E07DI4
INE733E07DJ2
INE733E07DK0 | Interest | 11.07.2022 | 6,94,89,096/- |
|
11th July, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 11.07.2022:- Bond Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid(Rs) | 34 | INE733E07CN6
INE733E07CO4
INE733E07CP1
INE733E07CQ9
INE733E07CR7
INE733E07CS5
INE733E07CT3
INE733E07CU1 | Interest | 11.07.2022 | 4,94,20,310/- |
|
08th July, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 08.07.2022:- Bond Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid(Rs) | 45 | INE733E07IC6
INE733E07ID4
INE733E07IE2
INE733E07IF9
INE733E07IG7
INE733E07IH5
INE733E07II3
INE733E07IJ1
INE733E07IK9
INE733E07IL7 | Interest | 08.07.2022 | 4,70,58,718/- |
|
08th July, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 08.07.2022:- Bond Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid(Rs) | 41 | INE733E07GO5
INE733E07GP2
INE733E07GQ0
INE733E07GR8
INE733E07GS6
INE733E07GT4
INE733E07GU2
INE733E07GV0
INE733E07GW8
INE733E07GX6 | Interest | 08.07.2022 | 4,82,24,016/- |
|
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01 st July, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 62 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 62 | INE733E07KE8 | 08-08-2022 | 23-08-2022 |
|
01 st July, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 55 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 55 | INE733E07JQ4 | 08-08-2022 | 22-08-2022 |
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01 st July, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 71 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 71 | INE733E08155 | 18-07-2022 | 01-08-2022 |
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10th June, 2022 | NTPC Ltd. Bonds Series 34 STRPP G (ISIN INE733E07DC7) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.71% 2022
(S- XXXIV) STRPP-G | PT | 10.06.2022 |
The said Bonds had matured on 10.06.2022 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
10th June, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 10.06.2022:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 34
(STRPP G) | INE733E07DC7 | Redemption & Interest thereon | 10.06.2022 | 10,79,46,384/- |
|
09th June, 2022 | NTPC Ltd. Bonds Series 39 � STRPP F (ISIN INE733E07FK5) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.3896% 2022
(S- XXXIX) STRPP-F | PT | 09.06.2022 |
The said Bonds had matured on 09.06.2022 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
09th June, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 09.06.2022:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 39 (STRPP F) | INE733E07FK5 | Redemption & Interest thereon | 09.06.2022 | 7,59,78,474/- |
|
06th June, 2022 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds � Series 40 (STRPP F) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 40 (STRPP F) | INE733E07FZ3 | 14-07-2022 | 29-07-2022 |
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06th June, 2022 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds � Series 46 (STRPP E) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 46(STRPP E) | INE733E07IQ6 | 05-07-2022 | 20-07-2022 |
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06th June, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 69 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 69 | INE733E07KL3 | 04-07-2022 | 18-07-2022 |
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06th June, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 69 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 46 | INE733E07IQ6
INE733E07IR4
INE733E07IS2
INE733E07IT0
INE733E07IU8
INE733E07IV6
INE733E07IW4
INE733E07IX2
INE733E07IY0
INE733E07IZ7
INE733E07JA8 | 27-06-2022 | 11-07-2022 |
|
06th June, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 43 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 43 | INE733E07HI5
INE733E07HJ3
INE733E07HK1
INE733E07HL9
INE733E07HM7
INE733E07HN5
INE733E07HO3
INE733E07HP0
INE733E07HQ8
INE733E07HR6 | 27-06-2022 | 11-07-2022 |
|
06th June, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 40 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 40 | INE733E07FZ3
INE733E07GA4
INE733E07GB2
INE733E07GC0
INE733E07GD8
INE733E07GE6
INE733E07GF3
INE733E07GG1
INE733E07GH9
INE733E07GI7 | 27-06-2022 | 11-07-2022 |
|
06th June, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 39 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 39 | INE733E07FL3
INE733E07FM1
INE733E07FN9
INE733E07FO7
INE733E07FP4
INE733E07FQ2
INE733E07FR0
INE733E07FS8
INE733E07FT6 | 05-07-2022 | 11-07-2022 |
|
06th June, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 38 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 38 | INE733E07EW3
INE733E07EX1
INE733E07EY9
INE733E07EZ6
INE733E07FA6
INE733E07FB4
INE733E07FC2
INE733E07FD0
INE733E07FE8 | 05-07-2022 | 11-07-2022 |
|
06th June, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 36 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 36 | INE733E07EG6
INE733E07EH4
INE733E07EI2
INE733E07EJ0
INE733E07EK8
INE733E07EL6
INE733E07EM4
INE733E07EN2
INE733E07EO0 | 21-06-2022 | 11-07-2022 |
|
06th June, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 35 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 35 | INE733E07DR5
INE733E07DS3
INE733E07DT1
INE733E07DU9
INE733E07DV7
INE733E07DW5
INE733E07DX3
INE733E07DY1
INE733E07DZ8 | 21-06-2022 | 11-07-2022 |
|
06th June, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 34 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 34 | INE733E07DD5
INE733E07DE3
INE733E07DF0
INE733E07DG8
INE733E07DH6
INE733E07DI4
INE733E07DJ2
INE733E07DK0 | 21-06-2022 | 11-07-2022 |
|
06th June, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 32 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 32 | INE733E07CN6
INE733E07CO4
INE733E07CP1
INE733E07CQ9
INE733E07CR7
INE733E07CS5
INE733E07CT3
INE733E07CU1 | 21-06-2022 | 11-07-2022 |
|
06th June, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 45 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 45 | INE733E07IC6
INE733E07ID4
INE733E07IE2
INE733E07IF9
INE733E07IG7
INE733E07IH5
INE733E07II3
INE733E07IJ1
INE733E07IK9
INE733E07IL7 | 23-06-2022 | 08-07-2022 |
|
06th June, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 41 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 41 | INE733E07GO5
INE733E07GP2
INE733E07GQ0
INE733E07GR8
INE733E07GS6
INE733E07GT4
INE733E07GU2
INE733E07GV0
INE733E07GW8
INE733E07GX6 | 23-06-2022 | 08-07-2022 |
|
27th May, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 27.05.2022:- Bond Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 61 | INE733E07KC2
INE733E07KD0 | Interest | 27.05.2022 | 57,91,50,000/- |
|
13th May, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 13.05.2022:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 45(STRPP E) | INE733E07IB8 | Redemption & Interest thereon | 13.05.2022 | 5,39,81,892/- |
|
13th May, 2022 | NTPC Ltd. Bonds Series 45 � STRPP E (ISIN INE733E07IB8) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.4376% 2022
(S- XLV) STRPP-E | PT | 13.05.2022 |
The said Bonds had matured on 13.05.2022 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
06th May, 2022 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds � Series 34 (STRPP G) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 34 (STRPP G) | INE733E07DC7 | 23-05-2022 | 10-06-2022 |
|
06th May, 2022 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds � Series 39 (STRPP F) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 39 (STRPP F) | INE733E07FK5 | 03-06-2022 | 09-06-2022 |
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05th May, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 05.05.2022:- Bond Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 60 | INE733E07KA6 | Interest | 05.05.2022 | 80,50,00,000/- |
|
04th May, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 04.05.2022:- Bond Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 44 | INE733E07HS4
INE733E07HT2
INE733E07HU0
INE733E07HV8
INE733E07HW6 | Interest | 04.05.2022 | 46,25,00,000/- |
|
02 nd May, 2022 | NTPC Ltd. Bonds Series 68 (ISIN INE733E07KK5) is listed on the Debt Market Segment of NSE & BSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 7.93% 2022
(SRS-68) | PT | 02.05.2022 |
The said Bonds had matured on 02.05.2022 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE & BSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
02 nd May, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 02.05.2022:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 68 | INE733E07KK5 | Redemption & Interest thereon | 02.05.2022 | 32,98,21,63,943/- |
|
20th April, 2022 | Pursuant to Regulation 52(7) of the Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations, 2015, statement on utilisation of proceeds of Non-Convertible Debenture for the Quarter ended March 31, 2022 is detailed below:- Bonds Series & Issue type | Series 75 (Private placement) | Series 76 (Private placement) | Issue size | Rs 3,000 crore | Rs 1,175 crore | Allotment date | 13-09-2021 | 20-12-2021 | Maturity date | 13-09-2031 | 14-04-2032 | Listed at | BSE | NSE | ISIN | INE733E08197 | INE733E08205 | Funds utilised upto 31.03.2022 | Rs 3,000 crore | Rs 884 crore | Deviation/ Variation in use of funds from objects of issue | Nil | Nil | Funds unutilised as on 31.03.2022 | Nil | Rs 291 crore |
|
20th April, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 20.04.2022:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 74 | INE733E08189 | Interest | 20.04.2022 | 2,74,52,52,000/- |
|
18th April, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 16.04.2022:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 70 | INE733E08148 | Interest | 16.04.2022 | 2,86,50,35,500/- |
|
04th April, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 04.04.2022:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 49 | INE733E07JD2 | Interest | 04.04.2022 | 17,64,82,193/- |
|
04th April, 2022 | Pursuant to Regulation 57(5) of the Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations, 2015, we would like to confirm that the Company has complied with the payment obligations for the Quarter ended March 31, 2022. Further, we also confirm that there were no unpaid interest / principal payment obligations in relation to the Non-Convertible Debentures as on March 31, 2022. |
30th March, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 61 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 61 | INE733E07KC2
INE733E07KD0 | 12-05-2022 | 27-05-2022 |
|
30th March, 2022 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 45 (STRPP E) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 45
(STRPP E) | INE733E07IB8 | 28-04-2022 | 13-05-2022 |
|
30th March, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 60 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 60 | INE733E07KA6 | 20-04-2022 | 05-05-2022 |
|
30th March, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 44 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 44 | INE733E07HS4
INE733E07HT2
INE733E07HU0
INE733E07HV8
INE733E07HW6 | 19-04-2022 | 04-05-2022 |
|
30th March, 2022 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 68 are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 68 | INE733E07KK5 | 18-04-2022 | 02-05-2022 |
|
30th March, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 25.03.2022:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 54 | INE733E07JP6 | Interest | 25.03.2022 | 875,04,99,830.87/- |
|
30th March, 2022 | NTPC Ltd. Bonds Series 32 � STRPP G (ISIN INE733E07CM8) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.8493% 2022
(S-XXXII) STRPP-G | PT | 25.03.2022 |
The said Bonds had matured on 25.03.2022 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
25th March, 2022 | In terms of regulation 57(4) of the SEBI (LODR) Regulations, 2015, details for all the non-convertible securities for which interest/principal obligations are payable during April to June'22 are Click here to view. |
25th March, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 25.03.2022:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 54 | INE733E07JP6 | Interest | 25.03.2022 | 875,04,99,830.87/- |
|
25th March, 2022 | NTPC Ltd. Bonds Series 32 � STRPP G (ISIN INE733E07CM8) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.8493% 2022
(S-XXXII) STRPP-G | PT | 25.03.2022 |
The said Bonds had matured on 25.03.2022 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
25th March, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 25.03.2022:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 32
(STRPP G) | INE733E07CM8 | Redemption & Interest thereon | 25.03.2022 | 7,43,44,643/- |
|
24th March, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 24.03.2022:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 52 | INE733E07JN1 | Interest | 24.03.2022 | 34,73,71,234/- |
|
22th March, 2022 | NTPC Ltd. Bonds Series 38 � STRPP F (ISIN INE733E07EV5) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.17% 2022
(S-XXXVIII) STRPP-F | PT | 22.03.2022 |
The said Bonds had matured on 22.03.2022 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange |
22 nd March, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 22.03.2022:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 38(STRPP F) | INE733E07EV5 | Redemption & Interest thereon | 22.03.2022 | 5,31,78,096/- |
|
07th March, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 04.03.2022:- Bond Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid
(Rs) | 51-A | INE733E07JK7 | Interest | 04.03.2022 | 6,14,25,000/- | 51-B | INE733E07JL5 | Interest | 04.03.2022 | 9,06,15,000/- | 51-C | INE733E07JM3 | Interest | 04.03.2022 | 27,55,20,000/- |
|
07th March, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 07.03.2022:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid
(Rs) | 48 | INE733E07JC4 | Interest | 07.03.2022 | 26,26,17,536/- |
|
02 nd March, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 74 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 74 | INE733E08189 | 05-04-2022 | 20-04-2022 |
|
02 nd March, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 70 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 70 | INE733E08148 | 04-04-2022 | 16-04-2022 |
|
02 nd March, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 49 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 49 | INE733E07JD2 | 21-03-2022 | 04-04-2022 |
|
02 nd March, 2022 | NTPC Ltd. Bonds Series 43 � STRPP E (ISIN INE733E07HH7) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.2573% 2022
(S-XLIII) STRPP-E | PT | 02.03.2022 |
The said Bonds had matured on 02.03.2022 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
02 nd March, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 02.03.2022:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid
(Rs.) | 43
(STRPP E) | INE733E07HH7 | Redemption & Interest thereon | 02.03.2022 | 5,29,54,727/- |
|
01 st February, 2022 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 43 (STRPP E) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 43(STRPP E) | INE733E07HH7 | 15-02-2022 | 02-03-2022 |
|
01 st February, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 51-A, Series 51-B & Series 51-C are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 51-A | INE733E07JK7 | 17-02-2022 | 04-03-2022 | 51-B | INE733E07JL5 | 51-C | INE733E07JM3 |
|
01 st February, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 48 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 48 | INE733E07JC4 | 21-02-2022 | 07-03-2022 |
|
01 st February, 2022 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 38 (STRPP F) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 38 (STRPP F) | INE733E07EV5 | 16-03-2022 | 22-03-2022 |
|
01 st February, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 52 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 52 | INE733E07JN1 | 09-03-2022 | 24-03-2022 |
|
01 st February, 2022 | In terms of regulations 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 32 (STRPP G) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 32(STRPP G) | INE733E07CM8 | 07-03-2022 | 25-03-2022 |
|
01 st February, 2022 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 54 are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 54 | INE733E07JP6 | 10-03-2022 | 25-03-2022 |
|
27th January, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 27.01.2022:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid
(Rs) | 73 | INE733E08171 | Interest | 27.01.2022 | 1,60,75,00,000/- |
|
25th January, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 25.01.2022:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid
(Rs) | 42 | INE733E07GY4
INE733E07GZ1
INE733E07HA2
INE733E07HB0
INE733E07HC8 | Interest | 25.01.2022 | 45,00,00,000/- |
|
24th January, 2022 | Pursuant to Regulation 52(7) of the Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations, 2015, statement on utilisation of proceeds of Non-Convertible Debenture for the Quarter ended December 31, 2021 is detailed below:- Bonds Series & Issue type | Series 75 (Private placement) | Series 76 (Private placement) | Issue size | Rs 3,000 crore | Rs 1,175 crore | Allotment date | 13-09-2021 | 20-12-2021 | Maturity date | 13-09-2031 | 14-04-2032 | Listed at | BSE | NSE | ISIN | INE733E08197 | INE733E08205 | Funds utilised upto 31.12.2021 | Rs 2,384 crore | Nil | Deviation/ Variation in use of funds
from objects of issue | Nil | Nil | Funds unutilised as on 31.12.2021 | Rs 616 crore | Rs 1,175 crore |
|
15th January, 2022 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 15.01.2022:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid
(Rs) | 67 | INE733E07KJ7 | Interest | 15.01.2022 | 3,32,00,00,000/- |
|
23 rd December, 2021 | NTPC Ltd. Bonds Series 41 - STRPP E (ISIN INE733E07GN7) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.6713% 2021
(S-XLI) STRPP-E | PT | 23.12.2021 |
The said Bonds had matured on 23.12.2021 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange |
23 rd December, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 23.12.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid
(Rs) | 41
(STRPP E) | INE733E07GN7 | Redemption & Interest thereon | 23.12.2021 | 5,22,12,475/- |
|
21 st December, 2021 | In terms of regulation 57(4) of the SEBI (LODR) Regulations, 2015, details for all the non-convertible securities for which interest/principal obligations are payable during January to March,22 are attached. |
16th December, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 16.12.2021:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid
(Rs) | 50-1A
50-2A
50-3A
50-1B
50-2B
50-3B | INE733E07JE0
INE733E07JF7
INE733E07JG5
INE733E07JH3
INE733E07JI1
INE733E07JJ9 | Interest | 16.12.2021 | 1,50,70,75,596/- |
|
15th December, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 15.12.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid
(Rs) | 57 | INE733E07JX0 | Interest | 15.12.2021 | 40,95,00,000/- |
|
15th December, 2021 | NTPC Ltd. Bonds Series 36 - STRPP F (ISIN INE733E07EF8) is listed on the Debt Market Segment of NSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.8086% 2021
(S-XXXVI) STRPP-F | PT | 15.12.2021 |
The said Bonds had matured on 15.12.2021 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange |
15th December, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 15.12.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid
(Rs) | 36
(STRPP F) | INE733E07EF8 | Redemption & Interest thereon | 15.12.2021 | 5,18,82,386/- |
|
14th December, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 14.12.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid
(Rs) | 66 | INE733E07KI9 | Interest | 14.12.2021 | 2,89,27,25,000/- |
|
06th December, 2021 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 73 are detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 73 | INE733E08171 | 12-01-2022 | 27-01-2022 |
|
06th December, 2021 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 42 are detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 42 | INE733E07GY4
INE733E07GZ1
INE733E07HA2
INE733E07HB0
INE733E07HC8 | 10-01-2022 | 25-01-2022 |
|
06th December, 2021 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 67 are detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 67 | INE733E07KJ7 | 31-12-2021 | 15-01-2022 |
|
25th November, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 16.10.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 72 | INE733E08163 | Interest | 16.10.2021 | 2,18,00,00,000/- |
The said Bonds had matured on 24.11.2021 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE & BSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange |
24th November, 2021 | NTPC Ltd. Bonds Series 65 (ISIN INE733E07KH1) is listed on the Debt Market Segment of National Stock Exchange & BSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 6.72% 2021
(SRS-65) | PT | 24.11.2021 |
The said Bonds had matured on 24.11.2021 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE & BSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange |
24th November, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 24.11.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 65 | INE733E07KH1 | Redemption & Interest thereon | 24.11.2021 | 7,47,04,00,000/- |
|
08th November, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 08.11.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 64 | INE733E07KG3 | Interest | 23-12-2021 | 08.11.2021 | 52,57,36,442/- |
|
08th November, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 08.11.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 64 | INE733E07KG3 | Interest | 23-12-2021 | 08.11.2021 | 52,57,36,442/- |
|
03 rd November, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 41 (STRPP E) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 41 | INE733E07GN7 | 08-12-2021 | 23-12-2021 |
|
03 rd November, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 50 are detailed as under:- Bond Series | ISINs | Record Date | Interest Payment Date | 50-1A
50-2A
50-3A
50-1B
50-2B
50-3B | INE733E07JE0
INE733E07JF7
INE733E07JG5
INE733E07JH3
INE733E07JI1
INE733E07JJ9 | 01-12-2021 | 16-12-2021 |
|
03 rd November, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 57 are detailed as under:- Bond Series | ISINs | Record Date | Interest Payment Date | 57 | INE733E07JX0 | 30-11-2021 | 15-12-2021 |
|
03 rd November, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 57 are detailed as under:- Bond Series | ISINs | Record Date | Interest Payment Date | 57 | INE733E07JX0 | 30-11-2021 | 15-12-2021 |
|
03 rd November, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 36 (STRPP F) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 36 | INE733E07EF8 | 25-11-2021 | 15-12-2021 |
|
03 rd November, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 66 are detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 66 | INE733E07KI9 | 29-11-2021 | 14-12-2021 |
|
18th October, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 16.10.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid(Rs) | 72 | INE733E08163 | Interest | 16.10.2021 | 2,18,00,00,000/- |
|
6th October, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 65 is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 65 | INE733E07KH1 | 09-11-2021 | 24-11-2021 |
|
6th October, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 64 is detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 64 | INE733E07KG3 | 25-10-2021 | 08-11-2021 |
|
5th October, 2021 | Pursuant to Regulation 57(5) of the Securities and Exchange Board of India (Listing Obligations and Disclosure Requirements) Regulations, 2015, we would like to confirm that the Company has complied with the payment obligations for the Quarter ended September 30, 2021.
Further, we also confirm that there were no unpaid interest / principal payment obligations in relation to the Non-Convertible Debentures as on September 30, 2021. |
5th October, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 05.10.2021:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 56-1A
56-2A
56-3A
56-1B
56-2B
56-3B | INE733E07JR2
INE733E07JS0
INE733E07JT8
INE733E07JU6
INE733E07JV4
INE733E07JW2 | Interest | 05.10.2021 | 51,60,00,274/- |
|
4th October, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 04.10.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 47 | INE733E07JB6 | Interest | 04.10.2021 | 34,57,04,547/- |
|
24th September, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 24.09.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 52 | INE733E07JN1 | Interest | 24.09.2021 | 35,31,28,766/- |
|
23 rd September, 2021 | In terms of regulation 57(4) of the SEBI (LODR) Regulations, 2015, details for all the non-convertible securities for which interest/dividend/principal obligations are payable during October to December�21 are attached. In terms of regulation 57(4) of the SEBI (LODR) Regulations, 2015, details for all the non-convertible securities for which interest/dividend/principal obligations are payable during October to December�21 are attached. |
22 nd September, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 22.09.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 53 | INE733E07JO9 | Interest | 22.09.2021 | 91,70,00,000/- |
|
16th September, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 16.09.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 63 | INE733E07KF5 | Interest | 16.09.2021 | 50,04,90,000/- |
|
15th September, 2021 | NTPC Ltd. Bonds Series 35 � STRPP F (ISIN INE733E07DQ7) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.785% 2021
(S-XXXV) STRPP-F | PT | 15.09.2021 |
The said Bonds had matured on 15.09.2021 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
15th September, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 15.09.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 35(STRPP F) | INE733E07DQ7 | Redemption & Interest thereon | 15.09.2021 | 8,12,51,562/- |
|
01 st September, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 72 is detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 72 | INE733E08163 | 01-10-2021 | 16-10-2021 |
|
01 st September, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 56 is detailed as under:- Bond Series | ISINs | Record Date | Interest Payment Date | 56-1A
56-2A
56-3A
56-1B
56-2B
56-3B | INE733E07JR2
INE733E07JS0
INE733E07JT8
INE733E07JU6
INE733E07JV4
INE733E07JW2 | 20-09-2021 | 05-10-2021 |
|
01 st September, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 47 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 47 | INE733E07JB6 | 20-09-2021 | 04-10-2021 |
|
23 st August, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 23.08.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 62 | INE733E07KE8 | Interest | 23.08.2021 | 60,47,38,629/- |
|
21 st August, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 21.08.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 55 | INE733E07JQ4 | Interest | 21.08.2021 | 21,45,00,000/- |
|
06th August, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 52 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 52 | INE733E07JN1 | 09-09-2021 | 24-09-2021 |
|
06th August, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 53 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 53 | INE733E07JO9 | 07-09-2021 | 22-09-2021 |
|
06th August, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 63 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 63 | INE733E07KF5 | 01-09-2021 | 16-09-2021 |
|
06th August, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds � Series 35 (STRPP F) is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 35 | INE733E07DQ7 | 26-08-2021 | 15-09-2021 |
|
31th July, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 31.07.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 71 | INE733E08155 | Interest | 31.07.2021 | 62,90,00,000/- |
|
29th July, 2021 | NTPC Ltd. Bonds Series 40 � STRPP E (ISIN INE733E07FY6) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.558% 2021
(S-XL) STRPP-E | PT | 29.07.2021 |
The said Bonds had matured on 29.07.2021 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
29th July, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 29.07.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 40
(STRPP E) | INE733E07FY6 | Redemption & Interest thereon | 29.07.2021 | 5,02,22,584/- |
|
20th July, 2021 | NTPC Ltd. Bonds Series 46 � STRPP D (ISIN INE733E07IP8) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.3473% 2021
(S-XLVI) STRPP-D | PT | 20.07.2021 |
The said Bonds had matured on 20.07.2021 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
20th July, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 20.07.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 46
(STRPP D) | INE733E07IP8 | Redemption & Interest thereon | 20.07.2021 | 5,01,02,436/- |
|
17th July, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 17.07.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 69 | INE733E07KL3 | Interest | 17.07.2021 | 3,14,76,00,000/- |
|
14th July, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 62 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 62 | INE733E07KE8 | 09-08-2021 | 23-08-2021 |
|
14th July, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 55 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 55 | INE733E07JQ4 | 06-08-2021 | 21-08-2021 |
|
12th July, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 12.07.2021:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 46 | INE733E07IP8
INE733E07IQ6
INE733E07IR4
INE733E07IS2
INE733E07IT0
INE733E07IU8
INE733E07IV6
INE733E07IW4
INE733E07IX2
INE733E07IY0
INE733E07IZ7
INE733E07JA8 | Interest | 12.07.2021 | 5,63,91,108/- |
|
12th July, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 12.07.2021:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 43 | INE733E07HH7
INE733E07HI5
INE733E07HJ3
INE733E07HK1
INE733E07HL9
INE733E07HM7
INE733E07HN5
INE733E07HO3
INE733E07HP0
INE733E07HQ8
INE733E07HR6 | Interest | 12.07.2021 | 5,11,94,137/- |
|
12th July, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 12.07.2021:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 40 | INE733E07FY6
INE733E07FZ3
INE733E07GA4
INE733E07GB2
INE733E07GC0
INE733E07GD8
INE733E07GE6
INE733E07GF3
INE733E07GG1
INE733E07GH9
INE733E07GI7 | Interest | 12.07.2021 | 5,28,57,049/- |
|
12th July, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 12.07.2021:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 39 | INE733E07FK5
INE733E07FL3
INE733E07FM1
INE733E07FN9
INE733E07FO7
INE733E07FP4
INE733E07FQ2
INE733E07FR0
INE733E07FS8
INE733E07FT6 | Interest | 12.07.2021 | 6,60,87,349/- |
|
12th July, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 12.07.2021:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 38 | INE733E07EV5
INE733E07EW3
INE733E07EX1
INE733E07EY9
INE733E07EZ6
INE733E07FA6
INE733E07FB4
INE733E07FC2
INE733E07FD0
INE733E07FE8 | Interest | 12.07.2021 | 4,61,01,233/- |
|
12th July, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 12.07.2021:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 36 | INE733E07EF8
INE733E07EG6
INE733E07EH4
INE733E07EI2
INE733E07EJ0
INE733E07EK8
INE733E07EL6
INE733E07EM4
INE733E07EN2
INE733E07EO0 | Interest | 12.07.2021 | 4,42,84,332/- |
|
12th July, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 12.07.2021:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 35 | INE733E07DQ7
INE733E07DR5
INE733E07DS3
INE733E07DT1
INE733E07DU9
INE733E07DV7
INE733E07DW5
INE733E07DX3
INE733E07DY1
INE733E07DZ8 | Interest | 12.07.2021 | 7,06,65,096/- |
|
12th July, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 12.07.2021:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 34 | INE733E07DC7
INE733E07DD5
INE733E07DE3
INE733E07DF0
INE733E07DG8
INE733E07DH6
INE733E07DI4
INE733E07DJ2
INE733E07DK0 | Interest | 12.07.2021 | 7,88,19,534/- |
|
12th July, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 12.07.2021:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 32 | INE733E07CM8
INE733E07CN6
INE733E07CO4
INE733E07CP1
INE733E07CQ9
INE733E07CR7
INE733E07CS5
INE733E07CT3
INE733E07CU1 | Interest | 12.07.2021 | 5,60,56,073/- |
|
09th July, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 09.07.2021:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 45 | INE733E07IB8
INE733E07IC6
INE733E07ID4
INE733E07IE2
INE733E07IF9
INE733E07IG7
INE733E07IH5
INE733E07II3
INE733E07IJ1
INE733E07IK9
INE733E07IL7 | Interest | 09.07.2021 | 5,17,64,590/- |
|
09th July, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 09.07.2021:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 41 | INE733E07GN7
INE733E07GO5
INE733E07GP2
INE733E07GQ0
INE733E07GR8
INE733E07GS6
INE733E07GT4
INE733E07GU2
INE733E07GV0
INE733E07GW8
INE733E07GX6 | Interest | 09.07.2021 | 5,30,46,418/- |
|
10th June, 2021 | NTPC Ltd. Bonds Series 34 � STRPP F (ISIN INE733E07DB9) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.71% 2021
(S- XXXIV) STRPP-F | PT | 10.06.2021 |
The said Bonds had matured on 10.06.2021 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
10th June, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 10.06.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 34
(STRPP F) | INE733E07DB9 | Redemption & Interest thereon | 10.06.2021 | 10,79,94,110/- |
|
09th June, 2021 | NTPC Ltd. Bonds Series 39 � STRPP E (ISIN INE733E07FJ7) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.3896% 2021
(S- XXXIX) STRPP-E | PT | 09.06.2021 |
The said Bonds had matured on 09.06.2021 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
09th June, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 09.06.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 39
(STRPP E) | INE733E07FJ7 | Redemption & Interest thereon | 09.06.2021 | 7,60,14,489/- |
|
04th June, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 71 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 71 | INE733E08155 | 16-07-2021 | 31-07-2021 |
|
04th June, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds � Series 40 (STRPP E) is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 40 | INE733E07FY6 | 14-07-2021 | 29-07-2021 |
|
04th June, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds � Series 46 (STRPP D) is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 46 | INE733E07IP8 | 05-07-2021 | 20-07-2021 |
|
04th June, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 69 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 69 | INE733E07KL3 | 02-07-2021 | 17-07-2021 |
|
04th June, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 46 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 46 | INE733E07IP8
INE733E07IQ6
INE733E07IR4
INE733E07IS2
INE733E07IT0
INE733E07IU8
INE733E07IV6
INE733E07IW4
INE733E07IX2
INE733E07IY0
INE733E07IZ7
INE733E07JA8 | 28-06-2021 | 12-07-2021 |
|
04th June, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 43 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 43 | INE733E07HH7
INE733E07HI5
INE733E07HJ3
INE733E07HK1
INE733E07HL9
INE733E07HM7
INE733E07HN5
INE733E07HO3
INE733E07HP0
INE733E07HQ8
INE733E07HR6 | 28-06-2021 | 12-07-2021 |
|
04th June, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 40 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 40 | INE733E07FY6
INE733E07FZ3
INE733E07GA4
INE733E07GB2
INE733E07GC0
INE733E07GD8
INE733E07GE6
INE733E07GF3
INE733E07GG1
INE733E07GH9
INE733E07GI7 | 28-06-2021 | 12-07-2021 |
|
04th June, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 39 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 39 | INE733E07FK5
INE733E07FL3
INE733E07FM1
INE733E07FN9
INE733E07FO7
INE733E07FP4
INE733E07FQ2
INE733E07FR0
INE733E07FS8
INE733E07FT6 | 06-07-2021 | 12-07-2021 |
|
04th June, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 38 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 38 | INE733E07EV5
INE733E07EW3
INE733E07EX1
INE733E07EY9
INE733E07EZ6
INE733E07FA6
INE733E07FB4
INE733E07FC2
INE733E07FD0
INE733E07FE8 | 06-07-2021 | 12-07-2021 |
|
04th June, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 36 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 36 | INE733E07EF8
INE733E07EG6
INE733E07EH4
INE733E07EI2
INE733E07EJ0
INE733E07EK8
INE733E07EL6
INE733E07EM4
INE733E07EN2
INE733E07EO0 | 22-06-2021 | 12-07-2021 |
|
04th June, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 35 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 35 | INE733E07DQ7
INE733E07DR5
INE733E07DS3
INE733E07DT1
INE733E07DU9
INE733E07DV7
INE733E07DW5
INE733E07DX3
INE733E07DY1
INE733E07DZ8 | 22-06-2021 | 12-07-2021 |
|
04th June, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 34 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 34 | INE733E07DC7
INE733E07DD5
INE733E07DE3
INE733E07DF0
INE733E07DG8
INE733E07DH6
INE733E07DI4
INE733E07DJ2
INE733E07DK0 | 22-06-2021 | 12-07-2021 |
|
04th June, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 32 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 32 | INE733E07CM8
INE733E07CN6
INE733E07CO4
INE733E07CP1
INE733E07CQ9
INE733E07CR7
INE733E07CS5
INE733E07CT3
INE733E07CU1 | 22-06-2021 | 12-07-2021 |
|
04th June, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 45 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 45 | INE733E07IB8
INE733E07IC6
INE733E07ID4
INE733E07IE2
INE733E07IF9
INE733E07IG7
INE733E07IH5
INE733E07II3
INE733E07IJ1
INE733E07IK9
INE733E07IL7 | 24-06-2021 | 09-07-2021 |
|
04th June, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 41 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 41 | INE733E07GN7
INE733E07GO5
INE733E07GP2
INE733E07GQ0
INE733E07GR8
INE733E07GS6
INE733E07GT4
INE733E07GU2
INE733E07GV0
INE733E07GW8
INE733E07GX6 | 24-06-2021 | 09-07-2021 |
|
27th May, 2021 | NTPC Ltd. Bonds Series 61 � STRPP A (ISIN INE733E07KB4) is listed on the Debt Market Segment of National Stock Exchange & BSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.10% 2021
(SRS- 61) STRPP-A | PT | 27.05.2021 |
The said Bonds had matured on 27.05.2021 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE & BSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
27 nd May, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest / Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 27.05.2021:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 61 | INE733E07KB4 | Redemption & Interest thereon | 27.05.2021 | 4,44,37,25,000/- | INE733E07KC2 | Interest | INE733E07KD0 | Interest |
|
15th May, 2021 | NTPC Ltd. Bonds Series 45 � STRPP D (ISIN INE733E07IA0) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.4376% 2021
(S- XLV) STRPP-D | PT | 15.05.2021 |
The said Bonds had matured on 15.05.2021 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
15th May, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 15.05.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 45 | INE733E07IA0 | Redemption & Interest thereon | 15.05.2021 | 5,39,94,820/- |
|
06th May, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds � Series 34 (STRPP F) is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 34 | INE733E07DB9 | 21-05-2021 | 10-06-2021 |
|
06th May, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds � Series 39 (STRPP E) is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 39 | INE733E07FJ7 | 03-06-2021 | 09-06-2021 |
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05th May, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 05.05.2021:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 60 | INE733E07KA6 | Interest | 05.05.2021 | 80,50,00,000/- |
|
04 rd May, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 04.05.2021:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 44 | INE733E07HS4
INE733E07HT2
INE733E07HU0
INE733E07HV8
INE733E07HW6 | Interest | 04.05.2021 | 46,25,00,000/- |
|
03 rd May, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 03.05.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 68 | INE733E07KK5 | Interest | 03.05.2021 | 2,42,38,04,500/- |
|
16 rd April, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 16.04.2021:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 70 | INE733E08148 | Interest | 16.04.2021 | 2,86,50,35,500/- |
|
03 rd April, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 03.04.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 49 | INE733E07JD2 | Interest | 03.04.2021 | 17,55,17,807/- |
|
25th March, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 25.03.2021:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 54 | INE733E07JP6 | Interest | 25.03.2021 | 875,04,99,866.45/- |
|
25th March, 2021 | NTPC Ltd. Bonds Series 32 � STRPP F (ISIN INE733E07CL0) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.8493% 2021
(S-XXXII) STRPP-F | PT | 25.03.2021 |
The said Bonds had matured on 25.03.2021 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
25th March, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 25.03.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 32 | INE733E07CL0 | Redemption & Interest thereon | 25.03.2021 | 7,43,78,585/- |
|
31 st March, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date/Interest Payment Date for NTPC Ltd. Bonds � Series 61 are detailed as under:- Bond Series | ISINs | Nature of Payment | Record Date | Payment Date | 61 | INE733E07KB4 | Repayment & Interest | 12-05-2021 | 27-05-2021 |
|
31 st March, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds � Series 45 (STRPP D) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 45 | INE733E07IA0 | Repayment & Interest | 30-04-2021 | 15-05-2021 |
|
31 st March, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 60 are detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 60 | INE733E07KA6 | 20-04-2021 | 05-05-2021 |
|
31 st March, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 60 are detailed as under:- Bond Series | ISINs | Record Date | Interest Payment Date | 44 | INE733E07HS4
INE733E07HT2
INE733E07HU0
INE733E07HV8
INE733E07HW6 | 19-04-2021 | 04-05-2021 |
|
31 st March, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 68 are detailed as under:- Bond Series | ISINs | Record Date | Interest Payment Date | 68 | INE733E07KK5 | 19-04-2021 | 03-05-2021 |
|
24th March, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 24.03.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 52 | INE733E07JN1 | Interest | 24.03.2021 | 34,73,71,234/- |
|
22 nd March, 2021 | NTPC Ltd. Bonds Series 38 � STRPP E (ISIN INE733E07EU7) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.17% 2021
(S-XXXVIII) STRPP-E | PT | 22.03.2021 |
The said Bonds had matured on 22.03.2021 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
22 nd March, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 02.03.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 38 | INE733E07EU7 | Redemption & Interest thereon | 22.03.2021 | 5,32,03,219/- |
|
06th March, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 06.03.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 48 | INE733E07JC4 | Interest | 06.03.2021 | 26,11,82,464/- |
|
05th March, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 70 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 70 | INE733E08148 | 05-04-2021 | 16-04-2021 |
|
05th March, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 49 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 49 | INE733E07JD2 | 19-03-2021 | 03-04-2021 |
|
04th March, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 04.03.2021:- Bond Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 51-A | INE733E07JK7 | Interest | 04.03.2021 | 6,14,25,000/- | 51-B | INE733E07JL5 | Interest | 04.03.2021 | 9,06,15,000/- | 51-C | INE733E07JM3 | Interest | 04.03.2021 | 27,55,20,000/- |
The said Bonds had matured on 02.03.2021 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
02 nd March, 2021 | NTPC Ltd. Bonds Series 43 � STRPP D (ISIN INE733E07HG9) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.2573% 2021
(S-XLIII) STRPP-D | PT | 02.03.2021 |
The said Bonds had matured on 02.03.2021 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
02 nd March, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 02.03.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 43 | INE733E07HG9 | Redemption & Interest thereon | 02.03.2021 | 5,29,80,090/- |
|
24th February, 2021 | NTPC Ltd. Bonds Series 59 (ISIN INE733E07JZ5) is listed on the Debt Market Segment of National Stock Exchange & BSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.33% 2021
SRS 59 | PT | 24.02.2021 |
The said Bonds had matured on 24.02.2021 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE & BSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
24th February, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 24.02.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 59 | INE733E07JZ5 | Redemption & Interest thereon | 24.02.2021 | 7,09,56,15,000/- |
|
01 st February, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 54 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 54 | INE733E07JP6 | 10-03-2021 | 25-03-2021 |
|
01 st February, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds � Series 32 (STRPP F) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 32 | INE733E07CL0 | 05-03-2021 | 25-03-2021 |
|
01 st February, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 52 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 52 | INE733E07JN1 | 09-03-2021 | 24-03-2021 |
|
01 st February, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 38 (STRPP E) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 38 | INE733E07EU7 | 16-03-2021 | 22-03-2021 |
|
01 st February, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 48 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 48 | INE733E07JC4 | 22-02-2021 | 06-03-2021 |
|
01 st February, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 51-A, Series 51-B & Series 51-C are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 51-A | INE733E07JK7 | 17-02-2021 | 04-03-2021 | 51-B | INE733E07JL5 | 17-02-2021 | 04-03-2021 | 51-C | INE733E07JM3 | 17-02-2021 | 04-03-2021 |
|
01 st February, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 43 (STRPP D) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 43 | INE733E07HG9 | 15-02-2021 | 02-03-2021 |
|
25th January, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 25.01.2021:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 42 | INE733E07GY4
INE733E07GZ1
INE733E07HA2
INE733E07HB0
INE733E07HC8 | Interest | 25.01.2021 | 45,12,29,506/- |
|
19th January, 2021 | NTPC Ltd. Bonds Series 37 (ISIN INE733E07EP7) is listed on the Debt Market Segment of BSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.93% 2021
(S-XXXVII) | PT | 19.01.2021 |
The said Bonds had matured on 19.01.2021 and payments towards redemption had been made to the Beneficial Owner. We have requested BSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
19th January, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 19.01.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 37 | INE733E07EP7 | Redemption & Interest thereon | 19.01.2021 | 3,11,89,03,561/- |
|
15th January, 2021 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 15.01.2021:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 67 | INE733E07KJ7 | Interest | 15.01.2021 | 3,32,00,00,000/- |
|
06th January, 2021 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds-Series 59 is detailed below:- Bond Series | ISIN | Record Date | Repayment &
Interest Date | 59 | INE733E07JZ5 | 09-02-2021 | 24-02-2021 |
|
31 st December, 2020 | NTPC Ltd. Bonds Series 58 (ISIN INE733E07JY8) is listed on the Debt Market Segment of National Stock Exchange & BSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.18% 2020
SRS 58 | PT | 31.12.2020 |
The said Bonds had matured on 31.12.2020 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE & BSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
31 st December, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 31.12.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 58 | INE733E07JY8 | Redemption & Interest thereon | 31.12.2020 | 3,24,54,00,000/- |
|
23 rd December, 2020 | NTPC Ltd. Bonds Series 41 � STRPP D (ISIN INE733E07GM9) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.6713% 2020
(S-XLI) STRPP-D | PT | 23.12.2020 |
The said Bonds had matured on 23.12.2020 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
23 rd December, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 23.12.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 41 | INE733E07GM9 | Redemption & Interest thereon | 23.12.2020 | 5,21,99,227/- |
|
16th December, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 16.12.2020:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 50-1A
50-2A
50-3A
50-1B
50-2B
50-3B | INE733E07JE0
INE733E07JF7
INE733E07JG5
INE733E07JH3
INE733E07JI1
INE733E07JJ9 | Interest | 16.12.2020 | 1,50,72,98,362/- |
|
15th December, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 15.12.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 57 | INE733E07JX0 | Interest | 15.12.2020 | 40,83,81,144/- |
|
15th December, 2020 | NTPC Ltd. Bonds Series 36 - STRPP E (ISIN INE733E07EE1) is listed on the Debt Market Segment of National Stock Exchange.The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.8086% 2020
(S-XXXVI) STRPP-E | PT | 15.12.2020 |
The said Bonds had matured on 15.12.2020 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
15th December, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 15.12.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 36 | INE733E07EE1 | Redemption & Interest thereon | 15.12.2020 | 5,19,06,519/- |
|
14th December, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 14.12.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 66 | INE733E07KI9 | Interest | 14.12.2020 | 2,87,69,17,758/- |
|
04th December, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 42 are detailed as under:- Bond Series | ISINs | Record Date | Interest Payment Date | 42 | INE733E07GY4
INE733E07GZ1
INE733E07HA2
INE733E07HB0
INE733E07HC8 | 11-01-2021 | 25-01-2021 |
|
04th December, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 37 are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 37 | INE733E07EP7 | 30-12-2020 | 19-01-2021 |
|
04th December, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 67 are detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 67 | INE733E07KJ7 | 31-12-2020 | 15-01-2021 |
|
24th November, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 24.11.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 65 | INE733E07KH1 | Interest | 24.11.2020 | 46,91,14,752/- |
|
09th November, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 07.11.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 64 | INE733E07KG3 | Interest | 07.11.2020 | 52,43,00,000/- |
|
06th November, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 58 is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 58 | INE733E07JY8 | 16-12-2020 | 31-12-2020 |
|
06th November, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 41 (STRPP D) is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 41 | INE733E07GM9 | 08-12-2020 | 23-12-2020 |
|
06th November, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 50 is detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 50-1A
50-2A
50-3A
50-1B
50-2B
50-3B | INE733E07JE0
INE733E07JF7
INE733E07JG5
INE733E07JH3
INE733E07JI1
INE733E07JJ9 | 01-12-2020 | 16-12-2020 |
|
06th November, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 57 is detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 57 | INE733E07JX0 | 01-12-2020 | 15-12-2020 |
|
06th November, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 36 (STRPP E) is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 36 | INE733E07EE1 | 25-11-2020 | 15-12-2020 |
|
06th November, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 36 (STRPP E) is detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 66 | INE733E07KI9 | 01-12-2020 | 14-12-2020 |
|
06th October, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 65 is detailed as under:- Bond Series | ISIN | Nature of Payment | Interest Payment Date | 65 | INE733E07KH1 | 09-11-2020 | 24-11-2020 |
|
06th October, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 64 is detailed as under:- Bond Series | ISIN | Nature of Payment | Interest Payment Date | 64 | INE733E07KG3 | 23-10-2020 | 07-11-2020 |
|
05th October, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 05.10.2020:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 56-1A
56-2A
56-3A
56-1B
56-2B
56-3B | INE733E07JR2
INE733E07JS0
INE733E07JT8
INE733E07JU6
INE733E07JV4
INE733E07JW2 | Interest | 05.10.2020 | 51,60,54,974/- |
|
03th October, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 03.10.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 47 | INE733E07JB6 | Interest | 03.10.2020 | 34,38,18,026/- |
|
24th September, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 24.09.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 52 | INE733E07JN1 | Interest | 24.09.2020 | 35,31,28,766/- |
|
22 nd September, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 22.09.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 53 | INE733E07JO9 | Interest | 22.09.2020 | 91,44,94,532/- |
|
16th September, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 16.09.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 63 | INE733E07KF5 | Interest | 16.09.2020 | 50,04,90,000/- |
|
15th September, 2020 | NTPC Ltd. Bonds Series 35 - STRPP E (ISIN INE733E07DP9) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.785% 2020
(S-XXXV) STRPP-E | PT | 15.09.2020 |
The said Bonds had matured on 15.09.2020 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
15th September, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 15.09.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 35 | INE733E07DP9 | Redemption & Interest thereon | 15.09.2020 | 8,12,90,071/- |
|
02 nd September, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 56 is detailed as under:- Bond Series | ISINs | Record Date | Interest Payment Date | 56-1A
56-2A
56-3A
56-1B
56-2B
56-3B | INE733E07JR2
INE733E07JS0
INE733E07JT8
INE733E07JU6
INE733E07JV4
INE733E07JW2 | 21-09-2020 | 05-10-2020 |
|
02 nd September, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 47 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 47 | INE733E07JB6 | 18-09-2020 | 03-10-2020 |
|
24th Aug, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 24.08.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 62 | INE733E07KE8 | Interest | 24.08.2020 | 60,80,56,829/- |
|
21 st Aug, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 21.08.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 55 | INE733E07JQ4 | Interest | 21.08.2020 | 21,45,00,000/- |
|
10th Aug, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 10.08.2020:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 37 | INE733E07EP7 | Interest | 10.08.2020 | 26,79,00,000/- |
|
06th Aug, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 52 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 52 | INE733E07JN1 | 09-09-2020 | 24-09-2020 |
|
06th Aug, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 53 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 53 | INE733E07JO9 | 07-09-2020 | 22-09-2020 |
|
06th Aug, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 63 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 63 | INE733E07KF5 | 01-09-2020 | 16-09-2020 |
|
06th Aug, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 35 (STRPP E) are detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 35 | INE733E07DP9 | 26-08-2020 | 15-09-2020 |
|
29th July, 2020 | NTPC Ltd. Bonds Series 40 - STRPP D (ISIN INE733E07FX8) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.558% 2020
(S-XL) STRPP-D | PT | 29.07.2020 |
The said Bonds had matured on 29.07.2020 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
29th July, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 29.07.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 40 | INE733E07FX8 | Redemption & Interest thereon | 29.07.2020 | 5,02,48,770/- |
|
20th July, 2020 | NTPC Ltd. Bonds Series 46 - STRPP C (ISIN INE733E07IO1) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.3473% 2020
(S-XLVI) STRPP-C | PT | 20.07.2020 |
The said Bonds had matured on 20.07.2020 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
20th July, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 20.07.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 46 | INE733E07IO1 | Redemption & Interest thereon | 20.07.2020 | 5,01,28,045/- |
|
17th July, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 17.07.2020:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 69 | INE733E07KL3 | Interest | 17.07.2020 | 3,14,76,00,000/- |
|
10th July, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 10.07.2020:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 46 | INE733E07IO1
INE733E07IP8
INE733E07IQ6
INE733E07IR4
INE733E07IS2
INE733E07IT0
INE733E07IU8
INE733E07IV6
INE733E07IW4
INE733E07IX2
INE733E07IY0
INE733E07IZ7
INE733E07JA8 | Interest | 10.07.2020 | 6,07,57,450/- |
|
10th July, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 10.07.2020:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 45 | INE733E07IA0
INE733E07IB8
INE733E07IC6
INE733E07ID4
INE733E07IE2
INE733E07IF9
INE733E07IG7
INE733E07IH5
INE733E07II3
INE733E07IJ1
INE733E07IK9
INE733E07IL7 | Interest | 10.07.2020 | 5,66,25,600/- |
|
10th July, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 10.07.2020:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 43 | INE733E07HG9
INE733E07HH7
INE733E07HI5
INE733E07HJ3
INE733E07HK1
INE733E07HL9
INE733E07HM7
INE733E07HN5
INE733E07HO3
INE733E07HP0
INE733E07HQ8
INE733E07HR6 | Interest | 10.07.2020 | 5,55,43,800/- |
|
10th July, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 10.07.2020:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 41 | INE733E07GM9
INE733E07GN7
INE733E07GO5
INE733E07GP2
INE733E07GQ0
INE733E07GR8
INE733E07GS6
INE733E07GT4
INE733E07GU2
INE733E07GV0
INE733E07GW8
INE733E07GX6 | Interest | 10.07.2020 | 5,80,27,800/- |
|
10th July, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 10.07.2020:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 40 | INE733E07FX8
INE733E07FY6
INE733E07FZ3
INE733E07GA4
INE733E07GB2
INE733E07GC0
INE733E07GD8
INE733E07GE6
INE733E07GF3
INE733E07GG1
INE733E07GH9
INE733E07GI7 | Interest | 10.07.2020 | 5,73,48,000/- |
|
10th July, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 10.07.2020:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 39 | INE733E07FJ7
INE733E07FK5
INE733E07FL3
INE733E07FM1
INE733E07FN9
INE733E07FO7
INE733E07FP4
INE733E07FQ2
INE733E07FR0
INE733E07FS8
INE733E07FT6 | Interest | 10.07.2020 | 7,22,99,920/- |
|
10th July, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 10.07.2020:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 38 | INE733E07EU7
INE733E07EV5
INE733E07EW3
INE733E07EX1
INE733E07EY9
INE733E07EZ6
INE733E07FA6
INE733E07FB4
INE733E07FC2
INE733E07FD0
INE733E07FE8 | Interest | 10.07.2020 | 5,04,35,000/- |
|
10th July, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 10.07.2020:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 36 | INE733E07EE1
INE733E07EF8
INE733E07EG6
INE733E07EH4
INE733E07EI2
INE733E07EJ0
INE733E07EK8
INE733E07EL6
INE733E07EM4
INE733E07EN2
INE733E07EO0 | Interest | 10.07.2020 | 4,84,47,300/- |
|
10th July, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 10.07.2020:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 35 | INE733E07DP9
INE733E07DQ7
INE733E07DR5
INE733E07DS3
INE733E07DT1
INE733E07DU9
INE733E07DV7
INE733E07DW5
INE733E07DX3
INE733E07DY1
INE733E07DZ8 | Interest | 10.07.2020 | 7,73,08,000/- |
|
10th July, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 10.07.2020:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 34 | INE733E07DB9
INE733E07DC7
INE733E07DD5
INE733E07DE3
INE733E07DF0
INE733E07DG8
INE733E07DH6
INE733E07DI4
INE733E07DJ2
INE733E07DK0 | Interest | 10.07.2020 | 8,71,00,000/- |
|
10th July, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 10.07.2020:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 32 | INE733E07CL0
INE733E07CM8
INE733E07CN6
INE733E07CO4
INE733E07CP1
INE733E07CQ9
INE733E07CR7
INE733E07CS5
INE733E07CT3
INE733E07CU1 | Interest | 10.07.2020 | 6,19,45,100/- |
|
07th July, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 62 is detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 62 | INE733E07KE8 | 10.08.2020 | 24.08.2020 |
|
07th July, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 55 is detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 55 | INE733E07JQ4 | 06-08-2020 | 21-08-2020 |
|
07th July, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 37 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 37 | INE733E07EP7 | 21-07-2020 | 10-08-2020 |
|
10th June, 2020 | NTPC Ltd. Bonds Series 34 - STRPP E (ISIN INE733E07DA1) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.71% 2020
(S- XXXIV) STRPP-E | PT | 10.06.2020 |
The said Bonds had matured on 10.06.2020 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
10th June, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 10.06.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 34 | INE733E07DA1 | Redemption & Interest thereon | 10.06.2020 | 10,79,94,110/- |
|
09th June, 2020 | NTPC Ltd. Bonds Series 39 - STRPP D (ISIN INE733E07FI9) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.3896% 2020
(S- XXXIX) STRPP-D | PT | 09.06.2020 |
The said Bonds had matured on 09.06.2020 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
09th June, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 09.06.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 39 | INE733E07FI9 | Redemption & Interest thereon | 09.06.2020 | 7,60,16,014/- |
|
06th June, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 40 (STRPP D) is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 40 | INE733E07FX8 | 14-07-2020 | 29-07-2020 |
|
06th June, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 46 (STRPP C) is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 46 | INE733E07IO1 | 06-07-2020 | 20-07-2020 |
|
06th June, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 69 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 69 | INE733E07KL3 | 02-07-2020 | 17-07-2020 |
|
06th June, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 46 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 46 | INE733E07IO1
INE733E07IP8
INE733E07IQ6
INE733E07IR4
INE733E07IS2
INE733E07IT0
INE733E07IU8
INE733E07IV6
INE733E07IW4
INE733E07IX2
INE733E07IY0
INE733E07IZ7
INE733E07JA8 | 25-06-2020 | 10-07-2020 |
|
06th June, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 45 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 45 | INE733E07IA0
INE733E07IB8
INE733E07IC6
INE733E07ID4
INE733E07IE2
INE733E07IF9
INE733E07IG7
INE733E07IH5
INE733E07II3
INE733E07IJ1
INE733E07IK9
INE733E07IL7 | 25-06-2020 | 10-07-2020 |
|
06th June, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 43 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 43 | INE733E07HG9 INE733E07HH7
INE733E07HI5
INE733E07HJ3
INE733E07HK1
INE733E07HL9
INE733E07HM7
INE733E07HN5
INE733E07HO3
INE733E07HP0
INE733E07HQ8
INE733E07HR6 | 25-06-2020 | 10-07-2020 |
|
06th June, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 41 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 41 | INE733E07GM9
INE733E07GN7
INE733E07GO5
INE733E07GP2
INE733E07GQ0
INE733E07GR8
INE733E07GS6
INE733E07GT4
INE733E07GU2
INE733E07GV0
INE733E07GW8
INE733E07GX6 | 25-06-2020 | 10-07-2020 |
|
06th June, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 40 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 40 | INE733E07FX8
INE733E07FY6
INE733E07FZ3
INE733E07GA4
INE733E07GB2
INE733E07GC0
INE733E07GD8
INE733E07GE6
INE733E07GF3
INE733E07GG1
INE733E07GH9
INE733E07GI7 | 25-06-2020 | 10-07-2020 |
|
06th June, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 39 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 39 | INE733E07FJ7
INE733E07FK5
INE733E07FL3
INE733E07FM1
INE733E07FN9
INE733E07FO7
INE733E07FP4
INE733E07FQ2
INE733E07FR0
INE733E07FS8
INE733E07FT6 | 06-07-2020 | 10-07-2020 |
|
06th June, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 38 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 38 | INE733E07EU7
INE733E07EV5
INE733E07EW3
INE733E07EX1
INE733E07EY9
INE733E07EZ6
INE733E07FA6
INE733E07FB4
INE733E07FC2
INE733E07FD0
INE733E07FE8 | 06-07-2020 | 10-07-2020 |
|
06th June, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 36 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 36 | INE733E07EE1
INE733E07EF8
INE733E07EG6
INE733E07EH4
INE733E07EI2
INE733E07EJ0
INE733E07EK8
INE733E07EL6
INE733E07EM4
INE733E07EN2
INE733E07EO0 | 22-06-2020 | 10-07-2020 |
|
06th June, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 35 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 35 | INE733E07DP9
INE733E07DQ7
INE733E07DR5
INE733E07DS3
INE733E07DT1
INE733E07DU9
INE733E07DV7
INE733E07DW5
INE733E07DX3
INE733E07DY1
INE733E07DZ8 | 22-06-2020 | 10-07-2020 |
|
06th June, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 34 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 35 | INE733E07DB9
INE733E07DC7
INE733E07DD5
INE733E07DE3
INE733E07DF0
INE733E07DG8
INE733E07DH6
INE733E07DI4
INE733E07DJ2
INE733E07DK0 | 22-06-2020 | 10-07-2020 |
|
06th June, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 32 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 32 | INE733E07CL0
INE733E07CM8
INE733E07CN6
INE733E07CO4
INE733E07CP1
INE733E07CQ9
INE733E07CR7
INE733E07CS5
INE733E07CT3
INE733E07CU1 | 22-06-2020 | 10-07-2020 |
|
27th May, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 27.05.2020:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 61 | INE733E07KB4
INE733E07KC2
INE733E07KD0 | Interest | 27.05.2020 | 86,87,25,000/- |
|
16th May, 2020 | NTPC Ltd. Bonds Series 45 � STRPP C (ISIN INE733E07HZ9) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.4376% 2020
(S- XLV) STRPP-C | PT | 16.05.2020 |
The said Bonds had matured on 16.05.2020 and payments towards redemption had been made to the Beneficial Owner. We have requested NSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
16th May, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 16.05.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 45 | INE733E07HZ9 | Redemption & Interest thereon | 16.05.2020 | 5,40,09,691/- |
|
07th May, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 39 (STRPP D) is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 39 | INE733E07FI9 | 03-06-2020 | 09-06-2020 |
|
07th May, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 34 (STRPP E) is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 34 | INE733E07DA1 | 21-05-2020 | 10-06-2020 |
|
05th May, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 05.05.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 60 | INE733E07KA6 | Interest | 05.05.2020 | 80,28,00,545/- |
|
04th May, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 04.05.2020:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 44 | INE733E07HS4
INE733E07HT2
INE733E07HU0
INE733E07HV8
INE733E07HW6 | Interest | 04.05.2020 | 46,25,00,000/- |
|
04th May, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 04.05.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 68 | INE733E07KK5 | Interest | 04.05.2020 | 2,42,38,04,500/- |
|
06th April, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 04.04.2020:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 49 | INE733E07JD2 | Interest | 04.04.2020 | 17,60,00,000/- |
|
31th March, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 31.03.2020:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 33 | INE733E07CV9 | Redemption & Interest thereon | 31.03.2020 | 2,09,92,47,123/- |
|
31th March, 2020 | NTPC Ltd. Bonds Series 33 (ISIN INE733E07CV9) is listed on the Debt Market Segment of BSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.73% 2020
(S-XXXIII) | PT | 31.03.2020 |
The said Bonds had matured on 31.03.2020 and payments towards redemption had been made to the Beneficial Owner. We have requested BSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
30th March, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 61 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 61 | INE733E07KB4
INE733E07KC2
INE733E07KD0 | 12-05-2020 | 27-05-2020 |
|
30th March, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 45 (STRPP C) is detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 45 | INE733E07HZ9 | 04-05-2020 | 16-05-2020 |
|
30th March, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 60 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 60 | INE733E07KA6 | 20-04-2020 | 05-05-2020 |
|
30th March, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 44 are detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 44 | INE733E07HS4
INE733E07HT2
INE733E07HU0
INE733E07HV8
INE733E07HW6 | 20-04-2020 | 04-05-2020 |
|
30th March, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 68 are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 68 | INE733E07KK5 | 20-04-2020 | 04-05-2020 |
|
25th March, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 25.03.2020:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 54 | INE733E07JP6 | Interest | 25.03.2020 | 875,04,99,898.16/- |
|
25th March, 2020 | NTPC Ltd. Bonds Series 32 - STRPP E (ISIN INE733E07CK2) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by your Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.8493% 2020
(S-XXXII) STRPP-E | PT | 25.03.2020 |
The said Bonds had matured on 25.03.2020 and payments towards redemption had been made to the Beneficial Owner. We have requested National Stock Exchange to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
25th March, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 25.03.2020:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 32 | INE733E07CK2 | Redemption & Interest thereon | 25.03.2020 | 7,43,78,585/- |
|
24th March, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 24.03.2020:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 52 | INE733E07JN1 | Interest | 24.03.2020 | 34,83,36,065/- |
|
23th March, 2020 | NTPC Ltd. Bonds Series 38 - STRPP D (ISIN INE733E07ET9) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.17% 2020
(S-XXXVIII) STRPP-D | PT | 23.03.2020 |
The said Bonds had matured on 23.03.2020 and payments towards redemption had been made to the Beneficial Owner. We have requested National Stock Exchange to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
23th March, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 23.03.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 38 | INE733E07ET9 | Redemption & Interest thereon | 23.03.2020 | 5,32,19,522/- |
|
09th March, 2020 | NTPC Ltd. Bonds Series 31 (ISIN INE733E07CF2) is listed on the Debt Market Segment of BSE. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.78% 2020
(S-XXXI) | PT | 09.03.2020 |
The said Bonds had matured on 09.03.2020 and payments towards redemption had been made to the Beneficial Owner. We have requested BSE to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
09th March, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 09.03.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 31 | INE733E07CF2 | Redemption & Interest thereon | 09.03.2020 | 5,28,50,49,315/- |
|
09th March, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 07.03.2020:- Bond Series | ISINs | Nature of Payment | Due Date | Amount Paid (Rs) | 48 | INE733E07JC4 | Interest | 07.03.2020 | 26,19,00,000/- |
|
04th March, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 04.03.2020:- Bond Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 51-A | INE733E07JK7 | Interest | 04.03.2020 | 6,14,25,000/- | 51-B | INE733E07JL5 | Interest | 04.03.2020 | 9,06,15,000/- | 51-C | INE733E07JM3 | Interest | 04.03.2020 | 27,55,20,000/- |
|
03 rd March, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 49 is detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 49 | INE733E07JD2 | 20-03-2020 | 04-04-2020 |
|
02 nd March, 2020 | NTPC Ltd. Bonds Series 43 - STRPP C (ISIN INE733E07HF1) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.2573% 2020
(S-XLIII) STRPP-C | PT | 02.03.2020 |
The said Bonds had matured on 02.03.2020 and payments towards redemption had been made to the Beneficial Owner. We have requested National Stock Exchange to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
02 nd March, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 02.03.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 43 | INE733E07HF1 | Redemption & Interest thereon | 02.03.2020 | 5,29,84,594/- |
|
24th February, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 24.02.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 59 | INE733E07JZ5 | Interest | 24.02.2020 | 54,41,20,165/- |
|
31 st January, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 33 is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 33 | INE733E07CV9 | 11-03-2020 | 31-03-2020 |
|
31 st January, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 54 is detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 54 | INE733E07JP6 | 11-03-2020 | 25-03-2020 |
|
31 st January, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 32 (STRPP E) is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 32 | INE733E07CK2 | 05-03-2020 | 25-03-2020 |
|
31 st January, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 52 is detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 52 | INE733E07JN1 | 09-03-2020 | 24-03-2020 |
|
31 st January, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 38 (STRPP D) is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 38 | INE733E07ET9 | 17-03-2020 | 23-03-2020 |
|
31 st January, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 31 is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 31 | INE733E07CF2 | 18-02-2020 | 09-03-2020 |
|
31 st January, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 48 is detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 48 | INE733E07JC4 | 24-02-2020 | 07-03-2020 |
|
31 st January, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 51-A, Series 51-B & Series 51-C are detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 51-A | INE733E07JK7 | 18-02-2020 | 04-03-2020 | 51-B | INE733E07JL5 | 18-02-2020 | 04-03-2020 | 51-C | INE733E07JM3 | 18-02-2020 | 04-03-2020 |
|
31 st January, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 43 (STRPP C) is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 43 | INE733E07HF1 | 17-02-2020 | 02-03-2020 |
|
24th January, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 24.01.2020:- Bond Series | ISINs | Nature of Payment | Due Date | Amount Paid (Rs) | 42 | INE733E07GY4
INE733E07GZ1
INE733E07HA2
INE733E07HB0
INE733E07HC8 | Interest | 24.01.2020 | 44,87,67,120/- |
|
15th January, 2020 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 15.01.2020:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 67 | INE733E07KJ7 | Interest | 15.01.2020 | 3,32,00,00,000/- |
|
07th January, 2020 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 59 is detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 59 | INE733E07JZ5 | 10-02-2020 | 24-02-2020 |
|
31 st December, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 31.12.2019:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 58 | INE733E07JY8 | Interest | 31.12.2019 | 24,54,00,000/- |
|
23 rd December, 2019 | NTPC Ltd. Bonds Series 41 � STRPP C (ISIN INE733E07GL1) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.6713% 2019
(S-XLI) STRPP-C | PT | 23.12.2019 |
The said Bonds had matured on 23.12.2019 and payments towards redemption had been made to the Beneficial Owner. We have requested National Stock Exchange to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
23 rd December, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 23.12.2019:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 41 | INE733E07GL1 | Redemption & Interest thereon | 23.12.2019 | 5,21,99,227/- |
|
16th December, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 16.12.2019:- Bond Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 50-1A
50-2A
50-3A
50-1B
50-2B
50-3B | INE733E07JE0
INE733E07JF7
INE733E07JG5
INE733E07JH3
INE733E07JI1
INE733E07JJ9 | Interest | 16.12.2019 | 150,33,04,391/- |
|
16th December, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 16.12.2019:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 57 | INE733E07JX0 | Interest | 16.12.2019 | 41,06,21,915/- |
|
16th December, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 16.12.2019:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 66 | INE733E07KI9 | Interest | 16.12.2019 | 290,85,75,551/- |
|
16th December, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 16.12.2019:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 36 | INE733E07ED3 | Redemption & Interest thereon | 16.12.2019 | 5,19,18,585/- |
|
16th December, 2019 | NTPC Ltd. Bonds Series 36 - STRPP D (ISIN INE733E07ED3) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.8086% 2019
(S-XXXVI) STRPP-D | PT | 16.12.2019 |
The said Bonds had matured on 16.12.2019 and payments towards redemption had been made to the Beneficial Owner. We have requested National Stock Exchange to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
2 nd December, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 67 is detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 67 | INE733E07KJ7 | 31-12-2019 | 15-01-2020 |
|
2 nd December, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 42 is detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 42 | INE733E07GY4
INE733E07GZ1
INE733E07HA2
INE733E07HB0
INE733E07HC8 | 09-01-2020 | 24-01-2020 |
|
25th November, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 25.11.2019:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 65 | INE733E07KH1 | Interest | 25.11.2019 | 46,91,11,237/- |
|
07th November, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 07.11.2019:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 64 | INE733E07KG3 | Interest | 07.11.2019 | 52,28,63,559/- |
|
06th November, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 36 (STRPP D) is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 36 | INE733E07ED3 | 26-11-2019 | 16-12-2019 |
|
06th November, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 50 is detailed as under:- Bond Series | ISINs | Record Date | Interest Payment Date | 50-1A
50-2A
50-3A
50-1B
50-2B
50-3B | INE733E07JE0
INE733E07JF7
INE733E07JG5
INE733E07JH3
INE733E07JI1
INE733E07JJ9 | 02-12-2019 | 16-12-2019 |
|
06th November, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 57 is detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 57 | INE733E07JX0 | 02-12-2019 | 16-12-2019 |
|
06th November, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 66 is detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 66 | INE733E07KI9 | 02-12-2019 | 16-12-2019 |
|
06th November, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 41 (STRPP C) is detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 41 | INE733E07GL1 | 09-12-2019 | 23-12-2019 |
|
06th November, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 58 is detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 58 | INE733E07JY8 | 16-12-2019 | 31-12-2019 |
|
07th October, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds- Series 65 is detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 65 | INE733E07KH1 | 11-11-2019 | 25-11-2019 |
|
07th October, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds- Series 64 is detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 64 | INE733E07KG3 | 23-10-2019 | 07-11-2019 |
|
07th October, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 05.10.2019:- Bond Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 56-1A
56-2A
56-3A
56-1B
56-2B
56-3B | INE733E07JR2
INE733E07JS0
INE733E07JT8
INE733E07JU6
INE733E07JV4
INE733E07JW2 | Interest | 05.10.2019 | 51,60,87,710/- |
|
04th October, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 04.10.2019:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 47 | INE733E07JB6 | Interest | 04.10.2019 | 34,47,60,000/- |
|
23 rd September, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 23.09.2019:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 53 | INE733E07JO9 | Interest | 23.09.2019 | 91,44,87,672/- |
|
24th September, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 24.09.2019:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 52 | INE733E07JN1 | Interest | 24.09.2019 | 35,02,50,000/- |
|
16 rd September, 2019 | NTPC Ltd. Bonds Series 35 - STRPP D (ISIN INE733E07DO2) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.785% 2019
(S-XXXV) STRPP-D | PT | 16.09.2019 |
The said Bonds had matured on 16.09.2019 and payments towards redemption had been made to the Beneficial Owner. We have requested National Stock Exchange to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
16 rd September, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 16.09.2019:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 35 | INE733E07DO2 | Redemption & Interest thereon | 16.09.2019 | 8,13,09,326/- |
|
16 rd September, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 16.09.2019:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 63 | INE733E07KF5 | Interest | 16.09.2019 | 49,91,18,795/- |
|
3 rd September, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 56 is detailed as under:- Bond Series | ISINs | Record Date | Interest Payment Date | 56-1A
56-2A
56-3A
56-1B
56-2B
56-3B | INE733E07JR2
INE733E07JS0
INE733E07JT8
INE733E07JU6
INE733E07JV4
INE733E07JW2 | 20-09-2019 | 05-10-2019 |
|
3 rd September, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 47 is detailed as under:- Bond Series | ISINs | Record Date | Interest Payment Date | 47 | INE733E07JB6 | 19-09-2019 | 04-10-2019 |
|
23 rd August, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 23.08.2019:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 62 | INE733E07KE8 | Interest | 23.08.2019 | 60,64,00,000/- |
|
21 nd August, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 21.08.2019:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 55 | INE733E07JQ4 | Interest | 21.08.2019 | 21,45,00,000/- |
|
13th August, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 13.08.2019:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 37 | INE733E07EP7 | Interest | 13.08.2019 | 26,79,00,000/- |
|
2 nd August, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 35 (STRPP D) is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 35 | INE733E07DO2 | 27-08-2019 | 16-09-2019 |
|
2 nd August, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 63 is detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 63 | INE733E07KF5 | 03-09-2019 | 16-09-2019 |
|
2 nd August, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 53 is detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 53 | INE733E07JO9 | 09-09-2019 | 23-09-2019 |
|
2 nd August, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 52 is detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 52 | INE733E07JN1 | 09-09-2019 | 24-09-2019 |
|
29th July, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 29.07.2019:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 40 | INE733E07FW0 | Redemption & Interest thereon | 29.07.2019 | 5,02,48,770/- |
|
29th July, 2019 | NTPC Ltd. Bonds Series 40 � STRPP C (ISIN INE733E07FW0) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.558% 2019
(S-XL) STRPP-C | PT | 29.07.2019 |
The said Bonds had matured on 29.07.2019 and payments towards redemption had been made to the Beneficial Owner. We have requested National Stock Exchange to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
22 nd July, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 20.07.2019:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 46 | INE733E07IN3 | Redemption & Interest thereon | 20.07.2019 | 5,01,28,045/- |
|
22 nd July, 2019 | NTPC Ltd. Bonds Series 46 � STRPP B (ISIN INE733E07IN3) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.3473% 2019
(S-XLVI) STRPP-B | PT | 20.07.2019 |
The said Bonds had matured on 20.07.2019 and payment towards redemption had been made to the Beneficial Owner. We have requested National Stock Exchange to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
15th July, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 15.07.2019:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 31 | INE733E07CF2 | Interest | 15.07.2019 | 43,90,00,000/- |
|
10th July, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 10.07.2019:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (`) | 32 | INE733E07CK2
INE733E07CL0
INE733E07CM8
INE733E07CN6
INE733E07CO4
INE733E07CP1
INE733E07CQ9
INE733E07CR7
INE733E07CS5
INE733E07CT3
INE733E07CU1 | Interest | 10.07.2019 | 6,81,39,610/- |
|
10th July, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 10.07.2019:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (`) | 34 | INE733E07DA1
INE733E07DB9
INE733E07DC7
INE733E07DD5
INE733E07DE3
INE733E07DF0
INE733E07DG8
INE733E07DH6
INE733E07DI4
INE733E07DJ2
INE733E07DK0 | Interest | 10.07.2019 | 9,58,10,000/- |
|
10th July, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 10.07.2019:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (`) | 35 | INE733E07DO2
INE733E07DP9
INE733E07DQ7
INE733E07DR5
INE733E07DS3
INE733E07DT1
INE733E07DU9
INE733E07DV7
INE733E07DW5
INE733E07DX3
INE733E07DY1
INE733E07DZ8 | Interest | 10.07.2019 | 8,43,36,000/- |
|
10th July, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 10.07.2019:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (`) | 36 | INE733E07ED3
INE733E07EE1
INE733E07EF8
INE733E07EG6
INE733E07EH4
INE733E07EI2
INE733E07EJ0
INE733E07EK8
INE733E07EL6
INE733E07EM4
INE733E07EN2
INE733E07EO0 | Interest | 10.07.2019 | 5,28,51,600/- |
|
10th July, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 10.07.2019:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (`) | 38 | INE733E07ET9
INE733E07EU7
INE733E07EV5
INE733E07EW3
INE733E07EX1
INE733E07EY9
INE733E07EZ6
INE733E07FA6
INE733E07FB4
INE733E07FC2
INE733E07FD0
INE733E07FE8 | Interest | 10.07.2019 | 5,50,20,000/- |
|
10th July, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 10.07.2019:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (`) | 39 | INE733E07FI9
INE733E07FJ7
INE733E07FK5
INE733E07FL3
INE733E07FM1
INE733E07FN9
INE733E07FO7
INE733E07FP4
INE733E07FQ2
INE733E07FR0
INE733E07FS8
INE733E07FT6 | Interest | 10.07.2019 | 7,88,72,640/- |
|
10th July, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 10.07.2019:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (`) | 40 | INE733E07FW0
INE733E07FX8
INE733E07FY6
INE733E07FZ3
INE733E07GA4
INE733E07GB2
INE733E07GC0
INE733E07GD8
INE733E07GE6
INE733E07GF3
INE733E07GG1
INE733E07GH9
INE733E07GI7 | Interest | 10.07.2019 | 6,21,27,000/- |
|
10th July, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 10.07.2019:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (`) | 41 | INE733E07GL1
INE733E07GM9
INE733E07GN7
INE733E07GO5
INE733E07GP2
INE733E07GQ0
INE733E07GR8
INE733E07GS6
INE733E07GT4
INE733E07GU2
INE733E07GV0
INE733E07GW8
INE733E07GX6 | Interest | 10.07.2019 | 6,28,63,450/- |
|
10th July, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 10.07.2019:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (`) | 43 | INE733E07HF1
INE733E07HG9
INE733E07HH7
INE733E07HI5
INE733E07HJ3
INE733E07HK1
INE733E07HL9
INE733E07HM7
INE733E07HN5
INE733E07HO3
INE733E07HP0
INE733E07HQ8
INE733E07HR6 | Interest | 10.07.2019 | 6,01,72,450/- |
|
10th July, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 10.07.2019:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (`) | 45 | INE733E07HZ9
INE733E07IA0
INE733E07IB8
INE733E07IC6
INE733E07ID4
INE733E07IE2
INE733E07IF9
INE733E07IG7
INE733E07IH5
INE733E07II3
INE733E07IJ1
INE733E07IK9
INE733E07IL7 | Interest | 10.07.2019 | 6,13,44,400/- |
|
10th July, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 10.07.2019:- Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (`) | 46 | INE733E07IN3
INE733E07IO1
INE733E07IP8
INE733E07IQ6
INE733E07IR4
INE733E07IS2
INE733E07IT0
INE733E07IU8
INE733E07IV6
INE733E07IW4
INE733E07IX2
INE733E07IY0
INE733E07IZ7
INE733E07JA8 | Interest | 10.07.2019 | 6,54,31,100/- |
|
03 rd July, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 62 is detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 62 | INE733E07KE8 | 08-08-2019 | 23-08-2019 |
|
03 rd July, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 55 is detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 55 | INE733E07JQ4 | 06-08-2019 | 21-08-2019 |
|
03 rd July, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 37 is detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 37 | INE733E07EP7 | 24-07-2019 | 13-08-2019 |
|
10th June, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 10.06.2019:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 34 | INE733E07CZ0 | Redemption & Interest thereon | 10.06.2019 | 10,79,94,110/- |
|
10th June, 2019 | NTPC Ltd. Bonds Series - 34 STRPP D (ISIN INE733E07CZ0) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.71% 2019
(S- XXXIV) STRPP-D | PT | 10.06.2019 |
The said Bonds had matured on 10.06.2019 and payments towards redemption had been made to the Beneficial Owner. We have requested National Stock Exchange to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
10th June, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 10.06.2019:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 39 | INE733E07FH1 | Redemption & Interest thereon | 10.06.2019 | 7,60,32,496/- |
|
10th June, 2019 | NTPC Ltd. Bonds Series 39 - STRPP C (ISIN INE733E07FH1) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.3896% 2019
(S- XXXIX) STRPP-C | PT | 10.06.2019 |
The said Bonds had matured on 10.06.2019 and payments towards redemption had been made to the Beneficial Owner. We have requested National Stock Exchange to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
31 st May, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2--015, the Record Date and the Payment Date for NTPC Ltd. Bonds are detailed below:- S.No. | Bond Series | ISINs | Record Date | Payment Date | Nature of Payment | 1 | 32 | INE733E07CK2
INE733E07CL0
INE733E07CM8
INE733E07CN6
INE733E07CO4
INE733E07CP1
INE733E07CQ9
INE733E07CR7
INE733E07CS5
INE733E07CT3
INE733E07CU1 | 20-06-2019 | 10-07-2019 | Interest | 2 | 34 | INE733E07DA1
INE733E07DB9
INE733E07DC7
INE733E07DD5
INE733E07DE3
INE733E07DF0
INE733E07DG8
INE733E07DH6
INE733E07DI4
INE733E07DJ2
INE733E07DK0 | 20-06-2019 | 10-07-2019 | Interest | 3 | 35 | INE733E07DO2
INE733E07DP9
INE733E07DQ7
INE733E07DR5
INE733E07DS3
INE733E07DT1
INE733E07DU9
INE733E07DV7
INE733E07DW5
INE733E07DX3
INE733E07DY1
INE733E07DZ8 | 20-06-2019 | 10-07-2019 | Interest | 4 | 36 | INE733E07ED3
INE733E07EE1
INE733E07EF8
INE733E07EG6
INE733E07EH4
INE733E07EI2
INE733E07EJ0
INE733E07EK8
INE733E07EL6
INE733E07EM4
INE733E07EN2
INE733E07EO0 | 20-06-2019 | 10-07-2019 | Interest | 5 | 38 | INE733E07ET9
INE733E07EU7
INE733E07EV5
INE733E07EW3
INE733E07EX1
INE733E07EY9
INE733E07EZ6
INE733E07FA6
INE733E07FB4
INE733E07FC2
INE733E07FD0
INE733E07FE8 | 04-07-2019 | 10-07-2019 | Interest | 6 | 39 | INE733E07FI9
INE733E07FJ7
INE733E07FK5
INE733E07FL3
INE733E07FM1
INE733E07FN9
INE733E07FO7
INE733E07FP4
INE733E07FQ2
INE733E07FR0
INE733E07FS8
INE733E07FT6 | 04-07-2019 | 10-07-2019 | Interest | 7 | 40 | INE733E07FW0
INE733E07FX8
INE733E07FY6
INE733E07FZ3
INE733E07GA4
INE733E07GB2
INE733E07GC0
INE733E07GD8
INE733E07GE6
INE733E07GF3
INE733E07GG1
INE733E07GH9
INE733E07GI7 | 25-06-2019 | 10-07-2019 | Interest | 8 | 41 | INE733E07GL1
INE733E07GM9
INE733E07GN7
INE733E07GO5
INE733E07GP2
INE733E07GQ0
INE733E07GR8
INE733E07GS6
INE733E07GT4
INE733E07GU2
INE733E07GV0
INE733E07GW8
INE733E07GX6 | 25-06-2019 | 10-07-2019 | Interest | 9 | 43 | INE733E07HF1
INE733E07HG9
INE733E07HH7
INE733E07HI5
INE733E07HJ3
INE733E07HK1
INE733E07HL9
INE733E07HM7
INE733E07HN5
INE733E07HO3
INE733E07HP0
INE733E07HQ8
INE733E07HR6 | 25-06-2019 | 10-07-2019 | Interest | 10 | 45 | INE733E07HZ9
INE733E07IA0
INE733E07IB8
INE733E07IC6
INE733E07ID4
INE733E07IE2
INE733E07IF9
INE733E07IG7
INE733E07IH5
INE733E07II3
INE733E07IJ1
INE733E07IK9
INE733E07IL7 | 25-06-2019 | 10-07-2019 | Interest | 11 | 46 | INE733E07IN3
INE733E07IO1
INE733E07IP8
INE733E07IQ6
INE733E07IR4
INE733E07IS2
INE733E07IT0
INE733E07IU8
INE733E07IV6
INE733E07IW4
INE733E07IX2
INE733E07IY0
INE733E07IZ7
INE733E07JA8 | 25-06-2019 | 10-07-2019 | Interest | 12 | 31 | INE733E07CF2 | 25-06-2019 | 15-07-2019 | Interest | 13 | 46 | INE733E07IN3 | 05-07-2019 | 20-07-2019 | Repayment & Interest | 14 | 40 | INE733E07FW0 | 15-07-2019 | 29-07-2019 | Repayment & Interest |
|
27th May, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 27.05.2019:-
4
Bond Series | ISINs | Nature of Payment | Due Date of Payment | Amou9nt Paid (Rs) | 61 | INE733E07KB4
INE733E07KC2
INE733E07KD0 | Interest | 27.05.2019 | 86,63,44,929/- |
|
16th May, 2019 | NTPC Ltd. Bonds Series 45 - STRPP B (ISIN INE733E07HY2) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.4376% 2019
(S- XLV) STRPP-B | PT | 16.05.2019 |
The said Bonds had matured on 16.05.2019 and payments towards redemption had been made to the Beneficial Owner. We have requested National Stock Exchange to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
16th May, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 16.05.2019:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 45 | INE733E07HY2 | Redemption & Interest thereon | 16.05.2019 | 5,40,07,748/- |
|
15th May, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 15.05.2019:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 33 | INE733E07CV9 | Interest | 15.05.2019 | 17,02,35,000/- |
|
07th May, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 06.05.2019:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 60 | INE733E07KA6 | Interest | 06.05.2019 | 80,72,05,481/- |
|
07th May, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 06.05.2019:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 30 | INE733E07CE5 | Redemption & Interest thereon | 06.05.2019 | 7,07,11,18,080/- |
|
07th May, 2019 | NTPC Ltd. Bonds Series 30 (ISIN INE733E07CE5) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 7.89% 2019
(S-XXX) | PT | 06.05.2019 |
The said Bonds had matured on 06.05.2019 and payments towards redemption had been made to the Beneficial Owner. We have requested National Stock Exchange to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
07th May, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 04.05.2019:- Bond Series | ISINs | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 44 | INE733E07HS4
INE733E07HT2
INE733E07HU0
INE733E07HV8
INE733E07HW6 | Interest | 04.05.2019 | 46,25,00,000/- |
|
01 st May, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 39 (STRPP C) is detailed below:-
ng>Repayment & Interest Date
Bond Series | ISIN | Record Date | 39 | INE733E07FH1 | 03-06-2019 | 10-06-2019 |
|
01 st May, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 34 (STRPP D) is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest Date | 34 | INE733E07CZ0 | 21-05-2019 | 10-06-2019 |
|
04th April, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 04.04.2019:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 49 | INE733E07JD2 | Interest | 04.04.2019 | 17,60,00,000/- |
|
03 rd April, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 44 is detailed below:- Bond Series | ISINs | Record Date | Interest Payment Date | 44 | INE733E07HS4
INE733E07HT2
INE733E07HU0
INE733E07HV8
INE733E07HW6 | 22-04-2019 | 04-05-2019 |
|
03 rd April, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 30 is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest date | 30 | INE733E07CE5 | 16-04-2019 | 06-05-2019 |
|
03 rd April, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 60 is detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 60 | INE733E07KA6 | 22-04-2019 | 06-05-2019 |
|
03 rd April, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 33 is detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 33 | INE733E07CV9 | 25-04-2019 | 15-05-2019 |
|
03 rd April, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 45 is detailed below:- Bond Series | ISIN | Record Date | Repayment & Interest date | 45 | INE733E07HY2 | 02-05-2019 | 16-05-2019 |
|
03 rd April, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 61 is detailed as under:- Bond Series | ISIN | Record Date | Interest Payment Date | 61 | INE733E07KB4
INE733E07KC2
INE733E07KD0 | 13-05-2019 | 27-05-2019 |
|
25th March, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 25.03.2019:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 52 | INE733E07JN1 | Interest | 25.03.2019 | 34,92,90,412/- |
|
25th March, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 25.03.2019:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 32 | INE733E07CJ4 | Redemption & Interest thereon | 25.03.2019 | 7,43,78,585/- |
|
25th March, 2019 | NTPC Ltd. Bonds Series 32-STRPP D (ISIN INE733E07CJ4) is listed on the Debt Market Segment of your Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.8493% 2019
(S-XXXII) STRPP-D | PT | 25.03.2019 |
The said Bonds had matured on 25.03.2019 and payments towards redemption had been made to the Beneficial Owner. We have requested National Stock Exchange to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
25th March, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 25.03.2019:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 54 | INE733E07JP6 | Interest | 25.03.2019 | 872,65,25,209.65/- |
|
22 nd March, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 22.03.2019:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 38 | INE733E07ES1 | Redemption & Interest thereon | 22.03.2019 | 5,32,03,219/- |
|
22 nd March, 2019 | NTPC Ltd. Bonds Series 38-STRPP C (ISIN INE733E07ES1) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.17% 2019
(S-XXXVIII) STRPP-C | PT | 22.03.2019 |
The said Bonds had matured on 22.03.2019 and payments towards redemption had been made to the Beneficial Owner. We have requested National Stock Exchange to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
20th March, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 20.03.2019:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 30 | INE733E07CE5 | Interest | 20.03.2019 | 55,23,00,000/- |
|
07th March, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds had been made on 07.03.2019:- Bond Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 48 | INE733E07JC4 | Interest | 07.03.2019 | 26,19,00,000/- |
|
05th March, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds had been made on 02.03.2019:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 43 | INE733E07HE4 | Redemption & Interest thereon | 02.03.2019 | 5,29,80,890/- |
|
05th March, 2019 | NTPC Ltd. Bonds Series 43-STRPP B (ISIN INE733E07HE4) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.2573% 2019 (S-XLIII) STRPP-B | PT | 02.03.2019 |
The said Bonds had matured on 02.03.2019 and payments towards redemption had been made to the Beneficial Owner. We have requested National Stock Exchange to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
05th March, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds had been made on 04.03.2019:- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs) | 1 | 51-A | INE733E07JK7 | 04.03.2019 | Interest | 6,12,56,713/- | 2 | 51-B | INE733E07JL5 | 04.03.2019 | Interest | 9,03,66,739/- | 3 | 51-C | INE733E07JM3 | 04.03.2019 | Interest | 27,47,65,151/- |
|
05th March, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds � Series 49 is detailed below:- Bond Series | ISIN | Record Date | Interest Payment Date | 49 | INE733E07JD2 | 20-03-2019 | 04-04-2019 |
|
25th February, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 25.02.2019:- Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs) | 59 | INE733E07JZ5 | 25.02.2019 | Interest | 54,41,20,163/- |
|
05th February, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 43 is detailed below:- S.No. | Bond Series | ISIN | Record Date | Repayment & Interest Date | 1 | 43 | INE733E07HE4 | 15-02-2019 | 02-03-2019 |
|
05th February, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 51-A, Series 51-B & Series 51-C are detailed as under:- S.No. | Bond Series | ISINs | Record Date | Interest Payment Date | 1 | 51-A | INE733E07JK7 | 18-02-2019 | 04-03-2019 | 1 | 51-B | INE733E07JL5 | 18-02-2019 | 04-03-2019 | 1 | 51-C | INE733E07JM3 | 18-02-2019 | 04-03-2019 |
|
05th February, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 48 is detailed below:- S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1 | 48 | INE733E07JC4 | 20-02-2019 | 07-03-2019 |
|
05th February, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 30 is detailed below:- S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1 | 30 | INE733E07CE5 | 28-02-2019 | 20-03-2019 |
|
05th February, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 38 is detailed below:- S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1 | 38 | INE733E07ES1 | 19-03-2019 | 22-03-2019 |
|
05th February, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 52 is detailed as under:- S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1 | 52 | INE733E07JN1 | 11-03-2019 | 25-03-2019 |
|
05th February, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 32 is detailed below:- S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1 | 32 | INE733E07CJ4 | 05-03-2019 | 25-03-2019 |
|
05th February, 2019 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 54 is detailed as under:- S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1 | 54 | INE733E07JP6 | 11-03-2019 | 25-03-2019 |
|
05th February, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds has been made on 04.02.2019:- Series | ISIN | Nature of Payment | Due Date of Payment | Amount Paid (Rs) | 29 | INE733E07CD7 | Redemption & Interest thereon | 04.02.2019 | 593,14,33,563/- |
|
05th February, 2019 | NTPC Ltd. Bonds Series 29 (ISIN INE733E07CD7) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.65% 2019 (Series XXIX) | PT | 04.02.2019 |
The said Bonds has matured on 04.02.2019 and payments towards redemption have been made to the Beneficial Owner. We have requested National Stock Exchange to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
25th January, 2019 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 25.01.2019:- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (`) | 1 | 42 | INE733E07GY4
INE733E07GZ1
INE733E07HA2
INE733E07HB0
INE733E07HC8 | 25.01.2019 | Interest | 45,00,00,000/- |
|
2 nd January, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 29 is detailed below:- S.No. | Bond Series | ISIN | Record Date | Repayment & Interest Date | 1 | 29 | INE733E07CD7 | 21-01-2019 | 04-02-2019 |
|
2 nd January, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 59 is detailed as under:- S.No. | Bond Series | ISIN | Record Date | Repayment & Interest Date | 1 | 59 | INE733E07JZ5 | 11-02-2019 | 25-02-2019 |
|
31 st December, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 31.12.2018:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1 | 58 | INE733E07JY8 | 31.12.2018 | Interest | 24,47,27,673/- |
|
24th December, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds has been made on 24.12.2018:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1 | 41 | INE733E07GK3 | 24.12.2018 | Redemption & Interest thereon | 5,22,12,475/- |
|
24th December, 2018 | NTPC Ltd. Bonds Series 41 - STRPP B (ISIN INE733E07GK3) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.6713% 2018 (S-XLI) STRPP-B | PT | 24.12.2018 |
The said Bonds has matured on 24.12.2018 and payments towards redemption have been made to the Beneficial Owner. We have requested National Stock Exchange to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
17th December, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 17.12.2018:- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1 | 50-1A
50-2A
50-3A
50-1B
50-2B
50-3B | INE733E07JE0
INE733E07JF7
INE733E07JG5
INE733E07JH3
INE733E07JI1
INE733E07JJ9 | 17.12.2018 | Interest | 151,17,54,144/- |
|
17th December, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 15.12.2018:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1 | 57 | INE733E07JX0 | 15.12.2018 | Interest | 40,95,00,000/- |
|
17th December, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds has been made on 15.12.2018:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1 | 36 | INE733E07EC5 | 15.12.2018 | Redemption & Interest thereon | 5,19,06,519/- |
|
17th December, 2018 | NTPC Ltd. Bonds Series 36 � STRPP C (ISIN INE733E07EC5) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.8086% 2018
(S-XXXVI) STRPP-C | PT | 15.12.2018 |
The said Bonds has matured on 15.12.2018 and payments towards redemption have been made to the Beneficial Owner. We have requested National Stock Exchange to take necessary action to delist the said Securities from the Debt Market Segment of Stock Exchange. |
14th December, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 14.12.2018:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1 | 66 | INE733E07KI9 | 14.12.2018 | Interest | 2,89,27,25,000/- |
|
03 rd December, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 42 is detailed below:- S.No. | Bond Series | ISINs | Record Date | Interest Payment Date | 1 | 42 | INE733E07GY4
INE733E07GZ1
INE733E07HA2
INE733E07HB0
INE733E07HC8 | 10-01-2019 | 25-01-2019 |
|
26th November, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 26.11.2018:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1 | 65 | INE733E07KH1 | 26.11.2018 | Interest | 47,29,77,538/- |
|
22th November, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment alongwith Interest for the following ISIN of NTPC Ltd. Bonds has been made on 22.11.2018:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1 | 28 | INE733E07CC9 | 22.11.2018 | Redemption & Interest thereon | 10,97,94,52,055/- |
|
22th November, 2018 | NTPC Ltd. Bonds Series 28 (ISIN INE733E07CC9) is listed on the Debt Market Segment of your Stock Exchange.
The Security description given to the said Bonds by your Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 11.00% 2018
(Series XXVIII) | PT | 22.11.2018 |
The said Bonds has matured on 22.11.2018 and payments towards redemption have been made to the Beneficial Owner.
We, therefore, request you to take necessary action to delist the said Securities from the Debt Market Segment of your Stock Exchange and intimate us accordingly. |
08th November, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 08.11.2018:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1 | 64 | INE733E07KG3 | 08.11.2018 | Interest | 52,57,36,441/- |
|
01 st November, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 66 is detailed as under:- S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1 | 66 | INE733E07KI9 | 29-11-2018 | 14-12-2018 |
|
01 st November, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 36 is detailed below:- S.No. | Bond Series | ISIN | Record Date | Repayment & Interest Date | 1 | 36 | INE733E07EC5 | 26-11-2018 | 15-12-2018 |
|
01 st November, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 57 is detailed as under:- S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1 | 57 | INE733E07JX0 | 30-11-2018 | 15-12-2018 |
|
01 st November, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 50 is detailed as under:- S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1 | 50-1A
50-2A
50-3A
50-1B
50-2B
50-3B | INE733E07JE0
INE733E07JF7
INE733E07JG5
INE733E07JH3
INE733E07JI1
INE733E07JJ9 | 03-12-2018 | 17-12-2018 |
|
01 st November, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 41 is detailed as under:- S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1 | 41 | INE733E07GK3 | 10-12-2018 | 24-12-2018 |
|
01 st November, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 58 is detailed as under:- S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1 | 58 | INE733E07JY8 | 17-12-2018 | 31-12-2018 |
|
05th October, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 05.10.2018:- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1 | 56-1A
56-2A
56-3A
56-1B
56-2B
56-3B | INE733E07JR2
INE733E07JS0
INE733E07JT8
INE733E07JU6
INE733E07JV4
INE733E07JW2 | 05.10.2018 | Interest | 51,60,65,047/- |
|
09th October, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Repayment along with Interest Date for NTPC Ltd. Bonds - Series 28 is detailed below:- S.No. | Bond Series | ISIN | Record Date | Repayment & Interest Date | 1 | 28 | INE733E07CC9 | 09.11.2018 | 22.11.2018 |
|
09th October, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 64 are detailed below:- S.No. | Bond Series | ISIN | Record Date | Repayment & Interest Date | 1 | 64 | INE733E07KG3 | 24.10.2018 | 08.11.2018 |
|
09th October, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 65 are detailed below:- S.No. | Bond Series | ISIN | Record Date | Repayment & Interest Date | 1 | 65 | INE733E07KH1 | 12.11.2018 | 26.11.2018 |
|
04th October, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 04.10.2018:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1 | 47 | INE733E07JB6 | 04.10.2018 | Interest | 34,47,60,000.00 |
|
25th September, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 24.09.2018:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1 | 52 | INE733E07JN1 | 24.09.2018 | Interest | 34,92,90,412/- |
|
25th September, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 24.09.2018:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1 | 53 | INE733E07JO9 | 24.09.2018 | Interest | 92,20,24,651/- |
|
17th September, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption & Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 15.09.2018:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | 63 | INE733E07KF5 C | 17.09.2018 | Interest | 50,18,61,205/- |
|
17th September, 2018 | NTPC Ltd. Bonds Series 35 STRPP C (ISIN INE733E07DN4) is listed on the Debt Market Segment of National Stock Exchange.
The Security description given to the said Bonds by your Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.785% 2018 (S-XXXV) STRPP-C | PT | 15.09.2018 |
|
17th September, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption & Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 15.09.2018:- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1 | 35-STRPP C | INE733E07DN4 | 15.09.2018 | Redemption & Interest thereon | 8,12,90,071.00 |
|
5th September, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 47 is detailed below:- S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1 | 56-1A
56-2A
56-3A
56-1B
56-2B
56-3B | INE733E07JR2
INE733E07JS0
INE733E07JT8
INE733E07JU6
INE733E07JV4
INE733E07JW2 | 20.09.2018 | 05.10.2018 |
|
5th September, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 47 is detailed below:- S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1 | 47 | INE733E07JB6 | 19.09.2018 | 04.10.2018 |
|
23 rd August, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 23.08.2018:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1 | 62 | INE733E07KE8 | 23.08.2018 | Interest | 60,64,00,000/- |
|
21 st August, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 21.08.2018:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1 | 55 | INE733E07JQ4 | 21.08.2018 | Interest | 21,45,00,000/- |
|
10th August, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 10.08.2018:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1 | 37 | INE733E07EP7 | 10.08.2018 | Interest Payment | 26,79,00,000/- |
|
06th August, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds Series 63 & 52 are detailed below:- S.No. | Bond Series | ISINs | Record Date | Payment Date | Trustee | 1 | 63 | INE733E07KF5 | 03.09.2018 | 17.09.2018 | VITCL | 2 | 52 | INE733E07JN1 | 10.09.2018 | 24.09.2018 | ITSL |
|
06th August, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Payment Date for NTPC Ltd. Bonds Series 35 & 53 are detailed below:- S.No. | Bond Series | ISINs | Record Date | Payment Date | Trustee | 1 | 35 | INE733E07DN4 | 27.08.2018 | 15.09.2018 | ITSL | 2 | 53 | INE733E07JO9 | 10.09.2018 | 24.09.2018 | VITCL |
|
30th July, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest thereon for the following ISIN of NTPC Ltd. Bonds has been made on 30.07.2018 :- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1 | 40 STRPP-B | INE733E07FV2 | 30.07.2018 | Repayment & Interest | 5,02,61,863/- |
|
16th July, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 16.07.2018:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1 | XXXI | INE733E07CF2 | 16.07.2018 | Interest Payment | 43,90,00,000.00 |
|
10th July, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 10.07.2018. S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Gross Amount (Rs.) | Trustee | 1 | 32 | INE733E07CJ4 | 10.07.2018 | Interest | 7,43,34,120/- | ITSL | | | INE733E07CK2
INE733E07CL0
INE733E07CM8
INE733E07CN6
INE733E07CO4
INE733E07CP1
INE733E07CQ9
INE733E07CR7
INE733E07CS5
INE733E07CT3
INE733E07CU1 | | | | | 2 | 34 | INE733E07CZ0 | 10.07.2018 | Interest | 10,45,20,000/- | ITSL | | | INE733E07DA1
INE733E07DB9
INE733E07DC7
INE733E07DD5
INE733E07DE3
INE733E07DF0
INE733E07DG8
INE733E07DH6
INE733E07DI4
INE733E07DJ2
INE733E07DK0 | | | | | 3 | 35 | INE733E07DN4 | 10.07.2018 | Interest | 9,13,64,000/- | ITSL | | | INE733E07DO2
INE733E07DP9
INE733E07DQ7
INE733E07DR5
INE733E07DS3
INE733E07DT1
INE733E07DU9
INE733E07DV7
INE733E07DW5
INE733E07DX3
INE733E07DY1
INE733E07DZ8 | | | | | 4 | 36 | INE733E07EC5 | 10.07.2018 | Interest | 5,72,55,900/- | ITSL | | | INE733E07ED3
INE733E07EE1
INE733E07EF8
INE733E07EG6
INE733E07EH4
INE733E07EI2
INE733E07EJ0
INE733E07EK8
INE733E07EL6
INE733E07EM4
INE733E07EN2
INE733E07EO0 | | | | | 5 | 38 | INE733E07ES1 | 10.07.2018 | Interest | 5,96,05,000/- | ITSL | | | INE733E07ET9
INE733E07EU7
INE733E07EV5
INE733E07EW3
INE733E07EX1
INE733E07EY9
INE733E07EZ6
INE733E07FA6
INE733E07FB4
INE733E07FC2
INE733E07FD0
INE733E07FE8 | | | | | 6 | 39 | INE733E07FH1 | 10.07.2018 | Interest | 8,54,45,360/- | ITSL | | | INE733E07FI9
INE733E07FJ7
INE733E07FK5
INE733E07FL3
INE733E07FM1
INE733E07FN9
INE733E07FO7
INE733E07FP4
INE733E07FQ2
INE733E07FR0
INE733E07FS8
INE733E07FT6 | | | | | 7 | 40 | INE733E07FV2 | 10.07.2018 | Interest | 6,69,06,000/- | ITSL | | | INE733E07FW0
INE733E07FX8
INE733E07FY6
INE733E07FZ3
INE733E07GA4
INE733E07GB2
INE733E07GC0
INE733E07GD8
INE733E07GE6
INE733E07GF3
INE733E07GG1
INE733E07GH9
INE733E07GI7 | | | | | 8 | 41 | INE733E07GK3 | 10.07.2018 | Interest | 6,76,99,100/- | ITSL | | | INE733E07GL1
INE733E07GM9
INE733E07GN7
INE733E07GO5
INE733E07GP2
INE733E07GQ0
INE733E07GR8
INE733E07GS6
INE733E07GT4
INE733E07GU2
INE733E07GV0
INE733E07GW8
INE733E07GX6 | | | | | 9 | 43 | INE733E07HE4 | 10.07.2018 | Interest | 6,48,01,100/- | ITSL | | | INE733E07HF1
INE733E07HG9
INE733E07HH7
INE733E07HI5
INE733E07HJ3
INE733E07HK1
INE733E07HL9
INE733E07HM7
INE733E07HN5
INE733E07HO3
INE733E07HP0
INE733E07HQ8
INE733E07HR6 | | | | | 10 | 45 | INE733E07HY2 | 10.07.2018 | Interest | 6,60,63,200/- | VITCL | | | INE733E07HZ9
INE733E07IA0
INE733E07IB8
INE733E07IC6
INE733E07ID4
INE733E07IE2
INE733E07IF9
INE733E07IG7
INE733E07IH5
INE733E07II3
INE733E07IJ1
INE733E07IK9
INE733E07IL7 | | | | | 11 | 46 | INE733E07IM5 | 10.07.2018 | Interest | 7,01,04,750 | VITCL | | | INE733E07IN3
INE733E07IO1
INE733E07IP8
INE733E07IQ6
INE733E07IR4
INE733E07IS2
INE733E07IT0
INE733E07IU8
INE733E07IV6
INE733E07IW4
INE733E07IX2
INE733E07IY0
INE733E07IZ7
INE733E07JA8 | | | | |
|
03 rd July, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds Series 55 & 62 are detailed below:- S.No. | Bond Series | ISINs | Record Date | Payment Date | Trustee | 1 | 55 | INE733E07JQ4 | 06.08.2018 | 21.08.2018 | VITCL | 2 | 62 | INE733E07KE8 | 08.08.2018 | 23.08.2018 | VITCL |
|
03 rd July, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 37 are detailed below:- S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1 | 37 | INE733E07EP7 | 23.07.2018 | 10.08.2018 |
|
11th June, 2018 | NTPC Ltd. Bonds Series XXXIV STRPP C (ISIN INE733E07CY3) are listed on the Debt Market Segment of National Stock Exchange.
The Security description given to the said Bonds by your Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 8.7100% 2018
(S-XXXIV) STRPP-C | PT | 11.06.2018 |
The said Bonds had matured on 11.06.2018 and payment towards redemption has been made to the Beneficial Owner. |
11th June, 2018 | NTPC Ltd. Bonds Series XXXIX STRPP B (ISIN INE733E07FG3) is listed on the Debt Market Segment of National Stock Exchange.
The Security description given to the said Bonds by your Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.3896% 2018
(S-XXXIX) STRPP-B | PT | 11.06.2018 |
The said Bonds had matured on 11.06.2018 and payment towards redemption and interest thereon has been made to the Beneficial Owner. |
11th June, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Repayment and Interest thereon for the following ISIN of NTPC Ltd. Bonds has been made on 11.06.2018:- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1 | 34-STRPP C | INE733E07CY3 | 11.06.2018 | Redemption & Interest | 10,80,17,973.00 |
|
11th June, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Repayment and Interest thereon for the following ISIN of NTPC Ltd. Bonds has been made on 11.06.2018:- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 39 STRPP-B | INE733E07FG3 | 11.06.2018 | Repayment & Interest | 7,60,50,504/- |
|
05th June, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Payment Date for NTPC Ltd. Bonds Series are detailed as under :- S.No. | Bond Series | ISINs | Record Date | Payment Date | Nature of Payment | RTA | Trustee | 1. | 32 | INE733E07CJ4
INE733E07CK2
INE733E07CL0
INE733E07CM8
INE733E07CN6
INE733E07CO4
INE733E07CP1
INE733E07CQ9
INE733E07CR7
INE733E07CS5
INE733E07CT3
INE733E07CU1 | 20.06.2018 | 10.07.2018 | Interest | Beetal | ITSL | 2. | 34 | INE733E07CZ0
INE733E07DA1
INE733E07DB9
INE733E07DC7
INE733E07DD5
INE733E07DE3
INE733E07DF0
INE733E07DG8
INE733E07DH6
INE733E07DI4
INE733E07DJ2
INE733E07DK0 | 20.06.2018 | 10.07.2018 | Interest | Beetal | ITSL | 3. | 35 | INE733E07DN4
INE733E07DO2
INE733E07DP9
INE733E07DQ7
INE733E07DR5
INE733E07DS3
INE733E07DT1
INE733E07DU9
INE733E07DV7
INE733E07DW5
INE733E07DX3
INE733E07DY1
INE733E07DZ8 | 20.06.2018 | 10.07.2018 | Interest | Beetal | ITSL | 4. | 36 | INE733E07EC5
INE733E07ED3
INE733E07EE1
INE733E07EF8
INE733E07EG6
INE733E07EH4
INE733E07EI2
INE733E07EJ0
INE733E07EK8
INE733E07EL6
INE733E07EM4
INE733E07EN2
INE733E07EO0 | 20.06.2018 | 10.07.2018 | Interest | Beetal | ITSL | 5. | 38 | INE733E07ES1
INE733E07ET9
INE733E07EU7
INE733E07EV5
INE733E07EW3
INE733E07EX1
INE733E07EY9
INE733E07EZ6
INE733E07FA6
INE733E07FB4
INE733E07FC2
INE733E07FD0
INE733E07FE8 | 05.07.2018 | 10.07.2018 | Interest | Beetal | ITSL | 6. | 39 | INE733E07FH1
INE733E07FI9
INE733E07FJ7
INE733E07FK5
INE733E07FL3
INE733E07FM1
INE733E07FN9
INE733E07FO7
INE733E07FP4
INE733E07FQ2
INE733E07FR0
INE733E07FS8
INE733E07FT6 | 05.07.2018 | 10.07.2018 | Interest | Beetal | ITSL | 7. | 40 | INE733E07FV2
INE733E07FW0
INE733E07FX8
INE733E07FY6
INE733E07FZ3
INE733E07GA4
INE733E07GB2
INE733E07GC0
INE733E07GD8
INE733E07GE6
INE733E07GF3
INE733E07GG1
INE733E07GH9
INE733E07GI7 | 25.06.2018 | 10.07.2018 | Interest | Beetal | ITSL | 8. | 41 | INE733E07GK3
INE733E07GL1
INE733E07GM9
INE733E07GN7
INE733E07GO5
INE733E07GP2
INE733E07GQ0
INE733E07GR8
INE733E07GS6
INE733E07GT4
INE733E07GU2
INE733E07GV0
INE733E07GW8
INE733E07GX6 | 25.06.2018 | 10.07.2018 | Interest | Beetal | ITSL | 9. | 43 | INE733E07HE4
INE733E07HF1
INE733E07HG9
INE733E07HH7
INE733E07HI5
INE733E07HJ3
INE733E07HK1
INE733E07HL9
INE733E07HM7
INE733E07HN5
INE733E07HO3
INE733E07HP0
INE733E07HQ8
INE733E07HR6 | 25.06.2018 | 10.07.2018 | Interest | Beetal | ITSL | 10. | 45 | INE733E07HY2
INE733E07HZ9
INE733E07IA0
INE733E07IB8
INE733E07IC6
INE733E07ID4
INE733E07IE2
INE733E07IF9
INE733E07IG7
INE733E07IH5
INE733E07II3
INE733E07IJ1
INE733E07IK9
INE733E07IL7 | 25.06.2018 | 10.07.2018 | Interest | Beetal | VITCL | 11. | 46 | INE733E07IM5
INE733E07IN3
INE733E07IO1
INE733E07IP8
INE733E07IQ6
INE733E07IR4
INE733E07IS2
INE733E07IT0
INE733E07IU8
INE733E07IV6
INE733E07IW4
INE733E07IX2
INE733E07IY0
INE733E07IZ7
INE733E07JA8 | 25.06.2018 | 10.07.2018 | Interest | Beetal | VITCL | 12. | 46 | INE733E07IM5 | 05.07.2018 | 20.07.2018 | Repayment & Interest | Beetal | VITCL | 13. | 40 | INE733E07FV2 | 16.07.2018 | 30.07.2018 | Repayment & Interest | Beetal | ITSL | 14. | 31 | INE733E07CF2 | 26.06.2018 | 16.07.2018 | Interest | Beetal | ITSL |
|
28th May, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 28.05.2018 :- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 61 | INE733E07KB4
INE733E07KC2
INE733E07KD0 | 28.05.2018 | Interest Payment | 86,63,44,929/- |
|
16th May, 2018 | NTPC Ltd. Bonds Series 45 STRPP A (ISIN INE733E07HX4) is listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by your Exchange is as under:- Security Description | Security Type | Maturity Date | NTPC 9.4376% 2018 (S-XLV) STRPP-A | PT | 16.05.2018 |
|
16th May, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds has been made on 16.05.2018:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 45 | INE733E07HX4 | 16.05.2018 | Repayment & Interest | 5,40,07,748/- |
|
15th May, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 15.05.2018:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 33 | INE733E07CV9 | 15.05.2018 | Interest Payment | 17,02,35,000/- |
|
8th May, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Payment Date for NTPC Ltd. Bonds Series 34 & 39 are detailed below:- S.No. | Bond Series | ISINs | Record Date | Payment Date | Trustee | 1. | 34 | INE733E07CY3 | 22.05.2018 | 11.06.2018 | ITSL | 2. | 39 | INE733E07FG3 | 08.06.2018 | 11.06.2018 | ITSL |
|
7th May, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 05.05.2018 :- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 60 | INE733E07KA6 | 05.05.2018 | Interest Payment | 80,50,00,000/- |
|
7th May, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 04.05.2018:- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 44 | INE733E07HS4
INE733E07HT2
INE733E07HU0
INE733E07HV8
INE733E07HW6 | 04.05.2018 | Interest Payment | 46,25,00,000/- |
|
|
5th April, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Payment Date for NTPC Ltd. Bonds Series 44 & 45 are detailed below:- S.No. | Bond Series | ISIN | Record Date | Payment Date | Trustee | 1. | 44 | | 19.04.2018 | 04.05.2018 | VITCL | 2. | 45 | INE733E07HX4 | 02.05.2018 | 16.05.2018 | VITCL |
|
5th April, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 33 are detailed below:- S.No. | Bond Series | ISIN | Record Date | Payment Date | Trustee | 1. | 33 | | 25.04.2018 | 15.05.2018 | ITSL |
|
5th April, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds Series 60 & 61 are detailed below:- S.No. | Bond Series | ISIN | Record Date | Payment Date | Trustee | 1. | 60 | | 20.04.2018 | 05.05.2018 | VITCL | 2. | | | 14.05.2018 | 28.05.2018 | VITCL |
|
4th April, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 04.04.2018:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 49 | | 04.04.2018 | Interest | 17,60,00,000.00 |
|
26th March, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 26.03.2018:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Gross Amount (Rs.) | 1. | 54 | INE733E07JP6 | 26.03.2018 | Interest | 872,65,25,073/- |
|
26th March, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 26.03.2018:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 52 | INE733E07JN1 | 26.03.2018 | Interest | 34,92,90,412/- |
|
26th March, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment & Interest thereon for the following ISIN of NTPC Ltd. Bonds has been made on 26.03.2018 S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 32 STRPP-C | INE733E07CI6 | 26.03.2018 | Redemption and Interest | 7,43,95,556/- |
|
26th March, 2018 | NTPC Ltd. Bonds Series 32 STRPP C (ISIN INE733E07CI6) are listed on the Debt Market Segment of your Stock Exchange.
The Security description given to the said Bonds by your Exchange is as under:-
Security Description | Security Type | Maturity Date | NTPC 8.8493% 2018 (S-XXXII) STRPP-C | PT | 26.03.2018 |
The said Bonds has matured on 26.03.2018 and payments towards redemption has been made to the Beneficial Owner.
We, therefore, request you to take necessary action to delist the said Securities from the Debt Market Segment of your Stock Exchange and intimate us accordingly. |
22 nd March, 2018 | NTPC Ltd. Bonds Series 38 STRPP B (ISIN INE733E07ER3) are listed on the Debt Market Segment of your Stock Exchange.
The Security description given to the said Bonds by your Exchange is as under:-
Security Description | Security Type | Maturity Date | NTPC 9.17% 2018 (S-XXXVIII) STRPP-B | PT | 22.03.2018 |
The said Bonds had matured on 22.03.2018 and payments towards redemption have been made to the Beneficial Owner.
We, therefore, request you to take necessary action to delist the said Securities from the Debt Market Segment of your Stock Exchange and intimate us accordingly |
22 nd March, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that Repayment & Interest thereon for the following ISIN of NTPC Ltd. Bonds has been made on 22.03.2018:-
S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 38 STRPP-B | INE733E07ER3 | 22.03.2018 | Repayment & Interest | 5,32,03,219/- |
|
20th March, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 20.03.2018:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 30 | INE733E07CE5 | 20.03.2018 | Interest | 552,300,000/- |
|
12th March, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 12.03.2018:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 29 | INE733E07CD7 | 12.03.2018 | Interest | 475,750,000/- |
|
8th March, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Payment Date for Interest on NTPC Ltd. Bonds � Series 49 are detailed as under:-
S.No. | Bond Series | ISIN | Record Date | Payment Date | Nature of Payment | Trustee | 1. | 49 | INE733E07JD2 | 20-03-2018 | 04-04-2018 | Interest | VITCL |
|
7th March, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 07.03.2018:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 48 | INE733E07JC4 | 07.03.2018 | Interest | 26,19,00,000/- |
|
7th March, 2018 | NTPC Ltd. Bonds Series 43 STRPP A (ISIN INE733E07HD6) are listed on the Debt Market Segment of your Stock Exchange.
The Security description given to the said Bonds by your Exchange is as under:-
Security Description | Security Type | Maturity Date | NTPC 9.2573% 2018
(S-XLIII) STRPP-A | PT | 03.03.2018 |
The said Bonds had matured on 03.03.2018 and payment towards redemption has been made to the Beneficial Owner.
We, therefore, request you to take necessary action to delist the said Securities from the Debt Market Segment of your Stock Exchange and intimate us accordingly. |
5th March, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest for the following ISIN of NTPC Ltd. Bonds has been made on 03.03.2018:-
S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 43 | INE733E07HD6 | 03.03.2018 | Repayment & Interest | 5,29,92,771/- |
|
5th March, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 05.03.2018:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 51-A | INE733E07JK7 | 05.03.2018 | Annual Interest | 6,15,93,288 | 2. | 51-B | INE733E07JL5 | 05.03.2018 | Annual Interest | 9,08,63,260 | 3. | 51-C | INE733E07JM3 | 05.03.2018 | Annual Interest | 27,62,74,849 |
|
26th February, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 26.02.2018 :-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 59 | INE733E07JZ5 | 26.02.2018 | Interest | 54,86,04,671/- |
|
2 nd February, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds Series 51, 52 & 54 are detailed below:-
S.No. | Bond Series | ISINs | Record Date | Payment Date | Trustee | 1. | 51-A 51-B 51-C | INE733E07JK7 INE733E07JL5 INE733E07JM3 | 20.02.2018 | 05.03.2018 | ITSL | 2. | 52 | INE733E07JN1 | 12.03.2018 | 26.03.2018 | ITSL | 3. | 54 | INE733E07JP6 | 12.03.2018 | 26.03.2018 | VITCL |
|
2 nd February, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Payment Date for NTPC Ltd. Bonds Series 43, 48, 29, 30, 38 & 32 are detailed below:-
S.No. | Bond Series | ISINs | Record Date | Payment Date | Trustee | 1. | 43 | INE733E07HD6 | 15.02.2018 | 03.03.2018 | ITSL | 2. | 48 | INE733E07JC4 | 20.02.2018 | 07.03.2018 | VITCL | 3. | 29 | INE733E07CD7 | 26.02.2018 | 12.03.2018 | ITSL | 4. | 30 | INE733E07CE5 | 28.02.2018 | 20.03.2018 | ITSL | 5. | 38 | INE733E07ER3 | 19.03.2018 | 22.03.2018 | ITSL | 6. | 32 | INE733E07CI6 | 05.03.2018 | 26.03.2018 | ITSL |
|
25th January, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 25.01.2018:-
S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 42 | INE733E07GY4 INE733E07GZ1 INE733E07HA2 INE733E07HB0 INE733E07HC8 | 25.01.2018 | Interest Payment | 45,00,00,000/- |
|
9th January, 2018 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 59 are detailed below:-
S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1. | 59 | INE733E07JZ5 | 12.02.2018 | 26.02.2018 |
|
1 st January, 2018 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 01.01.2018:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid(Rs.) | 1. | 58 | INE733E07JY8 | 01.01.2018 | Interest | 24,60,72,329/- |
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid(Rs.) | 1. | 28 | INE733E07CC9 | 01.01.2018 | Interest | 110,30,13,699/- |
|
22 nd December, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Repayment and interest thereon for the following ISIN of NTPC Ltd. Bonds has been made on 22.12.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid(Rs.) | 1. | 41 STRPP-A | INE733E07GJ5 | 22.12.2017 | Repayment & Interest | 5,21,85,979/- |
|
18th December, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 16.12.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid(Rs.) | 1. | 50-1A 50-2A 50-3A 50-1B 50-2B 50-3B | INE733E07JE0 INE733E07JF7 INE733E07JG5 INE733E07JH3 INE733E07JI1 INE733E07JJ9 | 16.12.2017 | Interest | 150,78,69,104/- |
|
15th December, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 15.12.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid(Rs.) | 1. | 57 | INE733E07JX0 | 15.12.2017 | Interest | 40,95,00,000/- |
|
15th December, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that Repayment & Interest thereon for the following ISIN of NTPC Ltd. Bonds has been made on 15.12.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid(Rs.) | 1. | 36- STRPP B | INE733E07EB7 | 15.12.2017 | Repayment & Interest | 5,19,06,519/- |
NTPC Ltd. Bonds Series 36 STRPP B (ISIN INE733E07EB7) are listed on the Debt Market Segment of your Stock Exchange. |
15th December, 2017 | The Security description given to the said Bonds by your Exchange is as under:-
Security Description | Security Type | Maturity Date | NTPC 8.8086% 2017
(S-XXXVI) STRPP-B | PT | 15.12.2017 |
The said Bonds had matured on 15.12.2017 and payments towards redemption have been made to the Beneficial Owner.
We, therefore, request you to take necessary action to delist the said Securities from the Debt Market Segment of your Stock Exchange and intimate us accordingly. |
15th December, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 14.12.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid(Rs.) | 1. | 66 | INE733E07KI9 | 14.12.2017 | Interest | 2,89,27,25,000/- |
|
5th December, 2017 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 28 & 42 are detailed below:-
S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | Trustee | 1. | 28 | INE733E07CC9 | 18-12-2017 | 01-01-2018 | ITSL | 2. | 42 | INE733E07GY4 | 10-01-2018 | 25-01-2018 | ITSL | 3. | 42 | INE733E07GZ1 | 4. | 42 | INE733E07HA2 | 5. | 42 | INE733E07HB0 | 6. | 42 | INE733E07HC8 |
|
5th December, 2017 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series 58 are detailed below:-
S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | Trustee | 1. | 58 | INE733E07JY8 | 18-12-2017 | 01-01-2018 | VITCL |
|
24th November, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 24.11.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 65 | INE733E07KH1 | 24.11.2017 | Interest | 47,04,00,000 |
|
10th November, 2017 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds Series 66, 57 & 50 are detailed below:-
S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | Trustee | 1. | 66 | INE733E07KI9 | 29.11.2017 | 14.12.2017 | VITCL | 2. | 57 | INE733E07JX0 | 30.11.2017 | 15.12.2017 | VITCL | 3. | 50-1A 50-2A 50-3A 50-1B 50-2B 50-3B | INE733E07JE0 INE733E07JF7 INE733E07JG5 INE733E07JH3 INE733E07JI1 INW733E07JJ9 | 01.12.2017 | 16.12.2017 | VITCL |
|
10th November, 2017 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Redemption & Interest Payment Date for NTPC Ltd. Bonds Series 36 and 41 are detailed below:-
S.No. | Bond Series | ISIN | Record Date | Redemption & Interest Payment Date | Trustee | 1. | 36 | INE733E07EB7 | 27.11.2017 | 15.12.2017 | ITSL | 2. | 41 | INE733E07GJ5 | 08.12.2017 | 22.12.2017 | ITSL |
|
7th November, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 07.11.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 64 | INE733E07KG3 | 07.11.2017 | Interest | 52,43,00,000/- |
|
9th October, 2017 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds Series 64 & 65 are detailed below:-
S.No. | Bond Series | ISINs | Record Date | Interest Payment Date | Trustee | 1. | 64 | INE733E07KG3 | 23.10.2017 | 07.11.2017 | VITCL | 2. | 65 | INE733E07KH1 | 09.11.2017 | 24.11.2017 | VITCL |
|
6th October, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 05.10.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 56-1A 56-2A 56-3A 56-1B 56-2B 56-3B | INE733E07JR2 INE733E07JS0 INE733E07JT8 INE733E07JU6 INE733E07JV4 INE733E07JW2 |
05.10.2017 | Interest | 51,61,28,546/- |
|
4th October, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 04.10.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 47 | INE733E07JB6 | 04.10.2017 | Interest | 34,47,60,000.00 |
|
25th September, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 25.09.2017:-
S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 52 | INE733E07JN1 | 25.09.2017 | Interest | 35,50,47,944/- |
|
22 nd September, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 22.09.2017:-
S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 53 | INE733E07JO9 | 22.09.2017 | Interest | 91,70,00,000/- |
|
18th September, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 16.09.2017:-
S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 63 | INE733E07KF5 | 16.09.2017 | Interest | 50,04,90,000/- |
|
15th September, 2017 | NTPC Ltd. Bonds Series XXXV STRPP B (ISIN INE733E07DM6) are listed on the Debt Market Segment of National Stock Exchange.
The Security description given to the said Bonds by your Exchange is as under:-
Security Description | Security Type | Maturity Date | NTPC 8.785% 2017
(S-XXXV) STRPP-B | PT | 15.09.2017 |
The said Bonds has matured on 15.09.2017 and payments towards redemption have been made to the Beneficial Owner.
We, therefore, request you to take necessary action to delist the said Securities from the Debt Market Segment of your Stock Exchange and intimate us accordingly. |
15th September, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption & Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 15.09.2017:-
S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXXV-STRPP B | INE733E07DM6 | 15.09.2017 | Redemption & Interest thereon | 8,12,90,071/- |
|
08th September, 2017 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds Series 47 & 56 are detailed below:-
S.No. | Bond Series | ISINs | Record Date | Interest Payment Date | Trustee | 1. | 47 | INE733E07JB6 | 19.09.2017 | 04.10.2017 | VITCL |
|
08th September, 2017 | S.No. | Bond Series | ISINs | Record Date | Interest Payment Date | Trustee | 1. | 56-1A 56-2A 56-3A 56-1B 56-2B 56-3B | INE733E07JR2 INE733E07JS0 INE733E07JT8 INE733E07JU6 INE733E07JV4 INE733E07JW2 | 20.09.2017 | 05.10.2017 | ITSL |
|
23 rd August, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 23.08.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 62 | INE733E07KE8 | 23.08.2017 | Interest | 60,64,00,000/- |
|
22 nd August, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 21.08.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | 55 | INE733E07JQ4 | 21.08.2017 | Interest | 21,39,12,325/- |
|
17th August, 2017 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Redemption/Interest Payment Date for NTPC Ltd. Bonds Series 35,53, 63 &52 are detailed below:-
S.No. | Bond Series | ISINs | Record Date | Redemption/Interest Payment Date | Trustee | 1. | 35 | INE733E07DM6 | 28.08.2017 | 15.09.2017 | ITSL | 2. | 53 | INE733E07JO9 | 07.09.2017 | 22.09.2017 | VITCL | 3. | 63 | INE733E07KF5 | 01.09.2017 | 16.09.2017 | VITCL | 4. | 52 | INE733E07JN1 | 11.09.2017 | 25.09.2017 | ITSL |
|
10th August, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 10.08.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXXVII | INE733E07EP7 | 10.08.2017 | Interest Payment | 26,79,00,000/- |
|
31 st July, 2017 | NTPC Ltd. Bonds Series XL STRPP A (ISIN INE733E07FU4) is listed on the Debt Market Segment of your Stock Exchange.
The Security description given to the said Bonds by your Exchange is as under:-
Security Description | Security Type | Maturity Date | NTPC 9.558% 2017 (S-XL) STRPP-A | PT | 29.07.2017 |
The said Bonds has matured on 29.07.2017 and payment towards redemption has been made to the Beneficial Owner.
We, therefore, request you to take necessary action to delist the said Securities from the Debt Market Segment of your Stock Exchange and intimate us accordingly. |
31 st July, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest thereon for the following ISIN of NTPC Ltd. Bonds has been made on 29.07.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XL-STRPP-A | INE733E07FU4 | 29.07.2017 | Repayment & Interest | 50,248,770/- |
|
18th July, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 15.07.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXXI | INE733E07CF2 | 15.07.2017 | Interest Payment | 43,90,00,000.00 |
|
10th July, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the ISINs (as detailed in Annexure-I) of NTPC Ltd. Bonds has been made on 10.07.2017
S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Gross Amount (Rs.) | Trustee | 1. | 32 | INE733E07CI6 INE733E07CJ4 INE733E07CK2 INE733E07CL0 INE733E07CM8 INE733E07CN6 INE733E07CO4 INE733E07CP1 INE733E07CQ9 INE733E07CR7 INE733E07CS5 INE733E07CT3 INE733E07CU1 | 10.07.2017 | Interest | 80,308,004 | ITSL | 2. | 34 | INE733E07CY3 INE733E07CZ0 INE733E07DA1 INE733E07DB9 INE733E07DC7 INE733E07DD5 INE733E07DE3 INE733E07DF0 INE733E07DG8 INE733E07DH6 INE733E07DI4 INE733E07DJ2 INE733E07DK0 | 10.07.2017 | Interest | 112,919,781 | ITSL | 3. | 35 | INE733E07DM6 INE733E07DN4 INE733E07DO2 INE733E07DP9 INE733E07DQ7 INE733E07DR5 INE733E07DS3 INE733E07DT1 INE733E07DU9 INE733E07DV7 INE733E07DW5 INE733E07DX3 INE733E07DY1 INE733E07DZ8 | 10.07.2017 | Interest | 98,122,433 | ITSL | 4. | 36 | INE733E07EB7 INE733E07EC5 INE733E07ED3 INE733E07EE1 INE733E07EF8 INE733E07EG6 INE733E07EH4 INE733E07EI2 INE733E07EJ0 INE733E07EK8 INE733E07EL6 INE733E07EM4 INE733E07EN2 INE733E07EO0 | 10.07.2017 | Interest | 61,491,268 | ITSL | 5. | 38 | INE733E07ER3 INE733E07ES1 INE733E07ET9 INE733E07EU7 INE733E07EV5 INE733E07EW3 INE733E07EX1 INE733E07EY9 INE733E07EZ6 INE733E07FA6 INE733E07FB4 INE733E07FC2 INE733E07FD0 INE733E07FE8 | 10.07.2017 | Interest | 64,014,137 | ITSL | 6. | 39 | INE733E07FG3 INE733E07FH1 INE733E07FI9 INE733E07FJ7 INE733E07FK5 INE733E07FL3 INE733E07FM1 INE733E07FN9 INE733E07FO7 INE733E07FP4 INE733E07FQ2 INE733E07FR0 INE733E07FS8 INE733E07FT6 | 10.07.2017 | Interest | 91,765,976 | ITSL | 7. | 40 | INE733E07FU4 INE733E07FV2 INE733E07FW0 INE733E07FX8 INE733E07FY6 INE733E07FZ3 INE733E07GA4 INE733E07GB2 INE733E07GC0 INE733E07GD8 INE733E07GE6 INE733E07GF3 INE733E07GG1 INE733E07GH9 INE733E07GI7 | 10.07.2017 | Interest | 71,488,603 | ITSL | 8. | 41 | INE733E07GJ5 INE733E07GK3 INE733E07GL1 INE733E07GM9 INE733E07GN7 INE733E07GO5 INE733E07GP2 INE733E07GQ0 INE733E07GR8 INE733E07GS6 INE733E07GT4 INE733E07GU2 INE733E07GV0 INE733E07GW8 INE733E07GX6 | 10.07.2017 | Interest | 72,336,025 | ITSL | 9. | 43 | INE733E07HD6 INE733E07HE4 INE733E07HF1 INE733E07HG9 INE733E07HH7 INE733E07HI5 INE733E07HJ3 INE733E07HK1 INE733E07HL9 INE733E07HM7 INE733E07HN5 INE733E07HO3 INE733E07HP0 INE733E07HQ8 INE733E07HR6 | 10.07.2017 | Interest | 69,239,532 | ITSL | 10. | 45 | INE733E07HX4 INE733E07HY2 INE733E07HZ9 INE733E07IA0 INE733E07IB8 INE733E07IC6 INE733E07ID4 INE733E07IE2 INE733E07IF9 INE733E07IG7 INE733E07IH5 INE733E07II3 INE733E07IJ1 INE733E07IK9 INE733E07IL7 | 10.07.2017 | Interest | 70,588,077 | VITCL | 11. | 46 | INE733E07IM5 INE733E07IN3 INE733E07IO1 INE733E07IP8 INE733E07IQ6 INE733E07IR4 INE733E07IS2 INE733E07IT0 INE733E07IU8 INE733E07IV6 INE733E07IW4 INE733E07IX2 INE733E07IY0 INE733E07IZ7 INE733E07JA8 | 10.07.2017 | Interest | 69,912,682 | VITCL |
|
7th July, 2017 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds Series due for payment in August 2017 are detailed below:-
S.No. | Bond Series | ISINs | Record Date | Payment Date | 1. | XXXVII | INE733E07EP7 | 24.07.2017 | 10.08.2017 | 2. | LV | INE733E07JQ4 | 08.08.2017 | 21.08.2017 | 3. | LXII | INE733E07KE8 | 10.08.2017 | 23.08.2017 |
|
16th June, 2017 | The Record Date and Payment Date for Interest/Redemption due against NTPC Bonds during July, 2017 are given below :
S.No. | Bond Series | ISINs | Record Date | Payment Date | Nature of Payment | 1. | 38 | INE733E07ER3 INE733E07ES1 INE733E07ET9 INE733E07EU7 INE733E07EV5 INE733E07EW3 INE733E07EX1 INE733E07EY9 INE733E07EZ6 INE733E07FA6 INE733E07FB4 INE733E07FC2 INE733E07FD0 INE733E07FE8 | 07.07.2017 07.07.2017 07.07.2017 07.07.2017 07.07.2017 07.07.2017 07.07.2017 07.07.2017 07.07.2017 07.07.2017 07.07.2017 07.07.2017 07.07.2017 07.07.2017 | 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 | Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest |
|
16th June, 2017 | The Record Date and Payment Date for Interest/Redemption due against NTPC Bonds during July, 2017 are given below :
S.No. | Bond Series | ISINs | Record Date | Payment Date | Nature of Payment | 1. | 39 | INE733E07FG3 INE733E07FH1 INE733E07FI9 INE733E07FJ7 INE733E07FK5 INE733E07FL3 INE733E07FM1 INE733E07FN9 INE733E07FO7 INE733E07FP4 INE733E07FQ2 INE733E07FR0 INE733E07FS8 INE733E07FT6 | 07.07.2017 07.07.2017 07.07.2017 07.07.2017 07.07.2017 07.07.2017 07.07.2017 07.07.2017 07.07.2017 07.07.2017 07.07.2017 07.07.2017 07.07.2017 07.07.2017 | 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 | Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest |
|
16th June, 2017 | The Record Date and Payment Date for Interest/Redemption due against NTPC Bonds during July, 2017 are given below :
S.No. | Bond Series | ISINs | Record Date | Payment Date | Nature of Payment | 1. | 40 | INE733E07FU4 INE733E07FV2 INE733E07FW0 INE733E07FX8 INE733E07FY6 INE733E07FZ3 INE733E07GA4 INE733E07GB2 INE733E07GC0 INE733E07GD8 INE733E07GE6 INE733E07GF3 INE733E07GG1 INE733E07GH9 INE733E07GI7 | 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 | 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 | Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest |
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16th June, 2017 | The Record Date and Payment Date for Interest/Redemption due against NTPC Bonds during July, 2017 are given below :
S.No. | Bond Series | ISINs | Record Date | Payment Date | Nature of Payment | 1. | 41 | INE733E07GJ5 INE733E07GK3 INE733E07GL1 INE733E07GM9 INE733E07GN7 INE733E07GO5 INE733E07GP2 INE733E07GQ0 INE733E07GR8 INE733E07GS6 INE733E07GT4 INE733E07GU2 INE733E07GV0 INE733E07GW8 INE733E07GX6 | 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 | 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 | Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest |
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16th June, 2017 | The Record Date and Payment Date for Interest/Redemption due against NTPC Bonds during July, 2017 are given below :
S.No. | Bond Series | ISINs | Record Date | Payment Date | Nature of Payment | 1. | 43 | INE733E07HD6 INE733E07HE4 INE733E07HF1 INE733E07HG9 INE733E07HH7 INE733E07HI5 INE733E07HJ3 INE733E07HK1 INE733E07HL9 INE733E07HM7 INE733E07HN5 INE733E07HO3 INE733E07HP0 INE733E07HQ8 INE733E07HR6 | 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 | 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 | Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest |
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16th June, 2017 | The Record Date and Payment Date for Interest/Redemption due against NTPC Bonds during July, 2017 are given below :
S.No. | Bond Series | ISINs | Record Date | Payment Date | Nature of Payment | 1. | 45 | INE733E07HX4 INE733E07HY2 INE733E07HZ9 INE733E07IA0 INE733E07IB8 INE733E07IC6 INE733E07ID4 INE733E07IE2 INE733E07IF9 INE733E07IG7 INE733E07IH5 INE733E07II3 INE733E07IJ1 INE733E07IK9 INE733E07IL7 | 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 | 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 | Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest |
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16th June, 2017 | The Record Date and Payment Date for Interest/Redemption due against NTPC Bonds during July, 2017 are given below :
S.No. | Bond Series | ISINs | Record Date | Payment Date | Nature of Payment | 1. | 46 | INE733E07IM5 INE733E07IN3 INE733E07IO1 INE733E07IP8 INE733E07IQ6 INE733E07IR4 INE733E07IS2 INE733E07IT0 INE733E07IU8 INE733E07IV6 INE733E07IW4 INE733E07IX2 INE733E07IY0 INE733E07IZ7 INE733E07JA8 | 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 27.06.2017 | 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 10.07.2017 | Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest Interest |
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16th June, 2017 | The Record Date and Payment Date for Interest/Redemption due against NTPC Bonds during July, 2017 are given below :
S.No. | Bond Series | ISINs | Record Date | Payment Date | Nature of Payment | 1. | 31 | INE733E07CF2 | 27.06.2017 | 15.07.2017 | Interest |
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16th June, 2017 | The Record Date and Payment Date for Interest/Redemption due against NTPC Bonds during July, 2017 are given below :
S.No. | Bond Series | ISINs | Record Date | Payment Date | Nature of Payment | 1. | 40 | INE733E07FU4 | 14.07.2017 | 29.07.2017 | Repayment & Interest |
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13th June, 2017 | S.No. | Bond Series | ISINs | Record Date | Interest Payment Date | 1. | XXXIV | INE733E07CY3 INE733E07CZ0 INE733E07DA1 INE733E07DB9 INE733E07DC7 INE733E07DD5 INE733E07DE3 INE733E07DF0 INE733E07DG8 INE733E07DH6 INE733E07DI4 INE733E07DJ2 INE733E07DK0 | 20.06.2017 | 10.07.2017 |
|
13th June, 2017 | S.No. | Bond Series | ISINs | Record Date | Interest Payment Date | 1. | XXXII | INE733E07CI6 INE733E07CJ4 INE733E07CK2 INE733E07CL0 INE733E07CM8 INE733E07CN6 INE733E07CO4 INE733E07CP1 INE733E07CQ9 INE733E07CR7 INE733E07CS5 INE733E07CT3 INE733E07CU1 | 20.06.2017 | 10.07.2017 |
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13th June, 2017 | S.No. | Bond Series | ISINs | Record Date | Interest Payment Date | 1. | XXXIV | INE733E07CY3 INE733E07CZ0 INE733E07DA1 INE733E07DB9 INE733E07DC7 INE733E07DD5 INE733E07DE3 INE733E07DF0 INE733E07DG8 INE733E07DH6 INE733E07DI4 INE733E07DJ2 INE733E07DK0 | 20.06.2017 | 10.07.2017 |
|
13th June, 2017 | S.No. | Bond Series | ISINs | Record Date | Interest Payment Date | 1. | XXXVI | INE733E07EB7 INE733E07EC5 INE733E07ED3 INE733E07EE1 INE733E07EF8 INE733E07EG6 INE733E07EH4 INE733E07EI2 INE733E07EJ0 INE733E07EK8 INE733E07EL6 INE733E07EM4 INE733E07EN2 INE733E07EO0 | 20.06.2017 | 10.07.2017 |
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12th June, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Repayment and Interest thereon for the following ISIN of NTPC Ltd. Bonds has been made on 12.06.2017:-
S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXXIV-STRPP B | INE733E07CX5 | 12.06.2017 | Redemption & Interest | 108,017,973.00 |
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09th June, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Redemption Payment along with Interest thereon for the following ISIN of NTPC Ltd. Bonds has been made on 09.06.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXXIX STRPP-A | INE733E07FF5 | 09.06.2017 | Repayment & Interest | 75,996,482/- |
|
30th May, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 29.05.2017 :-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | LXI | INE733E07KB4 INE733E07KC2 INE733E07KD0 | 29.05.2017 | Interest Payment | 873,485,143/- |
|
15th May, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 15.05.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXXIII | INE733E07CV9 | 15.05.2017 | Interest Payment | 170,235,000/- |
|
08th May, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 05.05.2017 :-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | LX | INE733E07KA6 | 05.05.2017 | Interest Payment | 80,50,00,000/- |
|
05th May, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 04.05.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XLIV | INE733E07HS4 INE733E07HT2 INE733E07HU0 INE733E07HV8 INE733E07HW6 | 04.05.2017 | Interest Payment | 46,25,00,000 |
|
04th May, 2017 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series LXI are detailed below:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | 1. | LXI | INE733E07KB4 INE733E07KC2 INE733E07KD0 | 15.05.2017 | 29.05.2017 |
|
02 nd May, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the redemption and Interest Payment thereon for the following ISIN of NTPC Ltd. Bonds has been made on 29.04.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XIII-B | INE733E07108 | 30.04.2017* | Redemption & Interest thereon
(10th STRPP) | 779,238,699.00 |
*30.04.2017 was bank holiday being Sunday, Payment is released on 29.04.2017 |
20th April, 2017 | Security ID | Security Code | Maturity Date | BSE NTPCSR13A | 972018 | 18.04.2017 |
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20th April, 2017 | Exchange Security Description Date | Security Type | Maturity | NTPC 9.55% 2017 NSE (S-XIII-A) | PT | 18.04.2017 |
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18th April, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Final Redemption Payment and Interest thereon for the following ISIN of NTPC Ltd. Bonds has been made on 18.04.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XIII-A | INE733E07165 | 18.04.2017 | Final Redemption & Interest thereon | 777,080,137.00 |
|
11th April, 2017 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series XXXIII are detailed below:-
S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1. | XXXIII | INE733E07CV9 | 26.04.2017 | 15.05.2017 |
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7th April, 2017 | The Record Date for the Interest Payment for NTPC Ltd. Bonds - Series LX are detailed below:-
S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1. | LX | INE733E07KA6 | 21.04.2017 | 05.05.2017 |
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7th April, 2017 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series XLIV is detailed below:-
S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1. | XLIV | INE733E07HS4 INE733E07HT2 INE733E07HU0 INE733E07HV8 INE733E07HW6 | 20.04.2017 | 04.05.2017 |
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6th April, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 04.04.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XLIX | INE733E07JD2 | 04.04.2017 | Annual Interest | 176,000,000.00 |
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29th March, 2017 | 8.8493% Series XXXII STRPP-B (INE733E07CH8) Bonds issued by NTPC are listed on the Debt Market Segment of National Stock Exchange. The Security description given to the said Bonds by your Exchange is as under:-
S.No. | Description of Security | Security Type | Maturity Date | 1. | NTPC 8.8493% 2017
(S-XXXII) STRPP B | PT | 25.03.2017 |
The said Bonds had matured on 25.03.2017 and payments towards redemption have been made to the Beneficial Owners. |
27th March, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that Repayment & Interest thereon for the following ISIN of NTPC Ltd. Bonds has been made on 22.03.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXXVIII STRPP-A | INE733E07EQ5 | 22.03.2017 | Repayment & Interest | 5,31,90,658/- |
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27th March, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Part Redemption & Interest thereon for the following ISIN of NTPC Ltd. Bonds has been made on 24.03.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXXII STRPP-B | INE733E07CH8 | 25.03.2017* | Part Redemption and Interest thereon | 7,43,61,614.00 |
*25.03.2017 being bank holiday, payment is released on 24.03.2017 |
27th March, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 24.03.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | LII | INE733E07JN1 | 24.03.2017 | Interest | 34,35,32,877/- |
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24th March, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that Repayment & Interest thereon for the following ISIN of NTPC Ltd. Bonds has been made on 22.03.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXXVIII STRPP-A | INE733E07EQ5 | 22.03.2017 | Repayment & Interest | 5,31,90,658/- |
|
21 st March, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 20.03.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXX | INE733E07CE5 | 20.03.2017 | Annual Interest | 552,300,000 |
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17th March, 2017 | The Record Date and Payment Date for the Redemption & Interest there on for NTPC Ltd. Bonds - Series XIII-B are detailed below:-
S.No. | Bond Series | ISIN | Record Date | Redemption & Interest Payment Date | 1. | XIII-B | INE733E07108 | 31.03.2017 | 29.04.2017 |
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14th March, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 10.03.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXIX | INE733E07CD7 | 10.03.2017 | Annual Interest | 475,750,000/- |
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27th March, 2017 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series XLIX are detailed below:-
S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1. | XLIX | INE733E07JD2 | 21.03.2017 | 04.04.2017 |
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27th March, 2017 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Redemption & Interest Payment Date for NTPC Ltd. Bonds - Series XIII-A is detailed below:-
S.No. | Bond Series | ISIN | Record Date | Redemption& Interest Payment Date | 1. | XIII-A | INE733E07165 | 20.03.2017 | 18.04.2017 |
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06 nd March, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 04.03.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | LI-A | INE733E07JK7 | 04.03.2017 | Annual Interest | 6,14,25,000 | 2. | LI-B | INE733E07JL5 | 04.03.2017 | Annual Interest | 9,06,15,000 | 3. | LI-C | INE733E07JM3 | 04.03.2017 | Annual Interest | 27,55,20,000 |
|
27th February, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 24.02.2017 :-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | LIX | INE733E07JZ5 | 24.02.2017 | Interest | 54,56,15,000/- |
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21 st February, 2017 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and Interest Payment Date for NTPC Ltd. Bonds - Series LIV is detailed below:-
S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1. | LIV | INE733E07JP6 | 14.03.2017 | 27.03.2017 |
|
21 st February, 2017 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date & Payment Date for Redemption & Interest thereon for NTPC Ltd. Bonds Series XXXVIII- STRPP A are detailed below:-
S.No. | Bond Series | ISIN | Record Date | Redemption & Interest Payment Date | 1. | XXXVIII- STRPP A | INE733E07EQ5 | 20.03.2017 | 22.03.2017 |
|
21 st February, 2017 | The Record Date for the Interest Payment for NTPC Ltd. Bonds - Series LII are detailed below:-
S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1. | LII | INE733E07JN1 | 09.03.2017 | 24.03.2017 |
|
21 st February, 2017 | The Record Date for the Redemption payment and Interest thereon for NTPC Ltd. Bonds - Series XXXII STRPP-B is detailed below :
S.No. | Bond Series | ISIN | Record Date | Redemption & Interest Payment Date | 1. | XXXII-STRPP-B | INE733E07CH8 | 06.03.2017 | 24.03.2017 |
|
07th February, 2017 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series LI-A, LI-B, LI-C are detailed below:-
S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1. | LI-A | INE733E07JK7 | 17.02.2017 | 04.03.2017 | 2. | LI-B | INE733E07JL5 | 17.02.2017 | 04.03.2017 | 3. | LI-C | INE733E07JM3 | 17.02.2017 | 04.03.2017 |
|
07 st February, 2017 | The Record Date for the interest payment for NTPC Ltd. Bonds - Series XXX is detailed below :
S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1. | XXX | INE733E07CE5 | 28.02.2017 | 20.03.2017 |
|
07th February, 2017 | The Record Date for the interest payment w.r.t. the following ISIN of NTPC Ltd. Bonds - Series XXIX is detailed below :
S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1. | XXIX | INE733E07CD7 | 23.02.2017 | 10.03.2017 |
|
07th February, 2017 | The Record Date for the interest payment for NTPC Ltd. Bonds - Series XLVIII is detailed below:
S.No. | Bonds Series | ISIN | Record Date | Interest Payment Date | 1. | XLVIII | INE733E07JC4 | 20.02.2017 | 07.03.2017 |
|
30th January, 2017 | The Record Date for the Interest Payment for NTPC Ltd. Bonds - Series LIX are detailed below:-
S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1. | LIX | INE733E07JZ5 | 09.02.2017 | 24.02.2017 |
|
25th January, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 25.01.2017:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XLII | INE733E07GY4 INE733E07GZ1 INE733E07HA2 INE733E07HB0 INE733E07HC8 | 25.01.2017 | Interest Payment | 45,00,00,000/- |
|
4th January, 2017 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series XLII are detailed below:-
S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1. | XLII | INE733E07GY4 INE733E07GZ1 INE733E07HA2 INE733E07HB0 INE733E07HC8 | 10.01.2017 | 25.01.2017 |
|
03 rd January, 2017 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 31.12.2016:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | LVIII | INE733E07JY8 | 31.12.2016 | Interest | 24,54,00,000/- | S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXVIII | INE733E07CC9 | 31.12.2016 | Annual Interest | 110,00,00,000/- |
|
19th December, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 16.12.2016:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | L-1A L-2A L-3A L-1B L-2B L-3B | INE733E07JE0 INE733E07JF7 INE733E07JG5 INE733E07JH3 INE733E07JI1 INE733E07JJ9 | 16.12.2016 | Interest | 150,81,45,882/- |
|
16th December, 2016 | NTPC Ltd. Bonds Series XXXVI STRPP A (ISIN INE733E07EA9) are listed on the Debt Market Segment of your Stock Exchange.
The Security description given to the said Bonds by your Exchange is as under:-
Security Description | Security Type | Maturity Date | NTPC 8.8086% 2016
(S-XXXVI) STRPP-A | PT | 15.12.2016 |
The said Bonds had matured on 15.12.2016 and payments towards redemption have been made to the Beneficial Owner. |
16th December, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 15.12.2016:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | LVII | INE733E07JX0 | 15.12.2016 | Interest | 40,95,00,000/- |
|
06th December, 2016 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Interest Payment Date for NTPC Ltd. Bonds - Series XXVIII & Series LVIII are detailed below:-
S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1. | XXVIII | INE733E07CC9 | 16.12.2016 | 31.12.2016 | S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1. | LVIII | INE733E07JY8 | 16.12.2016 | 31.12.2016 |
|
01 st December, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 30.11.2016:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XIII-A | INE733E07165 | 30.11.2016 | Interest | 3,59,10,616/- | S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XIII-B | INE733E07108 | 30.11.2016 | Interest | 3,59,10,616/- |
|
22 nd November, 2016 | In terms of regulation 60(2) of the SEBI (LODR) Regulations, 2015, please note that, the Record Date for the interest payment w.r.t. the following ISINs of NTPC Ltd. Bonds - Series L has been fixed as 01.12.2016:
S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1. | L-1A
L-2A
L-3A
L-1B
L-2B
L-3B | INE733E07JE0 | INE733E07JF7 | INE733E07JG5 | INE733E07JH3 | INE733E07JI1 | INE733E07JJ9 |
| 01.12.2016 | 16.12.2016 |
|
18th November, 2016 | The Record Date for the Interest Payment for NTPC Ltd. Bonds - Series LVII are detailed below:-
S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1. | LVII | INE733E07JX0 | 30.11.2016 | 15.12.2016 |
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16th November, 2016 | The Record Date for Redemption Payment & Interest thereon for NTPC Ltd. Bonds Series XXXVI-STRPP A are detailed below:
S.No. | Bond Series | ISIN | Record Date | Redemption & Interest Payment Date | 1. | XXXVI- STRPP A | INE733E07EA9 | 25.11.2016 | 15.12.2016 |
|
18th October, 2016 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and Interest Payment Date for NTPC Ltd. Bonds - Series XIII-A & XIII-B are detailed below:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | 1. | XIII-A | INE733E07165 | 31.10.2016 | 30.11.2016 | S.No. | Bond Series | ISIN | Due Date | Nature of Payment | 1. | XIII-B | INE733E07108 | 31.10.2016 | 30.11.2016 |
|
05th October, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 04.10.2016:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XLVII | INE733E07JB6 | 04.10.2016 | Annual Interest | 34,47,60,000.00 |
|
27th September, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 26.09.2016:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | LII | INE733E07JN1 | 24.09.2016 * | Interest | 35,69,67,123/- |
*24.09.2016 and 25.09.2016 being bank holidays, payment was released on 26.09.2016 |
23 rd September, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 22.09.2016:- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | LIII | INE733E07JO9 | 22.09.2016 | Annual Interest | 91,70,00,000/- |
|
5th September, 2016 | The Record Date for the Interest Payment for NTPC Ltd. Bonds - Series LVI are detailed below:- S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1. | LVI-1A
LVI-2A
LVI-3A
LVI-1B
LVI-2B
LVI-3B | INE733E07JR2 INE733E07JS0 INE733E07JT8 INE733E07JU6 INE733E07JV4 INE733E07JW2 | 20.09.2016 | 05.10.2016 |
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5th September, 2016 | The Record Date for the Interest Payment for NTPC Ltd. Bonds � Series XLVII is detailed below: S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1. | XLVII | INE733E07JB6 | 19.09.2016 | 04.10.2016 |
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31 st August, 2016 | The Record Date for the Interest Payment for NTPC Ltd. Bonds - Series LII are detailed below:- S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1. | LII | | 12.09.2016 | 26.09.2016 * |
* 24.09.2016 & 25.09.2016 being bank holidays, the payment shall be released on 26.09.2016 |
26th August, 2016 | The Record Date for the Interest Payment for NTPC Ltd. Bonds � Series LIII is detailed below: S.No. | Bond Series | ISINs | Record Date | Interest Payment Date | 1. | LIII | | 07.09.2016 | 22.09.2016 |
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23 rd August, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 22.08.2016:- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | LV | | 21.08.2016 * | Interest | 21,50,86,070/- |
*21.08.2016 being Sunday, payment released on 22.08.2016 |
10th August, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 10.08.2016 S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXXVII | INE733E07EP7 | 10.08.2016 | Interest Payment | 26,79,00,000/- |
|
19th July, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 15.07.2016:- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXXI | | 15.07.2016 | Interest Payment | 43,90,00,000.00 |
|
13th July, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 11.07.2016:- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXXII | INE733E07CH8 INE733E07CI6 INE733E07CJ4 INE733E07CK2 INE733E07CL0 INE733E07CM8 INE733E07CN6 INE733E07CO4 INE733E07CP1 INE733E07CQ9 INE733E07CR7 INE733E07CS5 INE733E07CT3 INE733E07CU1 | 10.07.2016* | Interest Payment | 8,69,60,738.00 |
*10.07.2016 being Sunday, payment released on 11.07.2016 |
13th July, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 11.07.2016:- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXXIV | INE733E07CX5 INE733E07CY3 INE733E07CZ0 INE733E07DA1 INE733E07DB9 INE733E07DC7 INE733E07DD5 INE733E07DE3 INE733E07DF0 INE733E07DG8 INE733E07DH6 INE733E07DI4 INE733E07DJ2 INE733E07DK0 | 10.07.2016* | Interest Payment | 12,22,74,082.00 |
*10.07.2016 being Sunday, payment is released on 11.07.2016 |
13th July, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 11.07.2016:- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXXII | INE733E07CH8 INE733E07CI6 INE733E07CJ4 INE733E07CK2 INE733E07CL0 INE733E07CM8 INE733E07CN6 INE733E07CO4 INE733E07CP1 INE733E07CQ9 INE733E07CR7 INE733E07CS5 INE733E07CT3 INE733E07CU1 | 10.07.2016* | Interest Payment | 8,69,60,738.00 |
*10.07.2016 being Sunday, payment released on 11.07.2016 |
13th July, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 11.07.2016 S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXXV | INE733E07DL8 INE733E07DM6 INE733E07DN4 INE733E07DO2 INE733E07DP9 INE733E07DQ7 INE733E07DR5 INE733E07DS3 INE733E07DT1 INE733E07DU9 INE733E07DV7 INE733E07DW5 INE733E07DX3 INE733E07DY1 INE733E07DZ8 | 10.07.2016* | Interest Payment | 10,57,08,822.00 |
*10.07.2016 being Sunday, payment released on 11.07.2016 |
13th July, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 11.07.2016:- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXXVI | INE733E07EA9 INE733E07EB7 INE733E07EC5 INE733E07ED3 NE733E07EE1 INE733E07EF8 INE733E07EG6 INE733E07EH4 INE733E07EI2 INE733E07EJ0 INE733E07EK8 INE733E07EL6 INE733E07EM4 INE733E07EN2 INE733E07EO0 | 10.07.2016* | Interest Payment | 6,62,45,499.00 |
*10.07.2016 being Sunday, payment is released on 11.07.2016 |
13th July, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 11.07.2016:- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXXIX | INE733E07FF5 INE733E07FG3 INE733E07FH1 INE733E07FI9 INE733E07FJ7 INE733E07FK5 INE733E07FL3 INE733E07FM1 INE733E07FN9 INE733E07FO7 INE733E07FP4 INE733E07FQ2 INE733E07FR0 INE733E07FS8 INE733E07FT6 | 10.07.2016* | Interest Payment | 9,88,60,912.00 |
*10.07.2016 being Sunday, payment is released on 11.07.2016 |
13th July, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 11.07.2016:- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XL | INE733E07FU4 INE733E07FV2 INE733E07FW0 INE733E07FX8 INE733E07FY6 INE733E07FZ3 INE733E07GA4 INE733E07GB2 INE733E07GC0 INE733E07GD8 INE733E07GE6 INE733E07GF3 INE733E07GG1 INE733E07GH9 INE733E07GI7 | 10.07.2016* | Interest Payment | 7,18,81,397.00 |
*10.07.2016 being Sunday, payment was released on 11.07.2016 |
13th July, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 11.07.2016:- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XLI | INE733E07GJ5 INE733E07GK3 INE733E07GL1 INE733E07GM9 INE733E07GN7 INE733E07GO5 INE733E07GP2 INE733E07GQ0 INE733E07GR8 INE733E07GS6 INE733E07GT4 INE733E07GU2 INE733E07GV0 INE733E07GW8 INE733E07GX6 | 10.07.2016* | Interest Payment | 7,27,32,932.00 |
*10.07.2016 being Sunday, payment is released on 11.07.2016 |
13th July, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 11.07.2016:- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXXVIII | INE733E07EQ5 INE733E07ER3 INE733E07ES1 INE733E07ET9 INE733E07EU7 INE733E07EV5 INE733E07EW3 INE733E07EX1 INE733E07EY9 INE733E07EZ6 INE733E07FA6 INE733E07FB4 INE733E07FC2 INE733E07FD0 INE733E07FE8 | 10.07.2016* | Interest Payment | 6,89,63,425.00 |
*10.07.2016 being Sunday, payment was released on 11.07.2016 |
13th July, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 11.07.2016:- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XLIII | INE733E07HD6 INE733E07HE4 INE733E07HF1 INE733E07HG9 INE733E07HH7 INE733E07HI5 INE733E07HJ3 INE733E07HK1 INE733E07HL9 INE733E07HM7 INE733E07HN5 INE733E07HO3 INE733E07HP0 INE733E07HQ8 INE733E07HR6 | 10.07.2016* | Interest Payment | 6,96,19,449.00 |
*10.07.2016 being Sunday, payment is released on 11.07.2016 |
13th July, 2016 | terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 11.07.2016:- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XLV | INE733E07HX4 INE733E07HY2 INE733E07HZ9 INE733E07IA0 INE733E07IB8 INE733E07IC6 INE733E07ID4 INE733E07IE2 INE733E07IF9 INE733E07IG7 INE733E07IH5 INE733E07II3 INE733E07IJ1 INE733E07IK9 INE733E07IL7 | 10.07.2016* | Interest Payment | 7,09,75,394.00 |
*10.07.2016 being Sunday, payment is released on 11.07.2016 |
13th July, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 11.07.2016:- S.No. | Bond Series | ISINs | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XLVI | INE733E07IM5 INE733E07IN3 INE733E07IO1 INE733E07IP8 INE733E07IQ6 INE733E07IR4 INE733E07IS2 INE733E07IT0 INE733E07IU8 INE733E07IV6 INE733E07IW4 INE733E07IX2 INE733E07IY0 INE733E07IZ7 INE733E07JA8 | 10.07.2016* | Interest Payment | 7,02,96,293.00 |
*10.07.2016 being Sunday, payment was released on 11.07.2016 |
31 st May, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 31.05.2016:-
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XIII-A | INE733E07165 | 31.05.2016 | Interest | 35,714,384.00 |
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XIII-B | INE733E07108 | 31.05.2016 | Interest | 35,714,384.00 |
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31 st May, 2016 | Noting Certificate by Debenture Trustees under Regulation 52 (5) of SEBI (LODR) Regulations,2015... Click here to view/download |
16th May, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 16.05.2016:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXXIII | INE733E07CV9 | 15.05.2016* | Interest Payment | 170,235,000 |
S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXXIII | INE733E07CV9 | 15.05.2016* | Interest Payment | 170,235,000 |
|
05th May, 2016 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and Redemption & Interest Payment Date for NTPC Ltd. Bonds ISIN INE733E07CW7 (Series XXXIV) is detailed below:- S.No. | Bond Series | ISIN | Due Date | Redemption & Interest Payment Date | 1. | XXXIV | INE733E07CW7 | 23.05.2016 | 10.06.2016 |
|
04th May, 2016 | S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XLIV | INE733E07HS4
INE733E07HT2
INE733E07HU0
INE733E07HV8
INE733E07HW6 | 04.05.2016 | Interest Payment | 46,25,00,000 |
|
30th April, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the redemption and Interest Payment thereon for the following ISIN of NTPC Ltd. Bonds has been made on 30.04.2016:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XIII-B | INE733E07090 | 30.04.2016 | Redemption & Interest thereon
(9th STRPP) | 779,434,932.00 |
|
18th April, 2016 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and Interest Payment Date for NTPC Ltd. Bonds - Series XIII-A are detailed below:- S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1. | XIII-A | INE733E07165 | 02.05.2016 | 31.05.2016 |
In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and Interest Payment Date for NTPC Ltd. Bonds - Series XIII-B are detailed below:- S.No. | Bond Series | ISIN | Record Date | Interest Payment Date | 1. | XIII-B | INE733E07108 | 02.05.2016 | 31.05.2016 |
|
18th April, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Part redemption and Interest Payment thereon for the following ISIN of NTPC Ltd. Bonds has been made on 18.04.2016:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XIII-A | INE733E07165 | 18.04.2016 | Part redemption & Interest thereon
(9th installment) | 777,080,137.00 |
|
4th April, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 04.04.2016:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XLIX | INE733E07JD2 | 04.04.2016 | Annual Interest | 176,000,000.00 |
|
28th Mar, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 28.03.2016:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | LIV | INE733E07JP6 | 25.03.2016 * | Annual Interest | 882,24,21,330/- |
* Interest Payment is made on 28.03.2016( for the period 25.03.2015 to 27.03.2016), as 25.03.2016, 26.03.2016 & 27.03.2016 were bank holidays . |
28th Mar, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Part Redemption & Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 23.03.2016:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXXII | INE733E07CG0 | 25.03.2016* | Part Redemption and Interest Payment | 7,43,78,585.00 |
*24.03.2016 and 25.03.2016 being bank holidays on account of Holi and Good Friday respectively, payment is released on 23.03.2016 |
23th Mar, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 23.03.2016:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | LII | INE733E07JN1 | 24.03.2016 * | Interest | 34,83,36,065.00 |
|
19th Mar, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 19.03.2016:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXX | INE733E07CE5 | 19.03.2016 | Annual Interest | 552,300,000 |
|
15th Mar, 2016 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date for Part Redemption & Interest Payment for NTPC Ltd. Bonds - Series XIII-A is detailed below:- ISIN | INE733E07165 | Security Description | 9.55% Secured Non-Cumulative Non-Convertible Redeemable Taxable Bonds in the nature of Debentures Series XIII-A | Old face value | Rs. 2,00,000/- each Bond | New face value (after redemption) | Rs. 1,00,000/- each Bond | Record Date | 21.03.2016 | Date of Partial Redemption alongwith Interest | 18.04.2016 |
|
10th Mar, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 10.03.2016:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XXIX | INE733E07CD7 | 10.03.2016 | Annual Interest | 475,750,000 |
|
09th Mar, 2016 | In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Redemption & Interest Payment Date for NTPC Ltd. Bonds - Series XIII-A is detailed below:- S.No. | Bond Series | ISIN | Record Date | Redemption & Interest Payment Date | 1. | XIII-A | INE733E07165 | 21.03.2016 | 18.04.2016 |
In terms of regulations 60(2) and 50(1) of the SEBI (LODR) Regulations, 2015, the Record Date and the Redemption & Interest Payment Date for NTPC Ltd. Bonds - Series XIII-B is detailed below:- S.No. | Bond Series | ISIN | Record Date | Redemption & Interest Payment Date | 1. | XIII-B | INE733E07090 | 31.03.2016 | 30.04.2016 |
|
07th Mar, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISIN of NTPC Ltd. Bonds has been made on 07.03.2016:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | XLVIII | INE733E07JC4 | 07.03.2016 | Annual Interest | 261,900,000 |
|
04th Mar, 2016 | In terms of regulation 57(1) of the SEBI (LODR) Regulations, 2015, we confirm that the Interest Payment for the following ISINs of NTPC Ltd. Bonds has been made on 04.03.2016:- S.No. | Bond Series | ISIN | Due Date | Nature of Payment | Amount Paid (Rs.) | 1. | LI-A | INE733E07JK7 | 04.03.2016 | Annual Interest | 6,14,25,000 | 2. | LI-B | INE733E07JL5 | 04.03.2016 | Annual Interest | 9,06,15,000 | 3. | LI-C | INE733E07JM3 | 04.03.2016 | Annual Interest | 27,55,20,000 |
|