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Company ISIN Number

AAMBY VALLEY LIMITED INE211I08013


ABBEE CONSUMABLES AND PERIPHERALS SSHOPE LTD INE657J07025
ABG SHIPYARD LIMITED INE067H07021
ABG SHIPYARD LIMITED INE067H07013
ABIR CHEMICALS LTD. INE448C07016
ABN AMRO SECURITIES (INDIA) PRIVATE LIMITED INE521E07743
ACKRUTI CITY LIMITED INE703H07021
ADMINISTRATOR OF SPEICIFIED UNDERTAKING OF UNIT TRUST OF INDIA
(UTI-1)
INE189A07010
ADMINISTRATOR OF SPEICIFIED UNDERTAKING OF UNIT TRUST OF INDIA
(UTI-1)
INE189A07028
AHMEDABAD MUNICIPAL CORPORATION INE117E07013
AIRMID DEVELOPERS LIMITED INE403P08011
AKSH OPTIFIBRE LIMITED INE523B07034
ALOK INDUSTRIES LIMITED INE270A07026
ALOK INDUSTRIES LIMITED INE270A08149
AMARAVATI GREENLANDS PRIVATE LIMITED INE854I07012
AMARAVATI GREENLANDS PRIVATE LIMITED INE854I07020
AMARAVATI GREENLANDS PRIVATE LIMITED INE854I07038
AMARAVATI GREENLANDS PRIVATE LIMITED INE854I07046
AMRUTANJAN FINANCE LTD. INE725F08018
ANDHRA BANK INE434A09065
ANDHRA FUELS PRIVATE LIMITED INE910F07018
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08161
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08336
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08187
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08567
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08AI6
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08AJ4
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08AS5
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08AQ9
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08583
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08633
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08BF0
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08BG8
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08CK8
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08CD3
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08CF8
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08112
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08195
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08872
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08CS1
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08054
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08104
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08278
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08351
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08AE5
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08427
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08AV9
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08AM8
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08500
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08518
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08591
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08609
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08658
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08229
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08666
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08138
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08211
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08302
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08369
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08377
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08AG0
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08237
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08385
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08AA3
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08AH8
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08443
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08AO4
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08CX1
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08CJ0
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08CI2
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08CQ5
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08617
ANDHRA PRADESH POWER FINANCE CORPORATION LIMITED INE847E08625
ANDHRA PRADESH POWER GENERATION CORPORATION LTD INE401G08030
ANDHRA PRADESH STATE FINANCIAL CORPORATION INE695F09086
ANDHRA PRADESH STATE FINANCIAL CORPORATION INE695F09334
ANDHRA PRADESH WATER RESOURCES DEVELOPMENT CORPORATTION INE637G07015
ANDHRA PRADESH WATER RESOURCES DEVELOPMENT CORPORATTION INE637G07023
ANDREW YULE & COMPANY LTD. INE449C07014
ARCH AGRO INDUSTRIES PRIVATE LIMITED INE835O07019
ARCH PHARMALABS LIMITED INE182F07063
ASHIMA LIMITED INE440A07017
ASHOK LEYLAND FINANCE LIMITED INE251A08024
ASHOK LEYLAND FINANCE LIMITED INE251A08040
ASHOK LEYLAND FINANCE LIMITED INE251A07034
ASHOK LEYLAND FINANCE LIMITED INE251A08065
ASHOK LEYLAND FINANCE LIMITED INE251A08057
Asian Electronics Limited INE441A08062
Asian Electronics Limited INE441A08054
Asian Electronics Limited INE441A08070
Asian Electronics Limited INE441A08096
Asian Electronics Limited INE441A08088
ASIANET SATELLITE COMMUNICATIONS LIMITED INE829F07028
ASTRAZENECA PHARMA INDIA LIMITED INE203A07019
ATHENA INFRASTRUCTURE LIMITED INE415P08015
ATS INFRABUILD PRIVATE LIMITED INE686N07018
BABJI REALTORS PRIVATE LIMITED INE909N08012
BABJI REALTORS PRIVATE LIMITED INE909N08020
BABJI REALTORS PRIVATE LIMITED INE909N08038
BAGMANE ESTATES PRIVATE LIMITED INE923N07023
BAJAJ AUTO FINANCE LIMITED INE296A07021
BAJAJ FINANCE LIMITED INE296A07625
BAJAJ FINANCE LIMITED INE296A08508
BAJAJ HINDUSTHAN LIMITED INE306A08BI9
BAJAJ HINDUSTHAN LIMITED INE306A08CM9
BAJAJ HINDUSTHAN LIMITED INE306A08CN7
BAJAJ HINDUSTHAN LIMITED INE306A08DC8
BAJAJ HINDUSTHAN LIMITED INE306A08DQ8
BAJAJ HINDUSTHAN LIMITED INE306A08DP0
BAJAJ PLASTICS LTD. INE986C07015
BALLARPUR INDUSTRIES LIMITED INE294A07075
BANGAR AGRO-FARMS PRIVATE LIMITED INE852I07032
BANGAR AGRO-FARMS PRIVATE LIMITED INE852I07016
BANGAR AGRO-FARMS PRIVATE LIMITED INE852I07024
BANGAR AGRO-FARMS PRIVATE LIMITED INE852I07057
BANK OF BARODA INE028A09032
BARCLAYS INVESTMENTS & LOANS (I)LTD INE704I07DO4
BARCLAYS INVESTMENTS & LOANS (INDIA) LIMITED INE704I07266
BARCLAYS INVESTMENTS & LOANS (INDIA) LIMITED INE704I07977
BARCLAYS INVESTMENTS & LOANS (INDIA) LIMITED INE704I07CT5
BERGER PAINTS LIMITED INE463A08041
BERGER PAINTS LIMITED INE463A08058
BERGER PAINTS LIMITED INE463A08066
BERGER PAINTS LIMITED INE463A08074
BEST GOLDEN DEVELOPERS PRIVATE LIMITED INE687N07016
BHARATI SHIPYARD LIMITED INE673G07010
BHARATI SHIPYARD LIMITED INE673G08018
BHUSHAN STEEL & STRIPS LIMITED INE824B07226
BIRLA CORPORATION LIMITED INE340A08280
BIRLA CORPORATION LIMITED INE340A08348
BIRLA CORPORATION LIMITED INE340A08389
BIRLA CORPORATION LIMITED INE340A08413
BIRLA TMT HOLDINGS PRIVATE LIMITED INE179J08341
BIRLA TMT HOLDINGS PRIVATE LIMITED INE179J08366
BIRLA TMT HOLDINGS PRIVATE LIMITED INE179J08424
BLUE BERRY TRADING COMPAN Y PRIVATE LTD. INE322F07016
BLUE BIRD (INDIA) LIMITED INE697H07025
BMW INDIA FINANCIAL SERVICES PRIVATE LIMITED INE735N08011
BPTP LIMITED INE491I07062
BPTP LIMITED INE491I07054
BRANDHOUSE RETAILS LIMITED INE317J07018
BRITANNIA INDUSTRIES LIMITED INE216A07011
BRITANNIA INDUSTRIES LIMITED INE216A07045
BSES ANDHRA POWER LIMITED INE967F07026
BSES ANDHRA POWER LIMITED INE967F07034
BSES LTD. INE036A07070
BSES LTD. INE036A07088
Central Bank of India INE483A09039
Central Bank of India INE483A09047
CENTURY ENKA LIMITED INE485A07012
CENTURY REAL ESTATE HOLDINGS PRIVATE LIMITED INE422L07012
CHENNAI METROPOLITAN WATER SUPPLY & SEWERAGE BOARD INE447G09015
CHOLAMANDALAM INVESTMENT AND FIN. CO. LTD INE121A07FR6
CITICORP FINANCE (INDIA) LIMITED INE136E07849
CITICORP FINANCE (INDIA) LIMITED INE136E07898
CITICORP FINANCE (INDIA) LIMITED INE136E07EH0
CITICORP FINANCE (INDIA) LIMITED INE136E07BI4
CITICORP FINANCE INDIA LIMITED INE136E07IS8
CITICORP FINANCE INDIA LIMITED INE136E07IU4
CITICORP FINANCE INDIA LIMITED INE136E07IL3
CITIFINANCIAL CONSUMER FINANCE INDIA LTD. INE915D07JF2
CITIFINANCIAL CONSUMER FINANCE INDIA LTD. INE915D07LE1
CITIFINANCIAL CONSUMER FINANCE INDIA LTD. INE915D07KC7
CITIFINANCIAL CONSUMER FINANCE INDIA LTD. INE915D07LG6
CITIFINANCIAL CONSUMER FINANCE INDIA LTD. INE915D07IZ2
CITIFINANCIAL CONSUMER FINANCE INDIA LTD. INE915D07OG0
CITRA PROPERTIES LIMITED INE402P08013
CLUTCH AUTO LIMITED INE779B08014
COASTAL PROJECTS LIMITED INE407J08015
CONTEMPORARY HEALTHCARE PVT. LTD. INE285G08011
CORBEL ESTATE & INVESTMENTS PVT. LTD. INE821F07017
CORE PROJECT & TECHNOLOGIES LIMITED INE247G07013
CREDIT SUISSE FINANCE (INDIA) PRIVATE LIMITED INE996L07080
CYBERABAD CITY PROJECTS PRIVATE LIMITED INE227I08019
DAMODAR VALLEY CORPORATION INE753F09182
DCW LTD INE500A07034
DECCAN CHRONICLE HOLDINGS LIMITED INE137G08519
DECCAN CHRONICLE HOLDINGS LIMITED INE137G07065
DECCAN CHRONICLE HOLDINGS LIMITED INE137G08543
DECCAN CHRONICLE HOLDINGS LIMITED INE137G07362
DECCAN CHRONICLE HOLDINGS LIMITED INE137G07537
DECCAN CHRONICLE HOLDINGS LIMITED INE137G07370
DEUTSCHE INVESTMENTS INDIA PRIVATE LIMITED INE144H07952
DEUTSCHE INVESTMENTS INDIA PRIVATE LIMITED INE144H07481
DEUTSCHE INVESTMENTS INDIA PRIVATE LIMITED INE144H07499
DEUTSCHE INVESTMENTS INDIA PRIVATE LIMITED INE144H07523
DEUTSCHE INVESTMENTS INDIA PRIVATE LIMITED INE144H07531
DEUTSCHE INVESTMENTS INDIA PVT LTD INE144H07AL7
DEWAN HOUSING FINANCE CORPORATION LIMITED INE202B08322
DEWAN HOUSING FINANCE CORPORATION LTD. INE202B07043
DEWAN HOUSING FINANCE CORPORATION LTD. INE202B07068
DEWANCHAND RAMSARAN INDUSTRIES PRIVATE LIMITED INE451I08015
DEWANCHAND RAMSARAN INDUSTRIES PRIVATE LIMITED INE451I07017
DR. REDDY'S LABORATORIES LIMITED INE089A08051
DSP MERRILL LYNCH CAPITAL LTD INE090H07IY8
DSP MERRILL LYNCH CAPITAL LTD INE090H07HS2
E.I.D. PARRY (INDIA) LTD. INE126A07152
ECL FINANCE LIMITED INE804I08361
ECL FINANCE LIMITED INE804I08528
ECL FINANCE LIMITED INE804I08478
ECL FINANCE LIMITED INE804I07488
ECL FINANCE LIMITED INE804I07041
ECL FINANCE LIMITED INE804I07058
ECL FINANCE LIMITED INE804I07116
ECL FINANCE LIMITED INE804I07066
ECL FINANCE LIMITED INE804I07330
ECL FINANCE LIMITED INE804I07HN5
ECL FINANCE LIMITED INE804I07LP2
ECL FINANCE LIMITED INE804I07LO5
ECL FINANCE LIMITED INE804I07IQ6
ECL FINANCE LIMITED INE804I07QD7
ECL FINANCE LIMITED INE804I07918
ECL FINANCE LIMITED INE804I07751
ECL FINANCE LIMITED INE804I07AU5
ECL FINANCE LIMITED INE804I07LV0
EDELWEISS CAPITAL LIMITED INE532F08505
EDELWEISS CAPITAL LIMITED INE532F08539
EDELWEISS CAPITAL LIMITED INE532F07606
EDELWEISS CAPITAL LIMITED INE532F08810
EID Parry (India) Limited INE126A07079
ELDER PHARMACEUTICALS LTD INE975A07046
ELECTROSTEEL CASTINGS LIMITED INE086A08016
ELECTROSTEEL CASTINGS LIMITED INE086A08024
ELECTROSTEEL CASTINGS LIMITED INE086A08032
ELECTROSTEEL CASTINGS LIMITED INE086A08040
ELECTROSTEEL CASTINGS LIMITED INE086A08222
EMAAR MGF LAND LIMITED INE451H07159
EMAAR MGF LAND LIMITED INE451H07167
EMAAR MGF LAND LIMITED INE451H07126
EMAMI REALTY LIMITED INE716J08019
ERA HOUSING & DEVELOPERS (INDIA) LIMITED INE560L07019
ERA HOUSING & DEVELOPERS (INDIA) LIMITED INE560L07035
ERA INFRA ENGINEERING LIMITED INE039E07126
ERA INFRA ENGINEERING LIMITED INE039E07167
ERA INFRA ENGINEERING LIMITED INE039E07076
ERA INFRA ENGINEERING LIMITED INE039E07134
ERA INFRA ENGINEERING LIMITED INE039E07175
ESSAR OIL LTD. INE011A07024
ESSAR OIL LIMITED INE011A07040
ESSAR OIL LIMITED INE011A07032
ESSAR RETAIL HOLDINGS LIMITED INE214L07013
ESSEL PROPACK LIMITED INE255A07175
FCL TECHNOLOGIES AND PRODUCTS LTD INE145B07010
FENNER (INDIA) LIMITED INE023E07054
FIRST BLUE HOME FINANCE LIMITED INE564G07540
FLEXITUFF INTERNATIONAL LIMITED INE060J08012
FORD CREDIT KOTAK MAHINDRA LIMITED INE983D07119
FORD CREDIT KOTAK MAHINDRA LIMITED INE983D07127
FORD CREDIT KOTAK MAHINDRA LIMITED INE983D08646
FORD CREDIT KOTAK MAHINDRA LIMITED INE983D08687
FORD CREDIT KOTAK MAHINDRA LIMITED INE983D08695
FORD CREDIT KOTAK MAHINDRA LIMITED INE983D08703
FORD CREDIT KOTAK MAHINDRA LIMITED INE983D08711
FORNAX REAL ESTATE LIMITED INE211M08015
FORNAX REAL ESTATE LIMITED INE211M08023
FRANCOLIN INFRASTRUCTURE PRIVATE LIMITED INE537O08027
FULLERTON INDIA CREDIT COMPANY LTD INE535H07035
FULLERTON INDIA CREDIT COMPANY LTD INE535H08314
FULLERTON INDIA CREDIT COMPANY LTD INE535H08322
FULLERTON INDIA CREDIT COMPANY LTD INE535H08389
GALLERIA DEVELOPERS PRIVATE LIMITED INE999M09021
GALLERIA DEVELOPERS PRIVATE LIMITED INE999M09013
GAYATRI PROJECTS LIMITED INE336H07020
GE CAPITAL SERVICES INDIA INE587B07DP5
GE CAPITAL SERVICES INDIA INE587B07DN0
GLOBAL TRADE FINANCE LIMITED INE912E08791
GLOBAL TRADE FINANCE LIMITED INE912E08817
GODAVARI MARATHWADA IRRIGATION DEVELOPMENT CORPORATION INE671E07035
GODAVARI MARATHWADA IRRIGATION DEVELOPMENT CORPORATION INE671E07068
GODAVARI MARATHWADA IRRIGATION DEVELOPMENT CORPORATION INE671E07043
GODAVARI MARATHWADA IRRIGATION DEVELOPMENT CORPORATION INE671E08090
GODAVARI MARATHWADA IRRIGATION DEVELOPMENT CORPORATION INE671E07118
GODAVARI MARATHWADA IRRIGATION DEVELOPMENT CORPORATION INE671E07084
GRAMEEN FINANCIAL SERVICES PVT LTD INE741K07025
GRID CORPORATION OF ORISSA LTD. INE610F09051
GRID CORPORATION OF ORISSA LTD. INE610F09036
GTL LIMITED INE043A08017
GTL LIMITED INE043A08041
GTL LIMITED INE043A08025
GTL LIMITED INE043A08058
Gujarat State Energy Generation Ltd. INE936E07016
GUJARAT ELECTRICITY BOARD INE661E08075
GUJARAT ELECTRICITY BOARD INE661E08109
GUJARAT ELECTRICITY BOARD INE661E08166
GUJARAT ELECTRICITY BOARD INE661E08174
GUJARAT NRE COKE LIMITED INE110D07077
GUJARAT NRE COKE LIMITED INE110D07085
GUJARAT NRE MINERAL RESOURCES LIMITED INE566H08012
GUJARAT STATE FINANCIAL CORPORATION INE944A09022
GUJARAT STATE FINANCIAL CORPORATION INE944A09246
GUJARAT STATE ROAD TRANSPORT CORPORATION INE609F07016
GUJARAT STATE ROAD TRANSPORT CORPORATION INE609F09020
GVK ENERGY LIMITED INE233L08011
H.P. INFRASTRUCTURE DEVELOPMENT BOARD INE983F09144
HALDIA PETROCHEMICALS LIMITED INE236F07059
HARRISONS MALAYALAM FINANCIAL SERVICES LTD INE795F07013
HARSIL PROJECTS PRIVATE LIMITED INE037L07018
HARSIL PROJECTS PRIVATE LIMITED INE037L07026
HARYANA FINANCIAL CORPORATION INE737G08060
HARYANA FINANCIAL CORPORATION INE737G08078
HARYANA FINANCIAL CORPORATION INE737G08243
HARYANA FINANCIAL CORPORATION INE737G08086
HARYANA FINANCIAL CORPORATION INE737G08094
HARYANA FINANCIAL CORPORATION INE737G08102
HARYANA FINANCIAL CORPORATION INE737G08276
HARYANA FINANCIAL CORPORATION INE737G08250
HARYANA FINANCIAL CORPORATION INE737G08284
HARYANA FINANCIAL CORPORATION INE737G08292
HARYANA FINANCIAL CORPORATION INE737G08300
HARYANA FINANCIAL CORPORATION INE737G08318
HARYANA FINANCIAL CORPORATION INE737G08110
HARYANA FINANCIAL CORPORATION INE737G08334
HARYANA FINANCIAL CORPORATION INE737G08326
HERO CORPORATE SERVICES LIMITED INE656E08026
HIMACHAL PRADESH FINANCIAL CORPORATION INE862G09049
HIMACHAL PRADESH ROAD & OTHER INFRASTRUCTURE DEVELOPMENT
CORPORATION LTD.
INE710F09034
HINDSUTAN ORGANIC CHEMICALS LIMITED INE048A09014
HINDSUTAN ORGANIC CHEMICALS LIMITED INE048A09030
HINDUSTAN LEVER LIMITED INE030A07016
HOTEL LEELAVENTURE LIMITED INE102A07013
HOUSING & URBAN DEVELOPMENT CORPORATION LTD. INE031A09CH1
HOUSING & URBAN DEVELOPMENT CORPORATION LTD. INE031A09DZ1
HOUSING DEVELOPMENT FINANCE CORPORATION LIMITED INE001A07JM3
HOUSING DEVELOPMENT FINANCE CORPORATION LIMITED INE001A07JO9
HUDCO INE031A08301
HUDCO INE031A09DG1
HYTONE TEXSTYLES LIMITED INE926D07019
IAG LOAN TRUST INE069L15014
ICICI BANK LIMITED INE005A08M20
ICICI BANK LIMITED INE005A11BS0
ICICI BANK LIMITED INE005A08Q00
ICICI BANK LIMITED INE005A08M38
ICICI BANK LIMITED INE005A11BT8
ICICI BANK LIMITED INE090A08LH0
ICICI BANK LIMITED INE005A08Q18
ICICI BANK LIMITED INE005A11BV4
ICICI BANK LIMITED INE090A08HW7
ICICI BANK LIMITED INE005A08M46
ICICI BANK LIMITED INE090A08EF9
ICICI BANK LIMITED INE090A08EG7
ICICI BANK LIMITED INE090A11053
ICICI BANK LIMITED INE090A08EA0
ICICI BANK LIMITED INE090A08EB8
ICICI BANK LIMITED INE090A11020
ICICI BANK LIMITED INE090A08CZ1
ICICI BANK LIMITED INE090A08DA2
ICICI BANK LIMITED INE090A08DB0
ICICI BANK LIMITED INE090A08OM4
ICICI BANK LIMITED INE090A08FP5
ICICI BANK LIMITED INE090A08HH8
ICICI BANK LIMITED INE090A08158
ICICI BANK LIMITED INE090A08NU9
ICICI BANK LIMITED INE090A08DC8
ICICI BANK LIMITED INE090A08MR7
ICICI BANK LIMITED INE090A08MS5
ICICI BANK LIMITED INE090A11012
ICICI BANK LIMITED INE090A08EO1
ICICI BANK LIMITED (Erstwhile ICICI Ltd.) INE005A08JH2
ICICI BANK LIMITED (Erstwhile ICICI Ltd.) INE005A11BG5
ICICI BANK LIMITED (Erstwhile ICICI Ltd.) INE005A08LI6
ICICI BANK LIMITED (Erstwhile ICICI Ltd.) INE005A08JI0
ICICI BANK LIMITED (Erstwhile ICICI Ltd.) INE005A11BH3
ICICI BANK LIMITED (Erstwhile ICICI Ltd.) INE005A08JP5
ICICI BANK LIMITED (Erstwhile ICICI Ltd.) INE005A11BI1
ICICI BANK LIMITED
(Erstwhile ICICI LIMITED)
INE005A08G77
ICICI BANK LIMITED
(Erstwhile ICICI LIMITED)
INE005A11BN1
ICICI BANK LIMITED
(Erstwhile ICICI LIMITED)
INE005A11BP6
ICICI BANK LIMITED
(Erstwhile ICICI LIMITED)
INE005A08G85
ICICI BANK LIMITED
(Erstwhile ICICI LIMITED)
INE005A11BO9
ICICI BANK LIMITED
(Erstwhile ICICI Ltd.)
INE005A081J8
ICICI BANK LIMITED
(Erstwhile ICICI Ltd.)
INE005A085S0
ICICI BANK LIMITED
(Erstwhile ICICI Ltd.)
INE005A089V6
ICICI BANK LIMITED
(Erstwhile ICICI Ltd.)
INE005A11BY8
ICICI BANK LIMITED
(Erstwhile ICICI Ltd.)
INE005A11BW2
ICICI BANK LIMITED
(Erstwhile ICICI Ltd.)
INE005A086S8
ICICI BANK LIMITED
(Erstwhile ICICI Ltd.)
INE005A081W1
ICICI BANK LIMITED
(Erstwhile ICICI Ltd.)
INE005A11BZ5
ICICI BANK LIMITED
(Erstwhile ICICI Ltd.)
INE005A11BX0
ICICI BANK LIMITED
(Erstwhile ICICI Ltd.)
INE005A083J4
ICICI BANK LIMITED
(Erstwhile ICICI Ltd.)
INE005A081Y7
ICICI BANK LIMITED
(Erstwhile ICICI Ltd.)
INE005A080V5
ICICI BANK LIMITED
[Erstwhile ICICI Ltd.]
INE090A08976
ICICI BANK LIMITED
[Erstwhile ICICI Ltd.]
INE005A08VT2
ICICI BANK LIMITED
[Erstwhile ICICI Ltd.]
INE005A08J25
ICICI LIMITED INE005A08CO3
ICICI LIMITED INE005A08CV8
ICICI LIMITED INE005A08EQ4
ICICI LIMITED INE005A09519
ICICI LIMITED INE005A08FT5
ICICI LIMITED INE005A08JF6
ICICI LIMITED INE005A11AJ1
ICICI LIMITED INE005A11AV6
ICICI LIMITED INE005A11BB6
ICICI LIMITED INE005A11AD4
ICICI LIMITED INE005A08JM2
ICICI LIMITED INE005A11986
ICICI LIMITED INE005A08JG4
ICICI LIMITED INE005A09907
ICICI LIMITED INE005A11AK9
ICICI LIMITED INE005A11AQ6
ICICI LIMITED INE005A11AW4
ICICI LIMITED INE005A11BC4
ICICI LIMITED INE005A11AE2
ICICI LIMITED INE005A08ET8
ICICI LIMITED INE005A11AA0
ICICI LIMITED INE005A08FW9
ICICI LIMITED INE005A08JL4
ICICI LIMITED INE005A11AS2
ICICI LIMITED INE005A11BD2
ICICI Limited INE005A08651
ICICI Limited INE005A08214
ICICI Limited INE005A11093
ICICI Limited INE005A08099
ICICI Limited INE005A08164
ICICI Limited INE005A08552
ICICI Limited INE005A08537
ICICI Limited INE005A08941
ICICI Limited INE005A11036
ICICI Limited INE005A08BG1
ICICI Limited INE005A08BP2
ICICI Limited INE005A11705
ICICI Limited INE005A11754
ICICI Limited INE005A11804
ICICI Limited INE005A08149
ICICI Limited INE005A08172
ICICI Limited INE005A08974
ICICI Limited INE005A08644
ICICI Limited INE005A08BS6
ICICI Limited INE005A11721
ICICI Limited INE005A11333
ICICI Limited INE005A11374
ICICI Limited INE005A11069
ICICI Limited INE005A08AT6
ICICI Limited INE005A08BE6
ICICI Limited INE005A11028
ICICI Limited INE005A11739
ICICI Limited INE005A11861
IDBI INE008A08879
IDBI INE008A08754
IDBI INE008A08812
IDBI INE008A08861
IDBI BANK LIMITED INE008A08T38
IDBI BANK LIMITED INE008A08R06
IFCI Limited INE039A07728
IFCI Limited INE039A07603
IFCI Limited INE039A07629
IFCI LIMITED INE039A09KO3
IFCI LIMITED INE039A09DH2
IFCI LIMITED INE039A09KQ8
INDIA INFOLINE HOUSING FINANCE LIMITED INE477L07040
INDIA INFOLINE INVESTMENT SERVICES LTD INE866I07198
INDIA INFOLINE INVESTMENT SERVICES LTD INE866I07057
INDIA INFRASTRUCTURE DEVELOPERS LIMITED INE759E07020
INDIA INFRASTRUCTURE FINANCE COMPANY LIMITED INE787H09038
INDIA INFRASTRUCTURE FINANCE COMPANY LIMITED INE787H09046
INDIA PISTONS LIMITED INE577E07018
INDIA PISTONS LIMITED INE577E07026
INDIA STRUCTURED ASSET TRUST SERIES-XII INE795K15081
INDIA STRUCTURED ASSET TRUST SERIES-XII INE795K15099
INDIABULLS ESTATE LIMITED INE434P08016
INDIABULLS ESTATE LIMITED INE434P08024
INDIABULLS HOUSING FINANCE LIMITED INE148I07084
INDIABULLS HOUSING FINANCE LIMITED INE148I07175
INDIABULLS PROPERTIES PRIVATE LIMITED INE066I08011
INDIABULLS PROPERTIES PRIVATE LIMITED INE066I08029
INDIABULLS PROPERTIES PRIVATE LIMITED INE066I08037
INDIABULLS REAL ESTATE COMPANY PRIVATE LIMITED INE065I08013
INDIABULLS REAL ESTATE COMPANY PRIVATE LIMITED INE065I08021
INDIABULLS REAL ESTATE COMPANY PRIVATE LIMITED INE065I08039
INDIABULLS REAL ESTATE COMPANY PRIVATE LIMITED INE065I08047
INDIABULLS REAL ESTATE LIMITED INE069I07033
INDIABULLS REAL ESTATE LIMITED INE069I07041
INDIAN ALUMINIUM COMPANY LIMITED INE249A07012
INDIAN ALUMINIUM COMPANY LIMITED INE249A07053
INDIAN RAILWAY FINANCE CORPORATION LIMITED INE053F09740
INDIAN RAILWAY FINANCE CORPORATION LIMITED INE053F07421
INDIAN RAILWAY FINANCE CORPORATION LIMITED INE053F09CN2
INDIAN RAILWAY FINANCE CORPORATION LIMITED INE053F09DA7
INDIAN RAILWAY FINANCE CORPORATION LIMITED INE053F09CO0
INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED INE202E09183
INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED INE202E07013
INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED INE202E07021
INDO COUNT INDUSTRIES LIMITED INE483B07015
IND-SWIFT LABORATORIES LIMITED INE915B07016
INDUSIND BANK LIMITED INE095A09049
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09273
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09125
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09141
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09158
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09166
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09174
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09190
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09208
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09182
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09232
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09240
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09257
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08DK3
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08CJ7
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08CT6
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08CP4
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08LA7
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08LB5
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08XD6
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08BT8
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08BV4
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08BW2
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08BY8
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08CA6
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08VR0
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08CZ3
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08XE4
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08SC8
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08VN9
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08LG4
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08CE8
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08SB0
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08WG1
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08YJ1
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08CL3
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09059
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08FW3
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08ZT7
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08EB0
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08WL1
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08WU2
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09539
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08BD2
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08VA6
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08UM3
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08MD9
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09687
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09794
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08SJ3
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08TD4
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08TE2
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08BZ5
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08OG8
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09604
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08ZN0
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08XK1
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08XJ3
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08DL1
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08RJ5
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08RL1
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08HD9
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08YL7
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08UI1
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09AO9
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09067
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08AP8
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09AD2
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08FX1
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08GH2
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08UK7
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08XX4
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08GC3
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09AQ4
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08WM9
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09463
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09349
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09596
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08NU1
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09695
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08XC8
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09711
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08BU6
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09802
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08LJ8
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08PJ9
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08XR6
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08WR8
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08OI4
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09BH1
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08OO2
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08RM9
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09828
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08HJ6
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08AJ1
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09AR2
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09018
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08AK9
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08AT0
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08GI0
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08VT6
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08WT4
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08TU8
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08GD1
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08WS6
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09943
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09372
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08ML2
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INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08LQ3
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09620
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09BJ7
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09BK5
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09737
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08PK7
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09513
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08PS0
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09448
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09AK7
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08YR4
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08ZP5
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08XY2
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08VS8
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A09BG3
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08AC6
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08AF9
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08ZH2
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08AM5
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08AN3
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08B53
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08GE9
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08MM0
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08LR1
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08PL5
INDUSTRIAL DEVELOPMENT BANK OF INDIA INE008A08HH0
Industrial Development Bank Of India INE008A08184
Industrial Development Bank Of India INE008A08192
Industrial Development Bank Of India (IDBI) INE008A08465
Industrial Development Bank Of India (IDBI) INE008A08598
Industrial Development Bank Of India (IDBI) INE008A08556
Industrial Development Bank Of India (IDBI) INE008A08606
Industrial Development Bank Of India (IDBI) INE008A08218
Industrial Development Bank Of India (IDBI) INE008A08515
Industrial Development Bank Of India (IDBI) INE008A08564
Industrial Development Bank Of India (IDBI) INE008A08275
Industrial Development Bank Of India (IDBI) INE008A11048
Industrial Development Bank Of India (IDBI) INE008A11055
Industrial Development Bank Of India (IDBI) INE008A08267
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08E01
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08D10
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08E19
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08H57
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08ZE9
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08K03
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08ZD1
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08H65
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08A39
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08D36
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08G09
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08F83
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08P24
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08A21
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08L44
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08N26
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08D77
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08G17
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08O25
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08E50
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08F34
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08P16
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08C45
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08F75
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED INE008A08L77
INDUSTRIAL INVESTMENT BANK OF INDIA INE237F08DQ4
INDUSTRIAL INVESTMENT BANK OF INDIA INE237F08DX0
INDUSTRIAL INVESTMENT BANK OF INDIA INE237F08DK7
INDUSTRIAL INVESTMENT BANK OF INDIA INE237F08DM3
INDUSTRIAL INVESTMENT BANK OF INDIA INE237F08DG5
INDUSTRIAL INVESTMENT BANK OF INDIA INE237F08EC2
INDUSTRIAL INVESTMENT BANK OF INDIA INE237F08DH3
INDUSTRIAL INVESTMENT BANK OF INDIA INE237F08DT8
INDUSTRIAL INVESTMENT BANK OF INDIA INE237F08DV4
Industrial Investment Bank of India Limited INE237F08642
Industrial Investment Bank of India Limited INE237F08CC6
Industrial Investment Bank of India Limited INE237F08295
INDUSTRIAL INVESTMENT BANK OF INDIA LIMITED INE237F08105
Industrial Investment Bank of India Limited INE237F08261
Industrial Investment Bank of India Limited INE237F08469
Industrial Investment Bank of India Limited INE237F08BA2
Industrial Investment Bank of India Limited INE237F08188
Industrial Investment Bank of India Limited INE237F08196
Industrial Investment Bank of India Limited INE237F08568
Industrial Investment Bank of India Limited INE237F08CL7
INDUSTRIAL INVESTMENT BANK OF INDIA LIMITED INE237F08055
Industrial Investment Bank of India Limited INE237F08BB0
Industrial Investment Bank of India Limited INE237F08675
Industrial Investment Bank of India Limited INE237F08AV0
Industrial Investment Bank of India Limited INE237F08998
Industrial Investment Bank of India Limited INE237F08CG7
INDUSTRIAL INVESTMENT BANK OF INDIA LIMITED INE237F08FK2
Industrial Investment Bank of India Limited INE237F08CH5
INDUSTRIAL INVESTMENT BANK OF INDIA LIMITED INE237F08FT3
Industrial Investment Bank of India Limited INE237F08BV8
Industrial Investment Bank of India Limited INE237F08AZ1
Industrial Investment Bank of India Limited INE237F08CK9
Industrial Investment Bank of India Limited INE237F08BQ8
Industrial Investment Bank of India Limited INE237F08CR4
INDUSTRIAL INVESTMENT BANK OF INDIA LIMITED INE237F08ES8
INDUSTRIAL INVESTMENT BANK OF INDIA LIMITED INE237F08FO4
INDUSTRIAL INVESTMENT BANK OF INDIA LIMITED INE237F08FU1
Industrial Investment Bank of India Limited INE237F08618
Industrial Investment Bank of India Limited INE237F08AP2
Industrial Investment Bank of India Limited INE237F08BX4
Industrial Investment Bank of India Limited INE237F08360
INDUSTRIAL INVESTMENT BANK OF INDIA LIMITED INE237F08014
Industrial Investment Bank of India Limited INE237F08337
INDUSTRIAL INVESTMENT BANK OF INDIA LIMITED INE237F08EJ7
INDUSTRIAL INVESTMENT BANK OF INDIA LIMITED INE237F08FQ9
INDUSTRIAL INVESTMENT BANK OF INDIA LIMITED INE237F08DE0
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INE871D07FQ2
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INE871D07DU9
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED INE871D07FR0
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD INE871D07HC8
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD INE871D07HU0
INSTANT TRADING & INVESTMENT COMPANY LTD. INE641F07019
INTERNATIONAL BIOTECH PARK LIMITED INE626G07018
IOC LTD INE242A07108
ITI LIMITED INE248A07055
IVRCL INFRASTRUCTURE & PROJECTS LIMITED INE875A07014
J.K. PHARMACHEM LIMITED INE335C07015
J.K. PHARMACHEM LIMITED INE335C07023
J.K. PHARMACHEM LIMITED INE335C07031
J.K. PHARMACHEM LIMITED INE335C11017
J.M.FINANCIAL & INVESTMENT CONSULTANCY SERVICES PVT. LTD INE522H08098
J.M.FINANCIAL & INVESTMENT CONSULTANCY SERVICES PVT. LTD INE522H08221
J.M.FINANCIAL & INVESTMENT CONSULTANCY SERVICES PVT. LTD INE522H08239
JAIPRAKASH ASSOCIATES LIMITED INE455F07352
JAIPRAKASH ASSOCIATES LIMITED INE455F07501
JANALAKSHMI FINANCIAL SERVICES PRIVATE LIMITED INE953L07024
JAY SHREE TEA & INDUSTRIES LIMITED INE364A08637
JAY SHREE TEA & INDUSTRIES LIMITED INE364A08744
JAY SHREE TEA & INDUSTRIES LIMITED INE364A08751
JAY SHREE TEA & INDUSTRIES LIMITED INE364A08769
JAY SHREE TEA & INDUSTRIES LIMITED INE364A08793
JAY SHREE TEA & INDUSTRIES LIMITED INE364A08819
JAYNEER CAPITAL PRIVATE LIMITED INE056K07010
JAYPEE CEMENT LTD. INE455F07014
JIK INDUSTRIES LIMITED INE026B08044
JIK INDUSTRIES LIMITED INE026B08077
JIK INDUSTRIES LIMITED INE026B08028
JIK INDUSTRIES LIMITED INE026B08051
JIK INDUSTRIES LIMITED INE026B08085
JIK INDUSTRIES LIMITED INE026B08101
JIK INDUSTRIES LIMITED INE026B08036
JIK INDUSTRIES LIMITED INE026B08069
JIK INDUSTRIES LIMITED INE026B08093
JIK INDUSTRIES LIMITED INE026B08119
JINDAL STAINLESS LIMITED INE220G07010
JM FINANCIAL PRODUCTS PRIVATE LTD INE523H08IA6
JM FINANCIAL PRODUCTS PRIVATE LTD INE523H08IB4
JSW ENERGY L(FORMERLY JINDAL THERMAL POWER C L EAR JINDAL
TRACTEBEL POWER C
INE121E07148
JSW STEEL LIMITED(FORMERLY JINDAL VIJAYANAGAR STEEL LIMITED) INE019A07118
JSW STEEL LIMITED(FORMERLY JINDAL VIJAYANAGAR STEEL LIMITED) INE019A07050
JSW STEEL LIMITED(FORMERLY JINDAL VIJAYANAGAR STEEL LIMITED) INE019A07068
JSW STEEL LIMITED(FORMERLY JINDAL VIJAYANAGAR STEEL LIMITED) INE019A07076
JSW STEEL LIMITED(FORMERLY JINDAL VIJAYANAGAR STEEL LIMITED) INE019A07092
JUVENTUS ESTATE LIMITED INE413P08010
JYOTI STRUCTURES LIMITED INE197A07021
K SERA SERA PRODUCTIONS LIMITED (FORMERLY GARNET PAPER MILLS
LTD)
INE216D08013
KARNATAKA NEERAVARI NIGAM LIMITED INE262F08012
KARNATAKA RENEWABLE ENERGY DEVELOPMENT LIMITED INE580F07019
KARVY FINANCIAL SERVICES LIMITED INE308L07039
KARVY FINANCIAL SERVICES LIMITED INE308L07062
KARVY FINANCIAL SERVICES LIMITED INE308L07336
KARVY FINANCIAL SERVICES LIMITED INE308L07054
KARVY FINANCIAL SERVICES LIMITED INE308L07104
KARVY FINANCIAL SERVICES LIMITED INE308L07088
KERALA FINANCIAL CORPORATION INE818F09019
KERALA FINANCIAL CORPORATION INE818F09027
KERALA INFRASTRUCTURE INVESTMENT FUND BOARD INE658F09035
KERALA POWER FINANCE CORPORATION LIMIED INE927F09026
KERALA STATE ELECTRICITY BOARD INE533G09111
KESAR MARBLE & GRANITE LIMITED INE388I08019
KINETIC FINANCE LTD INE139C07011
KINETIC FINANCE LTD INE139C07029
KINETIC FINANCE LTD INE139C07037
KINETIC FINANCE LTD INE139C08019
KINETIC FINANCE LTD INE139C07060
KONKAN IRRIGATION DEVELOPMENT CORPORATION INE766F07048
KONKAN IRRIGATION DEVELOPMENT CORPORATION INE766F07055
KONKAN RAILWAY CORPORATION LIMITED INE139F09044
KONKAN RAILWAY CORPORATION LIMITED INE139F09184
KONKAN RAILWAY CORPORATION LIMITED INE139F09481
KOTAK MAHINDRA INVESTMENTS LIMITED INE975F07AO2
KOTAK MAHINDRA INVESTMENTS LIMITED INE975F07AQ7
KOTAK MAHINDRA PRIME LIMITED INE916D075F3
KOTAK MAHINDRA PRIME LIMITED INE916DA7071
KOTAK MAHINDRA PRIME LIMITED (FORMERLY KOTAK MAHINDRA PRIMUS
LIMITED)
INE916D07PE0
KOTAK MAHINDRA PRIME LIMITED (FORMERLY KOTAK MAHINDRA PRIMUS
LIMITED)
INE916D077C6
KOTAK MAHINDRA PRIME LIMITED (FORMERLY KOTAK MAHINDRA PRIMUS
LIMITED)
INE916D074X9
KOTAK MAHINDRA PRIME LIMITED (FORMERLY KOTAK MAHINDRA PRIMUS
LIMITED)
INE916D079N9
KOTAK SECURITIES LTD INE028E08879
KOTAK SECURITIES LTD INE028E08BM3
KOUTONS RETAIL INDIA LIMITED (FORMERLY KOUTONS RETAIL PVT LTD) INE406I07011
KOUTONS RETAIL INDIA LIMITED (FORMERLY KOUTONS RETAIL PVT LTD) INE406I07029
KPL INTERNATIONAL LIMITED INE174B08018
KRISHNA BHAGYA JALA NIGAM LIMITED INE990D07262
KRISHNA BHAGYA JALA NIGAM LTD. INE990D07072
KRISHNA BHAGYA JALA NIGAM LTD. INE990D07163
KRISHNA KNITWEAR TECHNOLOGY LTD. INE206E08020
KRISHNA LIFESTYLE TECHNOLOGIES LTD. INE218A07025
KRISHNA LIFESTYLE TECHNOLOGIES LTD. INE218A07033
KRISHNA LIFESTYLE TECHNOLOGIES LTD. INE218A07041
KRISHNA LIFESTYLE TECHNOLOGIES LTD. INE218A07017
KUMAR URBAN DEVELOPMENT LIMITED (KUMAR HOUSING & LAND
DEVELOPMENT LIMITED)
INE907I07034
L & T FINANCE LIMITED INE523E08EU0
L & T FINANCE LIMITED INE523E08EX4
L & T FINANCE LIMITED INE523E08GE9
L & T FINANCE LIMITED INE523E08GG4
L & T FINANCE LIMITED INE523E08GL4
L & T FINANCE LIMITED INE523E08IF2
L & T FINANCE LIMITED INE523E08IG0
L & T FINANCE LIMITED INE523E08IH8
L & T FINANCE LIMITED INE523E08JA1
L & T FINANCE LIMITED INE523E08JB9
L & T FINANCE LIMITED INE523E08JC7
L & T FINANCE LIMITED INE523E08JD5
L & T FINANCE LIMITED INE523E08JE3
L & T FINANCE LIMITED INE523E08JH6
L & T FINANCE LIMITED INE523E08JK0
L & T FINANCE LIMITED INE523E08JL8
L & T FINANCE LIMITED INE523E08JJ2
L & T FINANCE LIMITED INE523E08JM6
L & T FINANCE LIMITED INE523E08JZ8
L & T FINANCE LIMITED INE523E08KC5
L & T FINANCE LIMITED INE523E08KF8
L & T FINANCE LIMITED INE523E08KL6
L & T FINANCE LIMITED INE523E08KV5
L & T FINANCE LIMITED INE523E08KX1
L & T FINANCE LIMITED INE523E08KG6
L & T FINANCE LIMITED INE523E08LB5
L & T FINANCE LIMITED INE523E08LC3
L & T FINANCE LIMITED INE523E08LD1
L & T FINANCE LIMITED INE523E08LE9
L & T FINANCE LIMITED INE523E08LF6
L & T FINANCE LIMITED INE523E08LL4
L & T FINANCE LIMITED INE523E08LT7
L & T FINANCE LIMITED INE523E08LW1
L & T FINANCE LIMITED INE523E08LY7
L & T FINANCE LIMITED INE523E08MN8
L & T FINANCE LIMITED INE523E08MU3
L & T FINANCE LIMITED INE523E08MW9
L & T FINANCE LIMITED INE523E07475
L & T FINANCE LIMITED INE523E07483
L & T FINANCE LIMITED INE523E07541
L & T FINANCE LIMITED INE523E07509
L & T INFRASTRUCTURE DEVELOPMENT PROJECTS LIMITED INE981F07027
L & T PANIPAT ELEVATED CORRIDOR LIMITED INE558N07019
L.G.BALAKRISHNAN & BROTHERS LIMITED INE337A07015
LAFARGE INDIA LTD INE118D07013
LAFARGE INDIA LTD. INE118D07096
LAVASA CORPORATION LIMITED INE172G07013
LAVASA CORPORATION LIMITED INE172G07138
LEASEPLAN INDIA LTD. INE090F08215
LEASEPLAN INDIA LTD. INE090F08231
LEASEPLAN INDIA LTD. INE090F08249
LEASEPLAN INDIA LTD. INE090F08207
LIC HOUSING FINANCE LIMITED INE115A07CK0
LILY REALTY PRIVATE LIMITED INE742L07013
LILY REALTY PRIVATE LIMITED INE742L07021
LILY REALTY PRIVATE LIMITED INE742L07039
LORD KRISHNA BANK LTD. INE624F09011
MACQUARIE FINANCE (INDIA) PRIVATE LIMITED INE796L07076
MAGMA FINCORP LTD. (FORMERLY MAGMA SHRACHI FINANCE LTD) INE511C08290
MAHARASHTRA JEEVAN PRADHIKARAN INE010E07200
MAHARASHTRA KRISHNA VALLEY DEVELOPMENT CORPORATION INE343E08021
MAHARASHTRA KRISHNA VALLEY DEVELOPMENT CORPORATION INE343E08013
MAHARASHTRA KRISHNA VALLEY DEVELOPMENT CORPORATION INE343E07056
MAHARASHTRA KRISHNA VALLEY DEVELOPMENT CORPORATION INE343E07155
MAHARASHTRA KRISHNA VALLEY DEVELOPMENT CORPORATION INE343E07098
MAHARASHTRA KRISHNA VALLEY DEVELOPMENT CORPORATION INE343E07122
MAHARASHTRA KRISHNA VALLEY DEVELOPMENT CORPORATION INE343E07130
MAHARASHTRA KRISHNA VALLEY DEVELOPMENT CORPORATION INE343E07197
MAHARASHTRA STATE ELECTRICITY BOARD INE342E08544
MAHARASHTRA STATE ELECTRICITY BOARD INE342E07041
MAHARASHTRA STATE ELECTRICITY BOARD INE342E07223
MAHARASHTRA STATE ELECTRICITY BOARD INE342E08064
MAHARASHTRA STATE FINANCIAL CORPORATION INE934E09272
MAHARASHTRA STATE FINANCIAL CORPORATION INE934E09306
MAHARASHTRA STATE FINANCIAL CORPORATION INE934E09017
MAHARASHTRA STATE FINANCIAL CORPORATION INE934E09025
MAHARASHTRA STATE POLICE HOUSING & WELFARE CORPORATION
LIMITED
INE261H07012
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION INE341E07035
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION INE341E07043
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION INE341E07191
MAHARASHTRA STATE ROAD DEVELOPMENT CORPORATION LIMITED INE341E07316
MAHARASHTRA WATER CONSERVATION CORPORATION INE872F07051
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED INE774D07JN7
MAHINDRA & MAHINDRA FINANCIAL SERVICES LIMITED INE774D07HO9
MALANA POWER COMPANY LTD. INE356E07025
MANAKSIA LIMITED (FORMERLY HINDUSTHAN SEALS LIMITED) INE015D08BX9
MANAPPURAM FINANCE LIMITED INE522D07297
MANAPPURAM FINANCE LIMITED INE522D07321
MANAPPURAM FINANCE LIMITED INE522D07511
MANAPPURAM FINANCE LIMITED INE522D07503
MANAPPURAM GENERAL FINANCE & LEASING LIMITED INE522D07032
MANAPPURAM GENERAL FINANCE & LEASING LIMITED INE522D07156
MANAPPURAM GENERAL FINANCE & LEASING LIMITED INE522D07180
MANAPPURAM GENERAL FINANCE & LEASING LIMITED INE522D07222
MARCK BIOSCIENCES LIMITED INE084K08010
MARVEL DWELLINGS PRIVATE LIMITED INE589O07012
MOREPEN LABORATORIES LTD. INE083A08013
MOREPEN LABORATORIES LTD. INE083A07015
MOREPEN LABORATORIES LTD. INE083A08039
MOREPEN LABORATORIES LTD. INE083A07023
MORGAN STANLEY INDIA CAPITAL PRIVATE LIMITED INE175K07422
MURUGAPPA HOLDINGS LIMITED INE187C08018
MUTHOOT FINANCE LIMITED INE414G07068
MUTHOOT FINANCE LIMITED INE414G07209
MUTHOOT FINANCE LIMITED INE414G07118
MUTHOOT FINANCE LIMITED INE414G07167
MUTHOOT FINCORP LIMITED INE549K08020
NAGARJUNA CONSTRUCTION COMPANY LIMITED INE868B07017
NANDI ECONOMIC CORRIDOR ENTERPRISES LIMITED INE675F07025
NASHIK MUNICIPAL CORPORATION INE579F07011
National Aluminium Company Limited INE139A07015
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT INE261F09400
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT INE261F09483
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT INE261F09CO9
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT INE261F09AA2
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT INE261F09AB0
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT INE261F09AJ3
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT INE261F09AK1
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT INE261F09AO3
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT INE261F09AP0
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT INE261F09AV8
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT INE261F09BB8
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT INE261F09CB6
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT INE261F09CN1
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT INE261F08303
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT INE261F08337
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT INE261F08352
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT INE261F08378
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT INE261F08386
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT INE261F08394
NATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT INE261F09GU7
NATIONAL CAPITAL REGION PLANNING BOARD INE525E08049
NATIONAL CAPITAL REGION PLANNING BOARD INE525E08031
NATIONAL HIGHWAYS AUTHORITY OF INDIA INE906B07981
NATIONAL HIGHWAYS AUTHORITY OF INDIA INE906B07AF4
NATIONAL HIGHWAYS AUTHORITY OF INDIA INE906B07AH0
NATIONAL HIGHWAYS AUTHORITY OF INDIA INE906B07AJ6
NATIONAL HIGHWAYS AUTHORITY OF INDIA INE906B07AK4
NATIONAL HIGHWAYS AUTHORITY OF INDIA INE906B07AL2
NATIONAL HIGHWAYS AUTHORITY OF INDIA INE906B07AM0
NATIONAL HIGHWAYS AUTHORITY OF INDIA INE906B07AN8
NATIONAL HIGHWAYS AUTHORITY OF INDIA INE906B07AO6
NATIONAL HIGHWAYS AUTHORITY OF INDIA INE906B07AP3
NATIONAL HIGHWAYS AUTHORITY OF INDIA INE906B07AQ1
NATIONAL HIGHWAYS AUTHORITY OF INDIA INE906B07AY5
NATIONAL HIGHWAYS AUTHORITY OF INDIA INE906B07BB1
NATIONAL HIGHWAYS AUTHORITY OF INDIA INE906B07BC9
NATIONAL HIGHWAYS AUTHORITY OF INDIA INE906B07BD7
NATIONAL HIGHWAYS AUTHORITY OF INDIA INE906B07BF2
NATIONAL HIGHWAYS AUTHORITY OF INDIA INE906B07BH8
NATIONAL HIGHWAYS AUTHORITY OF INDIA INE906B07BI6
NATIONAL HIGHWAYS AUTHORITY OF INDIA INE906B07BJ4
NATIONAL HIGHWAYS AUTHORITY OF INDIA INE906B07BK2
NATIONAL HIGHWAYS AUTHORITY OF INDIA INE906B07BN6
NATIONAL HIGHWAYS AUTHORITY OF INDIA INE906B07BP1
NATIONAL HOUSING BANK INE557F08494
NATIONAL HOUSING BANK INE557F08817
NATIONAL HOUSING BANK INE557F08924
NATIONAL HOUSING BANK INE557F08965
NATIONAL HOUSING BANK INE557F08981
NATIONAL HOUSING BANK INE557F08999
NATIONAL HOUSING BANK INE557F08106
NATIONAL HOUSING BANK INE557F08205
NATIONAL HOUSING BANK INE557F08114
NATIONAL HOUSING BANK INE557F08213
NATIONAL HOUSING BANK INE557F08BU1
NATIONAL HOUSING BANK INE557F08BV9
NATIONAL HOUSING BANK INE557F08CF0
NATIONAL HOUSING BANK INE557F08320
NATIONAL HOUSING BANK INE557F08403
NATIONAL HOUSING BANK INE557F08CI4
NATIONAL HOUSING BANK INE557F08CJ2
NATIONAL HOUSING BANK INE557F08767
NATIONAL HOUSING BANK INE557F08841
NATIONAL HOUSING BANK INE557F08874
NATIONAL HOUSING BANK INE557F08882
NATIONAL HOUSING BANK INE557F08957
NATIONAL HOUSING BANK INE557F08AA5
NATIONAL HOUSING BANK INE557F08AB3
NATIONAL HOUSING BANK INE557F08AG2
NATIONAL HOUSING BANK INE557F08AH0
NATIONAL HOUSING BANK INE557F08AM0
NATIONAL HOUSING BANK INE557F08AN8
NATIONAL HOUSING BANK INE557F08AQ1
NATIONAL HOUSING BANK INE557F08AR9
NATIONAL HOUSING BANK INE557F08AU3
NATIONAL HOUSING BANK INE557F08AV1
NATIONAL HOUSING BANK INE557F08AY5
NATIONAL HOUSING BANK INE557F08AZ2
NATIONAL HOUSING BANK INE557F08BG0
NATIONAL HOUSING BANK INE557F08BH8
NATIONAL HOUSING BANK INE557F08BK2
NATIONAL HOUSING BANK INE557F08BL0
NATIONAL HOUSING BANK INE557F08BO4
NATIONAL HOUSING BANK INE557F08BP1
NATIONAL HOUSING BANK INE557F08BS5
NATIONAL HOUSING BANK INE557F08BT3
NATIONAL HOUSING BANK INE557F08BW7
NATIONAL HOUSING BANK INE557F08BX5
NATIONAL HOUSING BANK INE557F08CA1
NATIONAL HOUSING BANK INE557F08CB9
NATIONAL HOUSING BANK INE557F08CP9
NATIONAL HOUSING BANK INE557F08DI2
NATIONAL HOUSING BANK INE557F08700
NATIONAL HOUSING BANK INE557F08528
NATIONAL TEXTILE CORPORATION LIMITED INE935E07018
NATIONAL THERMAL POWER CORPORATION LIMITED INE733E08098
NEELACHAL ISPAT NIGAM LIMITED INE514F07059
NEPTUNE DEVELOPERS LIMITED (FORMERLY NEPTUNE DEVELOPERS
PRIVATE LIMITED)
INE053I07011
NETZONE DEVELOPERS PRIVATE LIMITED INE949J08024
NETZONE DEVELOPERS PRIVATE LIMITED INE949J08016
NIIT TECHNOLOGIES LIMITED INE591G07030
NIIT TECHNOLOGIES LIMITED INE591G07048
NOMURA CAPITAL (INDIA) PRIVATE LIMITED INE357L07010
NORTH EASTERN ELECTRIC POWER CORPORATION LTD. INE636F08041
NOVO I TRUST INE562J15012
NOVO I TRUST INE562J15020
NOVO IV TRUST LOCOMOTIVE INE170K15103
NRB BEARINGS LIMITED INE349A07010
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION
LIMITED)
INE733E07538
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION
LIMITED)
INE733E07BD9
NTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION
LIMITED)
INE733E07BR9
Nuclear Power Corporation of India Limited INE206D07024
Nuclear Power Corporation of India Limited INE206D07016
NUCLEAR POWER CORPORATION OF INDIA LTD. INE206D09095
NUCLEAR POWER CORPORATION OF INDIA LTD. INE206D08097
NUNLET PROJECTS PRIVATE LIMITED INE534O08032
ORBIT CORPORATION LIMITED INE628H07020
ORIENTAL BANK OF COMMERCE INE141A09041
PAREKH ALUMINEX LIMITED INE620C07051
PAREKH ALUMINEX LIMITED INE620C07069
PAREKH ALUMINEX LIMITED INE620C07085
PAREKH ALUMINEX LIMITED INE620C07010
PATEL ENGINEERING LIMITED INE244B07086
PATEL ENGINEERING LIMITED INE244B07060
PFS SHIPPING (INDIA) LIMITED INE406L07015
PHILLIPS CARBON BLACK LTD INE602A07012
PIPAVAV SHIPYARD LIMITED (FORMERLY PIPAVAV SHIP DISMANTLING AND
ENG LTD)
INE542F08017
PONNI SUGARS (ORISSA) LTD.Formerly known as Ponni Sugars and
Chemicals Ltd.)
INE096D07011
POWER FINANCE CORPORATION LIMITED INE134E08800
POWER FINANCE CORPORATION LIMITED INE134E08818
POWER FINANCE CORPORATION LIMITED INE134E08842
POWER FINANCE CORPORATION LIMITED INE134E08859
POWER FINANCE CORPORATION LIMITED INE134E08AS8
POWER FINANCE CORPORATION LIMITED INE134E08768
POWER FINANCE CORPORATION LIMITED INE134E08552
PRINCE FOUNDATIONS LIMITED INE963I07029
PUNJ LLOYD LIMITED INE701B07051
PUNJAB STATE INDUSTRIAL DEVELOPMENT CORP. LTD INE973F09020
PURANIK BUILDCON PRIVATE LIMITED INE658J07015
PURANIK BUILDCON PRIVATE LIMITED INE658J07023
PURANIK BUILDCON PRIVATE LIMITED INE658J07031
PURANIK BUILDCON PRIVATE LIMITED INE658J07049
RAJASTHAN FINANCIAL CORPORATION INE103G09014
RAJASTHAN FINANCIAL CORPORATION INE103G09022
RAJASTHAN RAJYA VIDYUT PRASARAN NIGAM LIMITED INE572F09079
RAJASTHAN STATE INDUSTRIAL DEVELOPMENT & INVESTMENT
CORPORATION LTD.
INE561F09015
RAMSARUP INDUSTRIES LTD INE005D08036
RAMSARUP INDUSTRIES LTD INE005D08044
RB LOAN TRUST SERIES VI 2007 INE968I15013
RBS FINANCIAL SERVICES (INDIA) PRIVATE LTD INE521E07AF5
RBS FINANCIAL SERVICES (INDIA) PRIVATE LTD INE521E07BU2
RECEIVABLE SECURITISATION TRUST- SERIES X INE171K15010
RECEIVABLES SECURITISATION TRUST SERIES XV INE709K15017
REI AGRO LIMITED INE385B07053
REI AGRO LIMITED INE385B07020
RELIANCE CAPITAL LIMITED INE013A07OG0
RELIANCE CAPITAL LIMITED INE013A07PG7
RELIANCE CAPITAL LIMITED INE013A07QL5
RELIANCE CAPITAL LIMITED INE013A07SR8
RELIANCE CAPITAL LIMITED INE013A07OH8
RELIANCE CAPITAL LIMITED INE013A07OI6
RELIANCE CAPITAL LIMITED INE013A07UV6
RELIANCE CAPITAL LIMITED INE013A07VA8
RELIANCE CAPITAL LIMITED INE013A07QO9
RELIANCE CAPITAL LIMITED INE013A07VU6
RELIANCE CAPITAL LIMITED INE013A07MW1
RELIANCE CAPITAL LIMITED INE013A07ST4
RELIANCE INFRATEL LTD INE141I07022
RELIANCE TELECOM LTD. INE516C07028
Reliance Utilities and Power Limited INE936D07042
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07395
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07494
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07445
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07460
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07536
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07767
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07544
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07551
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07585
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07973
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07BR7
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07AG2
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07999
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07AI8
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07AF4
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07AO6
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B09342
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07AQ1
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07CR5
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07CS3
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07BS5
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07CT1
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07CV7
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07CW5
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07CX3
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07CY1
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07CF0
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B09151
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07DA9
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07DB7
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07DC5
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07DD3
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B09169
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07DI2
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07CO2
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07DU7
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07DK8
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07DM4
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07DN2
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07BD7
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07DO0
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07DP7
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07BA3
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07DR3
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07EI0
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07ES9
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07EW1
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07EZ4
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07FD8
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07FG1
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07FH9
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07DS1
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07FL1
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07DV5
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07FM9
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07DX1
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07FQ0
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07FS6
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07FT4
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07FU2
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07FV0
RURAL ELECTRIFICATION CORPORATION LIMITED INE020B07EK6
S. KUMARS NATIONWIDE LIMITED (FORMERLY S. KUMARS SYNFABS
LIMITED)
INE772A07013
SADBHAV ENGINEERING LIMITED INE226H07015
SAKTHI SUGARS LTD. INE623A07067
Sandvik Asia Ltd. INE624A08014
SARDAR SAROVAR NARMADA NIGAM LIMITED INE670E07060
SARDAR SAROVAR NARMADA NIGAM LIMITED INE670E07136
SARDAR SAROVAR NARMADA NIGAM LIMITED INE670E07227
SARDAR SAROVAR NARMADA NIGAM LIMITED INE670E07243
SARDAR SAROVAR NARMADA NIGAM LIMITED INE670E07110
SARDAR SAROVAR NARMADA NIGAM LIMITED INE670E07201
SARDAR SAROVAR NARMADA NIGAM LIMITED INE670E07235
SARDAR SAROVAR NARMADA NIGAM LIMITED INE670E07250
SARDAR SAROVAR NARMADA NIGAM LIMITED INE670E07268
SARDAR SAROVAR NARMADA NIGAM LIMITED INE670E07219
SEAJULI PROPERTY & VINIYOG PVT. LTD. INE696F08011
SELENE CONSTRUCTIONS LIMITED INE414P08018
SELENE ESTATE LIMITED INE416P08013
SHAH ALLOYS LIMITED INE640C07018
SHAH ALLOYS LIMITED INE640C07026
SHIV-VANI OIL & GAS EXPLORATION SERVICES LTD INE756B07014
SHREE CEMENT LTD INE070A07012
SHREE CEMENT LTD INE070A07020
SHREE RAMA MULTI-TECH LIMITED INE879A08014
SHREE RAMA MULTI-TECH LIMITED INE879A07040
SHREE RAMA MULTI-TECH LIMITED INE879A07024
SHREE RAMA MULTI-TECH LIMITED INE879A07032
SHREYANS INDUSTRIES LIMITED INE231C07024
SHRIRAM - CITY UNION FINANCE LIMITED INE722A07307
SHRIRAM - CITY UNION FINANCE LIMITED INE722A07331
SHRIRAM EQUIPMENT FINANCE CO LTD INE468M07039
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED INE721A07390
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED INE721A07BU6
SICOM Limited INE569E08013
SKYDECK PROPERTIES & DEVELOPERS PRIVATE LIMITED INE384K07016
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08314
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08322
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08330
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08884
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08439
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08447
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08454
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08520
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08538
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08595
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08603
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08611
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08660
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08678
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08702
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08710
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08744
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08751
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08BX7
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08BY5
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08793
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08CB1
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08CC9
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08934
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08843
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08850
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08942
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08959
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08983
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08991
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08AA7
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08AB5
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08AC3
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08AD1
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08AH2
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08AK6
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08AN0
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08AO8
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08AS9
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08BB3
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08BF4
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08BR9
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08BS7
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08CM8
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08CN6
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08CV9
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08348
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08355
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08363
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08371
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F09015
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08413
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08BW9
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08488
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08496
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08CH8
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08546
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08553
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08561
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08579
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08629
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08645
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08652
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08686
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08694
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08728
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08736
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08769
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08777
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08BZ2
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08CA3
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08801
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08876
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08975
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08AF6
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08AI0
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08AJ8
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08AP5
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08AQ3
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08AT7
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08AU5
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08AY7
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08BD9
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08BH0
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08BL2
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08BM0
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08BP3
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08BQ1
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08BT5
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08BU3
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08CI6
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08CJ4
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08CO4
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08CP1
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08CS5
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08CT3
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08IJ1
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08ED3
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08EE1
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08EH4
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08EI2
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08FF5
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08FG3
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08IF9
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08IG7
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08IH5
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08FZ3
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA INE556F08GA4
SOLARIS HOLDINGS LIMITED INE339K07010
SOUTHERN PETROCHEMICAL INDUSTRIES CORPORATION LIMI INE147A07067
SOUTHERN PETROCHEMICAL INDUSTRIES CORPORATION LTD. INE147A07034
SPANCO TELESYSTEMS & SOLUTIONS LIMITED INE360B07031
SPANCO TELESYSTEMS & SOLUTIONS LIMITED INE360B07049
SPANCO TELESYSTEMS & SOLUTIONS LIMITED INE360B07056
SPENTEX INDUSTRIES LIMITED INE376C07019
SREI EQUIPMENT FINANCE PRIVATE LIMITED INE881J07DD1
SREI EQUIPMENT FINANCE PRIVATE LIMITED INE881J07CT9
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07HH1
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07IE6
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07II7
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07IJ5
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07IL1
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07IV0
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07JE4
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07JF1
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07JH7
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07JI5
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07JL9
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07JT2
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07JU0
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07JX4
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07JY2
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07JZ9
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07KI3
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07KV6
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07LP6
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07LT8
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07LU6
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07LX0
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07LV4
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07MB4
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07MG3
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07MH1
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07MI9
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07MJ7
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07ML3
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07MM1
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07MN9
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07MO7
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07MP4
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07MR0
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07MS8
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07MT6
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07MU4
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07NH9
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07NK3
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07NO5
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07NP2
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07NR8
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07NZ1
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07OA2
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07OB0
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07OF1
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07OI5
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07OJ3
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07OK1
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07OL9
SREI INFRASTRUCTURE FINANCE LIMITED INE872A08BJ8
SREI INFRASTRUCTURE FINANCE LIMITED INE872A08BM2
SREI INFRASTRUCTURE FINANCE LIMITED INE872A08BN0
SREI INFRASTRUCTURE FINANCE LIMITED INE872A08BO8
SREI INFRASTRUCTURE FINANCE LIMITED INE872A08BP5
SREI INFRASTRUCTURE FINANCE LIMITED INE872A08BR1
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07OT2
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07OV8
SREI INFRASTRUCTURE FINANCE LIMITED INE872A07OO3
SREI International Finance Limited INE872A10015
SRF LIMITED INE647A08221
STATE BANK OF BIKANER AND JAIPUR INE648A09011
STEEL AUTHORITY OF INDIA LIMITED INE114A07265
STEEL AUTHORITY OF INDIA LTD. INE114A07232
STEEL AUTHORITY OF INDIA LTD. INE114A07208
STERLITE INDUSTRIES (INDIA) LIMITED INE268A07095
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED INE667F07998
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED INE667F07832
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED INE667F07709
SUNDARAM FINANCE LIMITED INE660A07IK2
SUNDARAM FINANCE LIMITED INE660A07IY3
SUNDARAM FINANCE LIMITED INE660A07GQ3
SUNDARAM FINANCE LIMITED INE660A07GC3
SUNDARAM FINANCE LIMITED INE660A07FS1
SUNDARAM FINANCE LIMITED INE660A07FT9
SUNDARAM FINANCE LIMITED INE660A07FF8
SUNDARAM FINANCE LIMITED INE660A07FG6
SUNDARAM FINANCE LIMITED INE660A07FJ0
SUPER SYNCOTEX (INDIA) LIMITED INE542D07014
SYNDICATE BANK INE667A09060
TAMILNADU ELECTRICITY BOARD INE084G09016
TAMILNADU INDUSTRIAL DEVELOPMENT CORPORATION LTD. INE085F08090
TAPI IRRIGATION DEVELOPMENT CORPORATION INE689F07034
TAPI IRRIGATION DEVELOPMENT CORPORATION INE689F08016
TAPI IRRIGATION DEVELOPMENT CORPORATION INE689F07075
TAPI IRRIGATION DEVELOPMENT CORPORATION INE689F07059
TATA CAPITAL FINANCIAL SERVICES LIMITED INE306N07278
TATA CAPITAL FINANCIAL SERVICES LIMITED INE306N07286
TATA CAPITAL FINANCIAL SERVICES LIMITED INE306N07294
TATA CAPITAL FINANCIAL SERVICES LIMITED INE306N07492
TATA CAPITAL LIMITED INE976I07674
TATA CAPITAL LIMITED INE976I07BN4
TATA CAPITAL LIMITED INE976I07138
TATA CAPITAL LIMITED INE976I07153
TATA CAPITAL LIMITED INE976I07161
TATA CAPITAL LIMITED INE976I07AJ4
TATA COFFEE LIMITED INE493A07040
TATA ENGINEERING & LOCOMOTIVE COMPANY LTD. INE155A07029
TATA HOUSING DEVELOPMENT COMPANY LIMITED INE582L07021
TATA MOTORS FINANCE LIMITED INE909H07438
TATA MOTORS FINANCE LIMITED INE909H07768
TDI INFRASTRUCTURE LIMITED INE629N07026
TDI INFRASTRUCTURE LIMITED INE629N07034
TELEVISION EIGHTEEN INDIA LTD. INE889A07015
TELEVISION EIGHTEEN INDIA LTD. INE889A07023
TGS INVESTMENT AND TRADE PRIVATE LIMITED INE597H08660
TGS INVESTMENT AND TRADE PRIVATE LIMITED INE597H08876
THE CATHOLIC SYRIAN BANK LIMITED INE679A08059
The Dhampur Sugar Mills Limited INE041A11015
THE HINDOOSTAN SPINNING & WEAVING MILLS LTD. INE066D07014
THE INDIA CEMENTS LIMITED INE383A07019
THE INDIA CEMENTS LIMITED INE383A07068
THE INDIA CEMENTS LIMITED INE383A07043
THE INDIAN HOTELS COMPANY LIMITED INE053A07133
THE LAKSHMI VILAS BANK LTD. INE694C09029
THE PRADESHIYA INDUSTRIAL & INVESTMENT CORPORATION OF U.P. LTD. INE637F09039
THE PRADESHIYA INDUSTRIAL & INVESTMENT CORPORATION OF U.P. LTD. INE637F09047
THE PRADESHIYA INDUSTRIAL & INVESTMENT CORPORATION OF U.P. LTD. INE637F09054
THE PRADESHIYA INDUSTRIAL & INVESTMENT CORPORATION OF U.P. LTD. INE637F09062
THE PRADESHIYA INDUSTRIAL & INVESTMENT CORPORATION OF U.P. LTD. INE637F09088
THE PRADESHIYA INDUSTRIAL & INVESTMENT CORPORATION OF U.P. LTD. INE637F09070
THE SOUTH INDIAN BANK LTD. INE683A09026
THE SOUTH INDIAN BANK LTD. INE683A09042
THE TAMILNADU INDUSTRIAL INVESTMENT CORPORATION LTD INE638F09565
THE TAMILNADU INDUSTRIAL INVESTMENT CORPORATION LTD INE638F09557
THE TAMILNADU INDUSTRIAL INVESTMENT CORPORATION LTD INE638F09698
THE UNITED WESTERN BANK LTD. INE165A09016
THE UNITED WESTERN BANK LTD. INE165A09057
THYROCARE TECHNOLOGIES LIMITED INE594H08014
TITAN INDUSTRIES LIMITED INE280A07025
TRACTORS & FARM EQUIPMENT LTD. INE985D08021
TRANSMISSION CORPORATION OF A.P. LIMITED INE947F08083
TRANSMISSION CORPORATION OF A.P. LIMITED INE947F08067
TRANSMISSION CORPORATION OF A.P. LIMITED INE947F08075
TRANSMISSION CORPORATION OF A.P. LIMITED INE947F08166
TRANSMISSION CORPORATION OF A.P. LIMITED INE947F08117
TRANSMISSION CORPORATION OF A.P. LIMITED INE947F08190
TRANSMISSION CORPORATION OF A.P. LIMITED INE947F08232
TRANSMISSION CORPORATION OF A.P. LIMITED INE947F08240
TRANSMISSION CORPORATION OF A.P. LIMITED INE947F08299
TRANSMISSION CORPORATION OF A.P. LIMITED INE947F08273
TRANSPORT CORPORATION OF INDIA LIMITED INE688A08191
TRANSPORT CORPORATION OF INDIA LIMITED INE688A08548
TRENT LIMITED INE849A07019
TULIP TELECOM LIMITED INE122H08022
TULIP TELECOM LIMITED INE122H08030
TULIP TELECOM LIMITED INE122H07032
UCO BANK INE691A09052
ULTRATECH CEMENT LTD INE018A07128
UNITECH LIMITED INE694A07183
UNITECH LIMITED INE694A07175
UNITECH LIMITED INE694A07167
UNITECH LIMITED INE694A07159
UNIVERSAL BUILDWELL PVT LTD INE257M07010
UNIVERSAL BUILDWELL PVT LTD INE257M07028
UNIVERSAL BUILDWELL PVT LTD INE257M07036
UNIVERSAL BUILDWELL PVT LTD INE257M07044
UNIVERSAL BUILDWELL PVT LTD INE257M07051
UNIVERSAL BUILDWELL PVT LTD INE257M07069
UTI BANK LIMITED INE238A08146
UTTAR PRADESH FINANCIAL CORPORATION INE408G09116
UTTAR PRADESH FINANCIAL CORPORATION INE408G07060
UTTAR PRADESH FINANCIAL CORPORATION INE408G09173
UTTAR PRADESH FINANCIAL CORPORATION INE408G09058
UTTAR PRADESH FINANCIAL CORPORATION INE408G09041
UTTAR PRADESH FINANCIAL CORPORATION INE408G09132
UTTAR PRADESH FINANCIAL CORPORATION INE408G09025
UTTAR PRADESH FINANCIAL CORPORATION INE408G07011
UTTAR PRADESH FINANCIAL CORPORATION INE408G07029
UTTAR PRADESH FINANCIAL CORPORATION INE408G07045
UTTAR PRADESH FINANCIAL CORPORATION INE408G09017
V HOTELS LIMITED INE023N07014
VENUS SUGAR LIMITED INE972B07017
VICEROY HOTELS LTD INE048C07014
VIDARBHA IRRIGATION DEVELOPMENT CORPORATION INE739F08076
VIDARBHA IRRIGATION DEVELOPMENT CORPORATION INE739F07045
VIDARBHA IRRIGATION DEVELOPMENT CORPORATION INE739F08084
VIDARBHA IRRIGATION DEVELOPMENT CORPORATION INE739F08100
VIDARBHA IRRIGATION DEVELOPMENT CORPORATION INE739F07086
VIDARBHA IRRIGATION DEVELOPMENT CORPORATION INE739F08092
VIDARBHA IRRIGATION DEVELOPMENT CORPORATION INE739F07052
VIJAYA BANK INE705A09035
VINTAGE CARDS & CREATIONS LIMITED INE810A08019
VISHWAMITRI GREENLANDS PRIVATE LIMITED INE344J07012
VISHWAMITRI GREENLANDS PRIVATE LIMITED INE344J07020
WEST BENGAL FINANCIAL CORPORATION INE690F09012
WEST BENGAL FINANCIAL CORPORATION INE690F09020
WEST BENGAL FINANCIAL CORPORATION INE690F09269
WEST BENGAL FINANCIAL CORPORATION INE690F09343
WEST BENGAL FINANCIAL CORPORATION INE690F08071
WEST BENGAL INFRASTRUCTURE DEVELOPMENT FINANCE COR INE740F08256
WEST BENGAL INFRASTRUCTURE DEVELOPMENT FINANCE CORPORATION
LTD.
INE740F08181
WEST BENGAL INFRASTRUCTURE DEVELOPMENT FINANCE CORPORATION
LTD.
INE740F08173
WEST BENGAL INFRASTRUCTURE DEVELOPMENT FINANCE CORPORATION
LTD.
INE740F08124
WESTERN INDIA SHIPYARD LTD. INE382C07017
ZUARI CEMENT LIMITED INE051F07011
ZUARI CEMENT LIMITED INE051F08027
Name of the Instrument Description In NSDL Issue price (per security)
9.00% Unsecured Optionally
convertible debentures Date of
AAMBY VALLEY LIMITED
9 OCD 25NV10 FVRS1CR
10000000
Zero Coupon Secured Fully Convertible
Debentures. Date of Conversion:
ABBEE CONSUMABLES & PERIPHERALS
SSHOPE LTD
30000000
11.40% Secured Redeemable Non
Convertible Debenture.Letter of
ABG SHIPYARD LIMITED
11.4 NCD 10MY13 FVRS10LAC
1000000
12.30% Secured Redeemable Non
Convertible Debenture.Date of
ABG SHIPYARD LIMITED
12.3 NCD 15DC13 FVRS10LAC
1000000
17% Secured Redeemable NCD. Date of
Maturity 15-04-2005
ABIR CHEMICALS
17 NCD 15AP05 FV RS 100
100
Nifty Linked Secured Redeemable Non
Convertible Debentures. Series - E 11
ABN AMRO SEC
BR LOA 23SP09 FVRS1LAC
101000
12.00% Secured Non-Convertible
Debenture. Date of Maturity
ACKRUTI CITY LIMITED 12 NCD 28FB13
FVRS1LAC
100000
6.75% Government Guaranteed US 64
bonds.
UTI -1
6.75 BD 01JU08 FV RS 100
100.00
6.60% Tax Free Government
Guaranteed ARS bonds.
UTI -1
6.6 BD 01AP09 FV RS 100
100.000
AMC CITY BONDS (TAX FREE 2001) AMC CITY
9 BD 30MR12 FV RS 1 LAC
1,00,000
15% UNSECURED COMPULSORY
CONVERTIBLE DEBENTURE. DATE OF
AIRMID DEVELOPERS LIMITED 15 CCD
30NV13 FVRS1000
1000
9.5% Secured Redeemeable Non
Convertible Debentures .Date of final
AKSH OPTIFIBRE
9.5 NCD 04JN07 FV RS 75000
100000
16% Secured Fully Convertible
Debentures
ALOK INDUSTRIES 16 FCD 06JN02 100
7.75% Unsecured Non Convertible
Redeemable Debentures Date of
ALOK INDUSTRIES
7.75 NCD 22DC06 FVRS100
100
15.50% Secured Non Convertible
Debenture. Date of Maturity :
AMARAVATI GREENLANDS PVT LIMITED
15.5 NCD 16SP08 FVRS10LAC
1000000
15.50% Secured Non Convertible
Debentures. Date of Maturity :
AMARAVATI GREENLANDS PVT LIMITED
15.5 NCD 17NV08 FVRS10LAC
1000000
11.50% Secured Non Convertible
Debentures. Date of Maturity :
AMARAVATI GREENLANDS PVT LIMITED
11.5 NCD 11AP09 FVRS10LAC
1000000
11.25% Secured Non Convertible
Debentures. Date of Maturity :
AMARAVATI GREENLANDS PVT LIMITED
11.25 NCD 29MY09 FVRS10LAC
1000000
11.25% Unsecured Non-Convertible
Debentures. Date of Maturity :
AMRUTANJAN FIN
11.25 NCD 05DC02
1,00,00,000
7.25% Unsecured, Redeemable , Non
convertible subordinated bonds (V
ANDHRA BANK
7.25 LOA 05AP14 FVRS10LAC
1000000
12.50% Secured Non-Convertible
Debentures. Date of Final Redemption
ANDHRA FUELS
12.5 NCD 31MR04
5,000,000.00
13.10% Unsecured Non-Convertible
Debentures in the form of LOA, Series
APPFC 2/00 OPTD
13.1 LOA 21NV07 FV RS 1 LAC
1,00,000
13.10% Unsecured Non-Convertible
Debentures in the form of LOA, Series
APPFC 1/01 OPTD
13.1 LOA 14JN08 FV RS 1 LAC
1,00,000
13.10% Unsecured Non-Convertible
Debentures in the form of LOA, Series
APPFC 2/00 OPTD
13.1 LOA 03JN08 FV RS 1 LAC
1,00,000
13.10% Unsecured Non-Convertible
Debentures in the form of LOA, Series
APPFC 1/01 OPTD
13.1 LOA 03MR08 FV RS 1 LAC
1,00,000
12.30% Unsecured Non-Convertible
Bonds in the form of Debentures ,
APPFC 2/01 OPTA
12.3 BD 16MR08 FV RS 1 LAC
1,00,000
12.30% Unsecured Non-Convertible
Bonds in the form of Debentures ,
APPFC 2/01 OPTA
12.3 BD 29MR08 FV RS 1 LAC
1,00,000
12.00% Unsecured Non-Convertible
Bonds in the form of Debentures ,
APPFC 3/01 OPTA
12 BD 04JL08 FV RS 1 LAC
1,00,000
12.00% Unsecured Non-Convertible
Bonds in the form of Debentures ,
APPFC 3/01 OPTA
12 BD 18MY08 FV RS 1 LAC
1,00,000
12.00% Unsecured Bonds in the form of
Debentures Series IV/2001 Option A,
APPFC 4/01 OPTA
12 LOA 26OT08 FV RS 1 LAC
1,00,000
11.60% Unsecured Bonds in the form of
Debentures Series V/2001 Option A,
APPFC 5/01 OPTA
11.6 LOA 23NV08 FV RS 1 LAC
1,00,000
11.60% Unsecured Bonds in the form of
Debentures Series V/2001 Option A,
APPFC 5/01 OPTA
11.6 BD 23NV08 FV RS 1 LAC
1,00,000
11.60% Unsecured Bonds in the form of
Debentures Series V/2001 Option A,
APPFC 5/01 OPTA
11.6 BD 11JN09 FV RS 1 LAC
1,00,000
10.70% Unsecured Redeemable Bonds
in the form of Debentures.Series
APPFC 1/03 OPTA
10.7 LOA 27BF10 FV RS 1 LAC
100000
10.95% Unsecured Redeemable Bonds
in the form of Debentures.Series
APPFC 3/02 OPTA
10.95 LOA 03JN10 FV RS 1 LAC
100000
10.95% Unsecured Redeemable Bonds
in the form of Debentures.Series
APPFC 3/02 OPTA
10.95 LOA 05FB10 FV RS 1 LAC
100000
13.30% Unsecured Non-Convertible
Debentures in the form of LOA, Series
APPFC 2/00 OPTB
13.3 LOA 05DC10 FV RS 1 LAC
1,00,000
13.30% Unsecured Non-Convertible
Debentures in the form of LOA, Series
APPFC 2/00 OPTE
13.3 LOA 05DC10 FV RS 1 LAC
1,00,000
13.30% Unsecured Non-Convertible
Bonds in the form of Debentures ,
APPFC 2/00 OPTE
13.3 BD 05DC10 FV RS 1 LAC
1,00,000
10.45% Unsecured Non-Convertible
Debentures Series III/2003, Option A.
APPFC 3/03 OPTA
10.45 LOA 29JU10 FV RS 1 LAC
100,000.00
13.30% Unsecured Non-Convertible
Debentures in the form of LOA, Series
APPFC 1/00 OPTB
13.3 LOA 27SP10 FV RS 1 LAC
1,00,000
13.30% Unsecured Non-Convertible
Debentures in the form of LOA, Series
APPFC 2/00 OPTB
13.3 LOA 21NV10 FV RS 1 LAC
1,00,000
13.30% Unsecured Non-Convertible
Debentures in the form of LOA, Series
APPFC 1/01 OPTB
13.3 LOA 14JN11 FV RS 1 LAC
1,00,000
13.30% Unsecured Non-Convertible
Debentures in the form of LOA, Series
APPFC 1/01 OPTE
13.3 LOA 03MR11 FV RS 1 LAC
1,00,000
13.30% Unsecured Non-Convertible
Bonds in the form of Debentures ,
APPFC 1/01 OPTE
13.3 BD 03MR11 FV RS 1 LAC
1,00,000
12.60% Unsecured Non-Convertible
Debentures in the form of LOA, Series
APPFC 2/01 OPTB
12.6 LOA 29MR11 FV RS 1 LAC
1,00,000
12.30% Unsecured Non-Convertible
Bonds in the form of Debentures ,
APPFC 3/01 OPTB
12.3 BD 04JL11 FV RS 1 LAC
1,00,000
12.60% Unsecured Non-Convertible
Bonds in the form of Debentures ,
APPFC 2/01 OPTB
12.6 BD 27AP11 FV RS 1 LAC
1,00,000
12.30% Unsecured Non-Convertible
Debentures in the form of LOA, Series
APPFC 3/01 OPTB
12.3 LOA 18MY11 FV RS 1 LAC
1,00,000
12.30% Unsecured Non-Convertible
Debentures in the form of LOA, Series
APPFC 3/01 OPTB
12.3 LOA 06JU11 FV RS 1 LAC
1,00,000
12.30% Unsecured Bonds in the form of
Debentures Series IV/2001 Option B,
APPFC 4/01 OPTB
12.3 LOA 13SP11 FV RS 1 LAC
1,00,000
12.30% Unsecured Bonds in the form of
Debentures Series IV/2001 Option B,
APPFC 4/01 OPTB
12.3 LOA 26OT11 FV RS 1 LAC
1,00,000
11.80% Unsecured Bonds in the form of
Debentures Series V/2001 Option B,
APPFC 5/01 OPTB
11.8 LOA 23NV11 FV RS 1 LAC
1,00,000
13.50% Unsecured Non-Convertible
Debentures in the form of LOA, Series
APPFC 2/00 OPTF
13.5 LOA 05DC12 FV RS 1 LAC
1,00,000
11.80% Unsecured Bonds in the form of
Debentures Series V/2001 Option B,
APPFC 5/01 OPTB
11.8 LOA 11JN12 FV RS 1 LAC
1,00,000
13.50% Unsecured Non-Convertible
Debentures in the form of LOA, Series
APPFC 2/00 OPTC
13.5 LOA 21NV12 FV RS 1 LAC
1,00,000
13.50% Unsecured Non-Convertible
Debentures in the form of LOA, Series
APPFC 2/00 OPTF
13.5 LOA 21NV12 FV RS 1 LAC
1,00,000
13.50% Unsecured Non-Convertible
Debentures in the form of LOA, Series
APPFC 1/01 OPTC
13.5 LOA 14JN13 FV RS 1 LAC
1,00,000
13.50% Unsecured Non-Convertible
Debentures in the form of LOA, Series
APPFC 1/01 OPTF
13.5 LOA 14MR13 FV RS 1 LAC
1,00,000
13.50% Unsecured Non-Convertible
Debentures in the form of LOA, Series
APPFC 1/01 OPTF
13.5 LOA 29JN13 FV RS 1 LAC
1,00,000
13.50% Unsecured Non-Convertible
Bonds in the form of Debentures ,
APPFC 1/01 OPTF
13.5 BD 29JN13 FV RS 1 LAC
1,00,000
13.50% Unsecured Non-Convertible
Debentures in the form of LOA, Series
APPFC 2/00 OPTF
13.5 LOA 03JN13 FV RS 1 LAC
1,00,000
13.50% Unsecured Non-Convertible
Debentures in the form of LOA, Series
APPFC 1/01 OPTF
13.5 LOA 03MR13 FV RS 1 LAC
1,00,000
13.50% Unsecured Non-Convertible
Bonds in the form of Debentures ,
APPFC 1/01 OPTC
13.5 BD 03MR13 FV RS 1 LAC
1,00,000
13.50% Unsecured Non-Convertible
Bonds in the form of Debentures ,
APPFC 1/01 OPTF
13.5 BD 03MR13 FV RS 1 LAC
1,00,000
12.80% Unsecured Non-Convertible
Debentures in the form of LOA, Series
APPFC 2/01 OPTC
12.8 LOA 16MR13 FV RS 1 LAC
1,00,000
12.80% Unsecured Non-Convertible
Bonds in the form of Debentures ,
APPFC 2/01 OPTC
12.8 BD 29MR13 FV RS 1 LAC
1,00,000
10.65% Unsecured Redeemable Bonds
in the form of Debentures. Series
APPFC 4/03 OPTB
10.65 LOA 04AG13 FV RS 1 LAC
100,000.00
10.90% Unsecured Redeemable Bonds
in the form of Debentures.Series
APPFC 2/03 OPTB
10.9 LOA 21AP13 FV RS 1 LAC
100,000.00
11.15% Unsecured Redeemable Bonds
in the form of Debentures.Series
APPFC 3/02 OPTB
11.15 LOA 05FB13 FV RS 1 LAC
100000
10.65% Unsecured Bond Sr. IV/2003/
Opt B. LOA
APPFC 4/03 OPTB
10.65 LOA 29JU13 FV RS 1 LAC
100,000.00
12.50% Unsecured Bonds in the form of
Debentures Series IV/2001 Option C,
APPFC 4/01 OPTC
12.5 LOA 13SP13 FV RS 1 LAC
1,00,000
12.50% Unsecured Bonds in the form of
Debentures Series IV/2001 Option C,
APPFC 4/01 OPTC
12.5 LOA 26OT13 FV RS 1 LAC
1,00,000
8.40% Unsecured,Redeemable, Non-
Convertible,Non-Cumulative, Taxable
ANDHRA PRADESH POWER GENERATION
CORP
1,000,000.00
11.50% Secured Non-Convertible SLR
Bonds in the form of Promissory Notes.
APSFC SLR-48
11.5 BD 02JN10 FV RS 100
100
8.35% Secured Non-Convertible SLR
Bonds in the form of Promissory Notes.
APSFC SLR-73 8.35 BD 20DC11 FV RS
100
100
8.00% Secured Redeemable Non-
convertible Bonds Series -I/2003
ANDHRA PRADESH WATER RESOURCES
DEVPT CORP
100000
8.20% Secured Redeemable Non-
convertible Bonds Series -I/2003
ANDHRA PRADESH WATER RESOURCES
DEVPT CORP
100000
14.00% Secured Redeemeable Non
Convertible Bond. Date of final
ANDREW YULE
14 BD 01JL05 FV RS 1 LAC
1,00,000
19% SECURED REDEEMABLE NON
CONVERTIBLE DEBENTURES. LETTER OF
ARCH AGRO INDUSTRIES PRIVATE
LIMITED 19 LOA 17AP14 FVRS10000
10000
13.25% Secured Non Convertible
Debentures. Letter of allotment. Date
ARCH PHARMALABS LIMITED 13.25 LOA
09JU13 FVRS10LAC
1000000
14.50% Secured Redeemable Non-
Convertible Debentures.
ASHIMA LIMITED
14.50 NCD 03JN06
100.000
9% Secured Non-Convertible
Debenture (Letter of Allotment)
ASHOK LEY FIN
9 LOA 21DC01
10000000
9.00% Secured Non-Convertible
Debenture ; Date of
ASHOK LEY FIN
9 LOA 20MR02
10000000
12.00% Secured Non-Convertible
Debenture, SRNCD Series II; Date of
ALFL SR-2
12 NCD 06MY02
10000000
8.50% Secured Non-Convertible
Debenture ; Date of
ASHOK LEY FIN
8.5 LOA 08MR02
10000000
9.00% Secured Non-Convertible
Debenture ; Date of
ASHOK LEY FIN
9 LOA 08AP02
10000000
9.90% Unsecured Redeemable Non
Convertible Debentures. Date of
ASIAN ELECTRON
9.9 NCD 16DC08 FVRS1CR
10000000
9.90% Unsecured Redeemable Non
Convertible Debentures. Date of
ASIAN ELECTRON
9.9 NCD 16JN09 FVRS1CR
10000000
9.90% Unsecured Redeemable Non
Convertible Debentures. Date of
ASIAN ELECTRON
9.9 NCD 16FB09 FVRS1CR
10000000
9.90% Unsecured Redeemable Non
Convertible Debentures. Date of
ASIAN ELECTRON
9.9 NCD 16MR09 FVRS1CR
10000000
9.90% Unsecured Redeemable Non
Convertible Debentures. Date of
ASIAN ELECTRON
9.9 NCD 15AP09 FVRS1CR
10000000
Reset rate Secured Non-Convertible
Debenture.Letter of Allotment. Date
ASIANET SATELLITE COMMUNICATIONS
LIMITED RR LOA 31MR14 FVRS10LAC
1000000
8.00% Secured Non Convertible Bonus
Debentures. Date of Maturity:
ASTRAZENECA PHARMA INDIA LIMITED
8 NCD 11JN09 FVRS25
25
15% UNSECURED COMPULSORY
CONVERTIBLE DEBENTURE. DATE OF
ATHENA INFRASTRUCTURE LIMITED 15
CCD 30NV13 FVRS1000
1000
20% Secured Non Convertible
Debenture. Date of Maturity
ATS INFRABUILD PRIVATE LIMITED 20
NCD 04JL14 FVRS10LAC
1000000.000
ZERO COUPON UNSECURED
COMPULSORY CONVERTIBLE
BABJI REALTORS PRIVATE LIMITED SR-S-
1 CCD 28JN14 FVRS10
10
ZERO COUPON UNSECURED
COMPULSORY CONVERTIBLE
BABJI REALTORS PRIVATE LIMITED SR-S-
2 CCD 25MR14 FVRS10
10
ZERO COUPON UNSECURED
COMPULSORY CONVERTIBLE
BABJI REALTORS PRIVATE LIMITED SR-S-
3 CCD 25MR14 FVRS10
10
17% SECURED REDEEMABLE NON
CONVERTIBLE DEBENTURES. DATE OF
BAGMANE ESTATES PRIVATE LIMITED 17
NCD 25JU13 FVRS1LAC
100000.000
6.00% Secured Redeemable Non
convertible debentures. Date of
BAJAJ AUTO FIN
6 NCD 09FB10 PPRS125
125
Zero Coupon Secured Non-Convertible
Debenture. Letter of Allotment.
BAJAJ FINANCE LIMITED OP-II LOA
29AP14 FVRS10LAC
1000000
10.45% Unsecured Non-Convertible
Debenture.Date of Maturity
BAJAJ FINANCE LIMITED 10.45 NCD
02JU14 FVRS1CR
10000000
Mibor + 20bps Unsecured Redeemable
Non Convertible Debentures. Series 28
BAJAJ HINDUSTAN
BR NCD 17AP07 FVRS1CR
10000000
Mibor + 40bps Unsecured Redeemable
Non Convertible Debentures. Series 81
BAJAJ HINDUSTAN
BR NCD 24OT07 FVRS1CR
10000000
Mibor + 50bps Unsecured Redeemable
Non Convertible Debentures. Series 83
BAJAJ HINDUSTAN
BR NCD 26OT07 FVRS1CR
10000000
MIBOR + 100bps Unsecured
Redeemable Non Convertible
BAJAJ HINDUSTAN
BR NCD 02JL08 FVRS1CR
10000000
Mibor + 50bps (Daily Compounding)
Unsecured Redeemable Non
BAJAJ HINDUSTAN
BR NCD 12JN10 FVRS1CR
10000000
Mibor + 75bps (Daily Compounding)
Unsecured Redeemable Non
BAJAJ HINDUSTAN
BR NCD 20JN10 FVRS1CR
10000000
18 % Secured Redeemable non
convertible debentures . Final date of
BAJAJ PLASTICS
18 NCD 12JN06 FVRS1LAC
100000
10.00% Secured Redeemable Non-
convertible Debentures.
BILT
10 NCD 21AP06 FV RS 100
100.00
13.25% Secured Non Convertible
Debenture. Date of Maturity :
BANGAR AGRO-FARMS PVT LIMITED
13.25 NCD 28JN08 FVRS10LAC
1000000
15.50% Secured Non Convertible
Debenture. Date of Maturity :
BANGAR AGRO-FARMS PVT LIMITED
15.5 NCD 16SP08 FVRS10LAC
1000000
15.50% Secured Non Convertible
Debenture. Date of Maturity :
BANGAR AGRO-FARMS PVT LIMITED
15.5 NCD 17NV08 FVRS10LAC
1000000
10.50% Secured Non Convertible
Debenture. Date of Maturity :
BANGAR AGRO-FARMS PVT LIMITED
10.5 NCD 30JN09 FVRS10LAC
1000000
5.85% Unsecured Redeemable Non-
convertible subordinated bonds (Tier II
BANK OF BARODA
SR-4 5.85 LOA02JL14 FVRS10LAC
1,000,000.000
Index Linked Secured Non-Convertible
Debenture. Date of Maturity
BARCLAYS INVESTMENTS & LOANS
(I)LTD BR NCD 04DC14 FVRS10LAC
1000000
Index Linked Secured Non
Convertible Debentures. Letter of
BARCLAYS INVESTMENTS & LOANS
(INDIA) LIMITED
1000000
Index Linked Secured Non
Convertible Debentures. Series-92.
BARCLAYS INVESTMENTS & LOANS
(INDIA) LIMITED
990000
Index Linked Secured Non
Convertible Debentures. Series-DS-
BARCLAYS INVESTMENTS & LOANS
(INDIA) LIMITED
100000
Overnight NSE mibor+ 20 bps
Unsecured Non Convertible
BERGER PAINTS
BR LOA 21OT05 FVRS1CR
10000000
O/N NSE Mibor+10 Bps Unsecured Non
convertible debentures. Letter of
BERGER PAINTS
BR LOA 18NV05 FVRS1CR
10000000
O/N NSE Mibor+20 Bps Unsecured
Redeemable Non Convertible
BERGER PAINTS
BR LOA 20DC05 FVRS1CR
10000000
O/N NSE Mibor+40 Bps Unsecured
Redeemable Non convertible
BERGER PAINTS
BR LOA 24FB06 FVRS1CR
10000000
30% SECURED OPTIONALLY
CONVERTIBLE DEBENTURE. DATE OF
BEST GOLDEN DEVELOPERS PRIVATE
LIMITED 30 OCD 31MR14 FVRS100
100.000
12.45% Secured Redeemable Non
Convertible Debenture.Date of
BHARATI SHIPYARD LIMITED
12.45 NCD 24DC13 FVRS10LAC
1000000
1% UNSECURED COMPULSORY
CONVERTIBLE DEBENTURES. DATE OF
BHARATI SHIPYARD LIMITED 1 CCD
03JU14 FVRS79.12
79.120
10.20% Secured Non Convertible
Debentures. Letter of allotment. Date
BHUSHAN STEEL
10.2 LOA 26MR14 FVRS10LAC
1000000
NSE O/N Mibor + 50bps (Daily
Compounding) Unsecured Redeemable
BIRLA CORP LTD
BR NCD 23DC09 FVRS100
100
NSE O/N Mibor + 15bps (Daily
Compounding) Unsecured Redeemable
BIRLA CORP LTD
BR NCD 18MR10 FVRS100
100
NSE O/N Mibor + 10bps (Daily
Compounding) Unsecured Redeemable
BIRLA CORP LTD
BR NCD 26MR10 FVRS100
100
NSE O/N Mibor minus 40bps (Daily
Compounding) Unsecured Redeemable
BIRLA CORP LTD
BR NCD 30MR10 FVRS100
100
7.50% Unsecured Redeemable Non
Convertible Debentures.Letter of
BIRLA TMT HOLDINGS PVT LTD
7.5 LOA 15JU09 FVRS1CR
10000000
Mibor + 1.00% Unsecured Redeemable
Non Convertible Debentures.Letter of
BIRLA TMT HOLDINGS PVT LTD
BR LOA 15JU09 FVRS1CR
10000000
7.00% Unsecured Redeemable Non
Convertible Debentures.Letter of
BIRLA TMT HOLDINGS PVT LTD
7 LOA 09SP09 FVRS1CR
10000000
9.00% Secured Redeemable Non
Convertible Debentures . Date of
BLUEBERRY TRAD.
9 NCD 19MR03
100
11.00% Secured Non convertible
Debentures. Date of Maturity :
BLUE BIRD (INDIA) LIMITED
11 NCD 01JL09 FVRS1000
1000
9.95% UNSECURED REDEEMABLE NON
CONVERTIBLE DEBENTURES. DATE OF
BMW INDIA FINANCIAL SERVICES
PRIVATE LIMITED 9.95 NCD 04AG14
1000000.000
12.00% Secured Non Convertible
Debentures. Date of Maturity:
BPTP LIMITED
12 NCD 31DC11 FVRS100
100
12.00% Secured Non Convertible
Debentures. Date of Maturity:
BPTP LIMITED
12 NCD 31MR12 FVRS100
100
Reset rate Secured Non Convertible
Debentures.Final Date of Redemption :
BRANDHOUSE RETAILS LIMITED
RR NCD 30JU11 FVRS100
100
10.90% Secured Non Convertible
Debentures
BRITANNIA
10.9 NCD 18DC03
100
8.25% Secured Non Convertible Bonus
Debentures .Date of Maturity:
BRITANNIA
8.25 NCD 22MR13 FVRS170
170
11.50% Secured Redeemable Non-
Convertible Debentures.
BSES ANDHRA POW
11.5 NCD 15JN07
10,000,000.00
10.00% Secured Redeemable Non-
Convertible Debentures.
BSES ANDHRA POW
10 NCD 30NV12
10,000,000.00
6.00% Secured Redeemable Non-
Convertible Partly paid Debentures-
BSES
SR-04A 6 LOA 21JN09 PPRS10000
1,000,000.000
6.00% Secured Redeemable Non-
Convertible Partly paid Debentures-
BSES
SR-04B 6 LOA 21JN14 PPRS10000
1,000,000.000
11.00% Unsecured Subordinated
Redeemable Bonds (Tier-II, Series III),
CENTRAL BK SR-3
11 BD 28JU06 FV RS 5 LAC
5,00,000
9.80% Unsecured Subordinated
Redeemable Bonds (Tier-II, Series IV),
CENTRAL BK SR-4
9.8 BD 28AP07 FV RS 5 LAC
5,00,000
12.00% Secured Non Convertible
Debentures - Date Of
CENTURY ENKA
12 NCD 01OT04 FV RS 71
71
16.5% Secured Non-Convertible
Debenture. Letter of Allotment
CENTURY REAL ESTATE HOLDINGS PVT
LTD
10000000
5.45% Unsecured bonds in nature of
promissory notes. Final date of
CHENNAI METROPOLITAN WAT SUPPLY
& SEW BD
1000000
RESET RATE SECURED NON
CONVERTIBLE DEBENTURES. SERIES-
CHOLAMANDALAM INVESTMENT AND
FIN. CO. LTD SR-332 RR LOA 03SP14
1000000.000
Index Linked Secured Non Convertible
Debentures.Series 146. Letter of
CITICORP FINANC
BR LOA 30JL09 FVRS50LAC
5000000
Share Linked Secured Non Convertible
Debentures.Series 150. Letter of
CITICORP FINANC
BR LOA 25SP09 FVRS50LAC
5000000
Index Linked Secured Non Convertible
Debentures.Series 250. Letter of
CITICORP FINANC
SR-250 BR LOA 09AP10 FVRS1LAC
100000
Share Linked Secured Non Convertible
Debentures.Series 181. Letter of
CITICORP FINANC
BR LOA 06JL10 FVRS10LAC
1000000
Nifty Linked Secured Non-Convertible
Debenture. Letter of Allotment. Series-
CITICORP FINANCE INDIA LIMITED SR-
341 ALT1 BR LOA 25FB13 FVRS1LAC
100000
Nifty Linked Secured Non-Convertible
Debenture. Letter of Allotment. Series-
CITICORP FINANCE INDIA LIMITED SR-
342 BR LOA 14MY13 FVRS1LAC
100000
Nifty Linked Secured Non-Convertible
Debenture. Letter of Allotment. Series
CITICORP FINANCE INDIA LIMITED SR-
334 BR LOA 07JN14 FVRS 1LAC
100000
Index Linked Secured Redeemable Non
Convertible debentures. Series 343
CITIFINANCIAL CONSUMER FIN. INDIA
BR LOA 06NV09 FVRS1LAC
99000
Index Linked Secured Redeemable Non
Convertible debentures. Series 374
CITIFINANCIAL CONSUMER FIN. INDIA
BR LOA 09NV09 FVRS1LAC
101000
Index Linked Secured Redeemable Non
Convertible debentures. Series 361
CITIFINANCIAL CONSUMER FIN. INDIA
BR LOA 09FB10 FVRS1LAC
101000
Index Linked Secured Redeemable Non
Convertible debentures. Series 376
CITIFINANCIAL CONSUMER FIN. INDIA
BR LOA 08OT10 FVRS1LAC
100000
Index Linked Secured Redeemable Non
Convertible debentures. Series 335
CITIFINANCIAL CONSUMER FIN. INDIA
BR LOA 05AG11 FVRS1LAC
100000
Nifty Linked Secured Redeemable Non
Convertible debentures. Series 459
CITIFINANCIAL CONSUMER FIN. INDIA
SR-459 BR LOA 29SP11 FVRS1LAC
100000
15% UNSECURED COMPULSORY
CONVERTIBLE DEBENTURE. DATE OF
CITRA PROPERTIES LIMITED 15 CCD
30NV13 FVRS1000
1000
Mibor + 400bps (Floor :9.20% & Cap :
9.30%) Unsecured Redeemable Non
CLUTCH AUTO LTD
BR LOA 27NV07 FVRS10LAC
1000000
14% Unsecured Fully Convertible
Debenture.Date of Maturity
COASTAL PROJECTS LIMITED 14 FCD
31MR13 FVRS10LAC
1000000
14.00% Unsecured Fully Convertible
Debentures.
CONTEMPORARY HEALTHCARE
14 FCD 31OT11 FV RS 100
100.000
12.00% Secured Redeemable Non-
Convertible Debentures. Date of
CORBEL EST INVT
12 LOA 01OT03
100
11.75% Secured Non-Convertible
Debenture.Letter of Allotment.
CORE PROJECT & TECHNOLOGIES
LIMITED 11.75 LOA 30MR14 FVRS1LAC
100000
STOCK LINKED SECURED NON
CONVERTIBLE DEBENTURE. DATE OF
CREDIT SUISSE FINANCE (INDIA)
PRIVATE LIMITED BR NCD 01DC14
500000.000
22.00% Unsecured Non Convertible
Debenture. Date of Maturity :
CYBERABAD CITY PROJECTS PVT LTD
22 NCD 15JN11 FVRS1LAC
100000
10.5% Taxfree Secured Redeemable
Bonds in the form of Promissory Notes
DVC NTX SR-9
10.5 BD 31MR03
1000
14.00% Secured Redeemable Non-
Convertible Debentures.Date of Final
DCW LTD
14 NCD 18MY04
100
11.25% Unsecured Non-Convertible
Debenture. Letter of Allotment. Date
DECCAN CHRONICLE HOLDINGS LTD
11.25 LOA 26JU12 FVRS10LAC
1000000
8 % (8.30% annualised) Secured Non
convertible debentures. Letter of
DECCAN CHRONICL
8 LOA 29JU12 FVRS10LAC
1000000
11.50% Unsecured Non-Convertible
Debenture. Letter of Allotment.Date
DECCAN CHRONICLE HOLDINGS LTD
11.5 LOA 19SP12 FVRS10LAC
1000000
10.00% Secured Taxable Redeemable
Non Convertible Debentures . Letter of
DECCAN CHRONICL
10 LOA 17DC12 FVRS10LAC
1000000
12.00% Secured Taxable Redeemable
Non Convertible Debentures . Letter of
DECCAN CHRONICL
12 LOA 14NV13 FVRS1CR
10000000
10.00% Secured Taxable Redeemable
Non Convertible Debentures . Letter of
DECCAN CHRONICL
10 LOA 17DC13 FVRS10LAC
1000000
Nifty Linked Secured Non-Convertible
Debenture. Series - GE0093. Date of
DEUTSCHE INVESTMENTS INDIA
PRIVATE LIMITED
100000
Nifty Linked Secured Non Convertible
Debentures.Series :GE0044.Date of
DEUTSCHE INVESTMENTS INDIA
PRIVATE LIMITED
1000000
Nifty Linked Secured Non Convertible
Debentures.Series :GE0047.Date of
DEUTSCHE INVESTMENTS INDIA
PRIVATE LIMITED
1000000
Nifty Linked Secured Non Convertible
Debentures.Series :GE0059.Date of
DEUTSCHE INVESTMENTS INDIA
PRIVATE LIMITED
1000000
Nifty Linked Secured Non Convertible
Debentures.Series :GE0060.Date of
DEUTSCHE INVESTMENTS INDIA
PRIVATE LIMITED
1000000
Nifty Linked Secured Non-Convertible
Debenture. Series- GE0109. Date of
DEUTSCHE INVESTMENTS INDIA PVT
LTD SR- GE0109 BR NCD 03JU14
100000
NSE O/N Mibor + 15bps (Daily
Compounding)
DEWAN HOUSING
BR NCD 25JN08 FVRS10LAC
1000000
160 Bps over the G-sec rate by CRISIL
Secured Non Convertible Debenture,
DEWAN HOUSING
BR NCD 14JN07 FV RS 50 LAC
1000000
10.5 % Secured Non Convertible
Debenture, Date of final Redemption:
DEWAN HOUSING
10.5 NCD 17MR07
1000000
6.00% Unsecured Fully Convertible
Debentures.Date of Conversion:
DEWANCHAND RAMSARAN INDUSTRIES
PRIVATE LTD
10000
14.00% Secured Fully Convertible
Debentures.Date of Conversion:
DEWANCHAND RAMSARAN INDUSTRIES
PRIVATE LTD
10000
9.25% Unsecured Non-Convertible
Debenture.Date of Maturity
DR. REDDY'S LABORATORIES LIMITED
9.25 NCD 24MR14 FVRS5
0
Nifty Linked Secured Redeemable Non
Convertible debentures. Series BW
DSP MERRILL LYNCH CAPITAL
BR LOA 05JN10 FVRS1LAC
102000
Nifty Linked Secured Redeemable Non
convertible debentures Series - AO
DSP MERRILL LYNCH CAPITAL
BR LOA 04JL11 FVRS1LAC
100000
14.25% Secured Redeemable Non
Convertible Debenture.After face
EID PARRY
14.25 NCD 29JL04
1,00,000
4.50% Unsecured Non Convertible
Debenture Letter of Allotment Date of
ECL FINANCE LIMITED
4.5 LOA 28SP09 FVRS5LAC
500000
6.50% Unsecured Non-Convertible
Debenture. Date of Maturity
ECL FINANCE LIMITED
6.5 NCD 20OT10 FVRS5LAC
500000
7.60% Unsecured Non-Convertible
Debenture. Date of Maturity
ECL FINANCE LIMITED
7.6 NCD 12JL10 FVRS5LAC
500000
7.25% Secured Non-Convertible
Debenture. Date of Maturity
ECL FINANCE LIMITED
7.25 NCD 09JN11 FVRS5LAC
500000
7.635% Secured Non Convertible
Debenture.Tranche - I.Date of
ECL FINANCE LIMITED
7.635 NCD 05SP11 FVRS10LAC
1000000
7.635% Secured Non Convertible
Debenture.Tranche - II.Date of
ECL FINANCE LIMITED
7.635 NCD 05MR12 FVRS10LAC
1000000
Nifty Linked Secured Non Convertible
Debenture.(Disclosure Document
ECL FINANCE LIMITED
SR-D2D001 BR NCD 27JL12 FVRS1LAC
100000
7.635% Secured Non Convertible
Debenture.Tranche - III.Date of
ECL FINANCE LIMITED
7.635 NCD 05SP12 FVRS10LAC
1000000
Nifty Linked Secured Non-Convertible
Debenture. Series - G3G001. Date of
ECL FINANCE LIMITED
SR-G3G001 BR NCD 26OT13 FVRS1LAC
100000
NIFTY LINKED SECURED REDEEMABLE
NON CONVERTIBLE DEBENTURES.
ECL FINANCE LIMITED SR-H4H202 BR
NCD 01DC14 FVRS1LAC
100000.000
NIFTY LINKED SECURED REDEEMABLE
NON CONVERTIBLE DEBENTURES.
ECL FINANCE LIMITED SR-B4D302 BR
NCD 03JU14 FVRS1LAC
100000.000
NIFTY LINKED SECURED REDEEMABLE
NON CONVERTIBLE DEBENTURES.
ECL FINANCE LIMITED SR-B4D301 BR
NCD 03JU14 FVRS1LAC
100000.000
NIFTY LINKED SECURED REDEEMABLE
NON CONVERTIBLE DEBENTURES.
ECL FINANCE LIMITED SR-H4J201 BR
NCD 03OT14 FVRS1LAC
100000.000
12% SECURED REDEEMABLE NON
CONVERTIBLE DEBENTURES. SERIES
ECL FINANCE LIMITED SR-K4I301 12
NCD 03NV14 FVRS1LAC
98500
Commodity Linked Secured Non-
Convertible Debenture. Series-
ECL FINANCE LIMITED SR-C4F101 BR
NCD 04AG14 FVRS1LAC
100000
Nifty Linked Secured Non-Convertible
Debenture. Series- A4A002. Date of
ECL FINANCE LIMITED
SR-A4A002 BR NCD 06JU14 FVRS1LAC
100000
Nifty Linked Secured Non-Convertible
Debenture. Series-D4E102. Date of
ECL FINANCE LIMITED SR-D4E102 BR
NCD 06JU14 FVRS1LAC
100000
13.93% SECURED REDEEMABLE NON-
CONVERTIBLE DEBENTURES. SERIES
ECL FINANCE LIMITED SR-F4C301 13.93
NCD 06JU14 FVRS1LAC
100000.000
NSE Mibor + 10bps Unsecured Non-
Convertible Debentures Letter of
EDELWEISS CAPITAL LIMITED
BR LOA 29AG08 FVRS5LAC
500000
4.60% Unsecured Non Convertible
Debentures. Letter of Allotment. Date
EDELWEISS CAPITAL LIMITED
4.6 LOA 22FB10 FVRS5LAC
500000
9.25% Secured Non Convertible
Debentures .Date of maturity:
EDELWEISS CAPITAL LIMITED
9.25 NCD 26AP11 FVRS10LAC
1000000
12.77778% Unsecured Fully
Convertible Debenture. Date of
EDELWEISS CAPITAL LIMITED
12.77778 FCD 21JN14 FVRS100
100
11% Secured Redeemable Non
Convertible Debenture
EID PARRY
11 NCD 30JL02
1,00,000
22% SECURED OPTIONALLY
CONVERTIBLE DEBENTURES. LETTER OF
ELDER PHARMACEUTICALS LIMITED 22
LOA 20MY14 FVRS1LAC
100000.000
NSE Mibor + 60 bps Unsecured Non-
Convertible Debentures.(Letter of
ELECTRO STEEL
BR LOA 15FB02
1,00,00,000
NSE Mibor + 60 bps Fully Unsecured
Non-Convertible Debentures.(Letter of
ELECTRO STEEL
BR LOA 19FB02
1,00,00,000
NSE Mibor + 55 bps Unsecured Non-
Convertible Debentures. Date OF
ELECTRO STEEL
BR LOA 22FB02
1,00,00,000
NSE Mibor + 55 bps Unsecured Non-
Convertible Debentures. Date OF
ELECTRO STEEL
BR LOA 26FB02
1,00,00,000
6.15% Unsecured Non Convertible
Debenture Letter of Allotment . Date
ELECTRO STEEL
6.15 LOA 15NV05 FV RS1CR
10000000
MIBOR +15% (Floor : 15.90% and Cap :
16.00%) Secured Redeemable Non
EMAAR MGF LAND LIMITED SR-A BR NCD
31JN12 FVRS10LAC
1000000
MIBOR +15% (Floor : 15.90% and Cap :
16.00%) Secured Redeemable Non
EMAAR MGF LAND LIMITED SR-B BR NCD
31JN12 FVRS10LAC
1000000
11.75% Secured Redeemable Non
Convertible Debentures.Date of
EMAAR MGF LAND LIMITED
11.75 NCD 31MR12 FVRS100
100
10.75% Unsecured Non Convertible
Debentures. Date of Maturity:
EMAMI REALTY LTD
10.75 NCD 08JU11 FVRS10LAC
1000000
12.50% Secured Redeemable Non
Convertible Debentures. Final Date of
ERA HOUSING & DEVELOPERS (INDIA)
LTD
10000000
14.00% Secured Non-Convertible
Debenture. Date of Maturity
ERA HOUSING & DEVELOPERS (INDIA)
LIMITED 14 NCD 30DC13 FVRS1CR
10000000
11.15% Secured Redeemable Non
Convertible Debentures Series - A
ERA INFRA ENGINEERING LIMITED
11.15 NCD 12OT13 FVRS1LAC
100000
11.15% Secured Redeemable Non
Convertible Debentures Series - B
ERA INFRA ENGINEERING LIMITED
11.15 NCD 31OT13 FVRS1LAC
100000
13.00% Secured Redeemable Non
Convertible Debentures.Letter of
ERA INFRA ENGINEERING LIMITED
13 NCD 24MR14 FVRS10LAC
1000000
11.15% Secured Redeemable Non
Convertible Debentures Series - A
ERA INFRA ENGINEERING LIMITED
11.15 NCD 12AP14 FVRS1LAC
100000
11.15% Secured Redeemable Non
Convertible Debentures Series - B
ERA INFRA ENGINEERING LIMITED
11.15 NCD 01MY14 FVRS1LAC
100000
17.00% Secured Non Convertible
Debenture. Date of Final Redemption :
ESSAR OIL
17 NCD 15MR12 FV RS 100
100
6.00 % Secured Redeemable Non
convertible debentures. Option 3B.
ESSAR OIL
OPT-3B 6 NCD 31DC06 FV RS 105
105
6.00 % Secured Redeemable Non
convertible debentures. Option 3A.
ESSAR OIL
OPT-3A 6 NCD 31DC09 FV RS 105
105
Secured Redeemable Non Convertible
Debenture. Date of Maturity :
ESSAR RETAIL HOLDINGS LTD
NCD 07JU13 FVRS10LAC
750000
NSE Mibor + 400bps Secured
Redeemable Non Convertible
ESSEL PROPACK
BR NCD 22JU07 FVRS1CR
10000000
Zero Coupon Secured Optionally Fully
Convertible debenture. Final Date of
FCL TECH & PROD
OFCD 15JN13 FVRS100
100
Mibor + 800bps (Floor : 11.70% and Cap
: 11.75%) Secured Non Convertible
FENNER (INDIA)
BR NCD 27MR09 FVRS1CR
10000000
Zero Coupon Secured Non-Convertible
Debenture. Letter of Allotment. Series-
FIRST BLUE HOME FINANCE LIMITED
LOA 17FB14 FVRS10LAC
1000000
Zero coupon Unsecured Fully
Convertible Debentures. Date of
FLEXITUFF INTERNATIONAL LIMITED
FCD 31MR10 FVRS50LAC
5000000
10.30% Secured Non -Convertible
Debenture Series A67, Date Of
FORD CRE.SR-A67
10.3 NCD 24NV04 FV RS 1 LAC
1,00,000
10.30% Secured Non -Convertible
Debenture Series A68, Date Of
FORD CRE.SR-A68
10.3 NCD 26NV04 FV RS 1 LAC
1,00,000
MIBOR+95 Bps Unsecured Non
Convertible Debenture . Series A213 .
FORD CRE. KOTAK
A213 BR LOA 06DC05 FVRS1LAC
100000
5.75 % Unsecured Non convertible
debenture. Letter of allotment. Series
FORD CRE. KOTAK
A284 5.75 LOA 29AG05 FVRS1LAC
100000
5.74 % Unsecured Non Convertible
Debentures. Letter of Allotment.
FORD CRE. KOTAK
A287 5.74 LOA 11NV05 FVRS1LAC
100000
5.70 % Unsecured Non Convertible
Debentures. Letter of Allotment.
FORD CRE. KOTAK
A286 5.7 LOA 11NV05 FVRS1LAC
100000
5.65% Unsecured Non Convertible
debentures. Letter of allotment.Series
FORD CRE. KOTAK
A288 5.65 LOA 18NV05 FVRS1LAC
100000
0.0001% Unsecured Compulsorily
Convertible Debentures.Letter of
FORNAX REAL ESTATE LIMITED 0.0001
LOA 14AP13 FVRS1000
1000
0.0001% Unsecured Compulsorily
Convertible Debentures.Letter of
FORNAX REAL ESTATE LIMITED 0.0001
LOA 01MY13 FVRS1000
1000
SERIES A ZERO COUPON UNSECURED
FULLY AND COMPULSORILY
FRANCOLIN INFRASTRUCTURE PRIVATE
LIMITED SR-A FCD 25DC13 FVRS100
100
9.95% Secured Non Convertible
Debentures Letter of Allotment. Date
FULLERTON INDIA CREDIT COMPANY
LIMITED
1000000
Mibor - 40bps Unsecured Non
Convertible Debentures. Letter of
FULLERTON INDIA CREDIT COMPANY
LIMITED
10000000
Mibor +10bps Unsecured Non
Convertible Debentures. Letter of
FULLERTON INDIA CREDIT COMPANY
LIMITED
10000000
Mibor + 25bps Unsecured Non
Convertible Debentures.Letter of
FULLERTON INDIA CREDIT COMPANY
LIMITED
10000000
18% SECURED REDEEMABLE NON
CONVERTIBLE SERIES C DEBENTURES
GALLERIA DEVELOPERS PRIVATE
LIMITED SR-C 18 LOA 02JU14 FVRS1LAC
100000.000
18% Secured Redeemable Non
Convertible Series B Debentures Letter
GALLERIA DEVELOPERS PRIVATE
LIMITED 18 LOA 22FB14 FVRS1LAC
100000.000
11.50% Secured Non-Convertible
Debenture. Letter of Allotment. Series-
GAYATRI PROJECTS LIMITED
11.5 LOA 01DC14 FVRS1LAC
100000
Floating Rate (GE Capital 30 Day
Floating Reset Rate) Secured Non
GECSI DJL02-23B
RR NCD 23JL03
100,00,000
Floating Rate (1 year INBMK) Secured
Non Convertible Debenture -GECSI-
GECSI N-6
BR NCD 16JL09 FV RS 1 CR
100,00,000
Mibor + 25BPS Unsecured Non-
Convertible Debenture Letter of
GLOBAL TRADE FINANCE LIMITED
BR LOA 14NV08 FVRS1CR
10000000
Mibor + 10bps Unsecured Non-
Convertible Debenture Letter of
GLOBAL TRADE FINANCE LIMITED
BR LOA 18NV08 FVRS1CR
10000000
13.00% Secured Non- Convertible
Redeemable Bonds-Sr III Instrument A,
GMIDC SR-3A
13 BD 15SP07 FV RS 1 LAC
1,00,000
12.00% Secured Non- Convertible
Redeemable Bonds-Sr IV Instrument A-
GMIDC SR-4A
12 BD 08NV08 FV RS 1 LAC
1,00,000
13.25% Secured Non- Convertible
Redeemable Bonds-Sr III Instrument B,
GMIDC SR-3B
13.25 BD 15SP10 FV RS 1 LAC
1,00,000
11.25% Secured Non- Convertible
Redeemable Bonds-Series V Instrument
GMIDC SR-5B
11.25 LOA 15JN13 FV RS 1 LAC
100,000.00
11.25% Secured Non- Convertible
Redeemable Bonds-Series VI
GMIDC SR-6B
11.25 LOA 18MY13 FV RS 1 LAC
100,000.00
12.50% Secured Non- Convertible
Redeemable Bonds-Sr IV Instrument
GMIDC SR-4C
12.5 BD 08NV13 FV RS 1 LAC
1,00,000
11.25% Secured Transferable Non-
Convertible Debenture. Letter of
GRAMEEN FINANCIAL SERVICES PVT LTD
11.25 LOA 31MY13 FVRS1CR
9960000
15.00% Unsecured Bonds in the form of
primossory notes.Series - III/98.(Fully
GRIDCO SR 3-98
15 BD 01AP08 FV RS 1 LAC
1,00,000
15.00% Unsecured Bonds in the form of
primossory notes.Series - IB/99 &
GRIDCO IB-IC/99
15 BD 01FB09 FV RS 1 LAC
1,00,000
8.00% Unsecured Redeemable Non-
Comvertible Debentures. Date of
GTL
8 NCD 03FB13 FVRS10LAC
1000000
Reset Rate Unsecured Redeemable
Non-Comvertible Debentures. Date of
GTL
RR NCD 15FB13 FVRS10LAC
1000000
8.00% Unsecured Redeemable Non-
Comvertible Debentures. Date of
GTL
8 NCD 03FB14 FVRS10LAC
1000000
Reset Rate Unsecured Redeemable
Non-Comvertible Debentures. Date of
GTL
RR NCD 15FB14 FVRS10LAC
1000000
14.25% Secured Non Convertible
Debenture
GUJ ST. ENERGY- 1
14.25 NCD 18NV10 FV RS 1 LAC
1,00,000
11.25% Redeemable Non Convertible
Bonds -Series VI-Option I; Date of
GEB SR-6 OPT1
11.25 LOA 21NV09 FV RS 1 LAC
1,00,000
11.25% Redeemable Non Convertible
Bonds -Series VI-Option I; Date of
GEB SR-6 OPT1
11.25 LOA 21NV09 FV RS 1 LAC
1,00,000
11.00% Unsecured Redeemable Non-
Convertible Bonds Series VII Option-I
GEB SR-7 OPT1
11 BD 21JU10 FV RS 1 LAC
100000
11.25% Unsecured Redeemable Non-
Convertible Bonds Series VII Option-II
GEB SR-7 OPT2
11.25 BD 21JU13 FV RS 1 LAC
100000
12.50% Secured Redeemable Non
Convertible Debentures. Letter of
GUJ NRE COKE
SR V 12.5 LOA 30MY13 FVRS10LAC
1000000
12.50% Secured Redeemable Non
Convertible Debentures. Letter of
GUJ NRE COKE
SR VI 12.5 LOA 30MY14 FVRS10LAC
1000000
Zero Coupon Unsecured Optional Fully
Convertible Bonds. Date of Maturity:
GUJARAT NRE MINERAL RESOURCES
LTD OFCB 16AG13 FVRS30000
30000
8% Secured Redeemable Non
Covertible Priority Sector Bond Series I
GUJ ST FIN SR-1
8 BD 31MR11 FV RS 80000
80000
12% Secured Non-Convertible
Government Guaranteed Bonds in the
GUJ.FIN SLR2-12
12 BD 10FB12 FV RS 100
100
13.00% Secured Non-Convertible Bonds
in the nature of debentures.Date of
GSRTC
13 BD 28FB07 FV RS 1 LAC
1,00,000
11.50% Secured Non-Convertible Bonds
in the nature of Promossory Notes.
GSRTC
11.5 BD 12DC09 FV RS 1 LAC
1,00,000
0.001% Unsecured Compulsorily
Convertible Debenture. Date of
GVK ENERGY LIMITED
0.001 CCD 30NV13 FVRS100
100
5.13% Secured Non Convertible Bond-I
(M) in the form of Promissory Notes.
H.P. INFRASTRUCTURE DEVELOPMENT
BOARD
1,000,000.000
15.25% Secured Redeemable Non
Convertible Bonds - Series D issued in
HALDIA PET-D
15.25 BD 23JU06 FV RS 1 LAC
1,00,000
15.50% Secured Redeemable Non-
Convertible Debentures. Date of
HARRISONS MALAY
15.5 NCD 15AP05 FV RS 100
100
Reset rate Secured Redeemable Non
Convertible Debentures.Date of
HARSIL PROJECTS PVT LTD
RR NCD 19AP13 FVRS10LAC
1000000
Reset rate Secured Redeemable Non
Convertible Debentures.Date of
HARSIL PROJECTS PVT LTD
RR NCD 20AP13 FVRS10LAC
1000000
11.5% Unseucred Non convertible
Bond. In form of Promissory notes,
HARYANA FINANCIAL CORPORATION
SR36 11.5 BD 17JN10
100
11.5% Unseucred Non convertible
Bond. In form of Promissory notes.
HARYANA FINANCIAL CORPORATION
SR37 11.5 BD 27JU10 FVRS100
100
11.33% Unseucred Non convertible
Bond in from of Promissor notes. Series
HARYANA FINANCIAL CORPORATION
SR58 11.33 BD 27JU10 FVRS100
100
11.5% Unseucred Non convertible
Bond.In form of Promissory
HARYANA FINANCIAL CORPORATION
SR38 11.5 BD 14NV10 FVRS100
100
11.5% Unseucred Non convertible
Bond.In form of Promissory notes,
HARYANA FINANCIAL CORPORATION
SR39 11.5 BD13FB11 FVRS100
100
11.5% Unseucred Non convertible
Bond. In form of Promissory notes,
HARYANA FINANCIAL CORPORATION
SR 40 11.5 BD 04SP11 FVRS100
100
9. 90% Unsecured Non convertible
Bond in form of Promissory notes.
HARYANA FINANCIAL CORPORATION
SR61 9.9 BD 28JU11 FVRS100
100
10. 82% Unsecured Non convertible
Bond in form of Promissory notes.
HARYANA FINANCIAL CORPORATION
SR 59 10.82 BD 07FB11 FVRS100
100
8.35% Unsecured Non convertible Bond
in form of Promissory notes. Series
HARYANA FINANCIAL CORPORATION
SR62 8.35 BD 19DC11
100
8.30% Unsecured Non convertible Bond
in form of Promissory notes. Series 63.
HARYANA FINANCIAL CORPORATION
SR63 8.3 BD 20FB12 FVRS100
100
8.00% Unsecured Non convertible Bond
in form of Promissory notes. Series 64.
HARYANA FINANCIAL CORPORATION
SR64 8 BD 20MR12 FVRS100
100
7.92% Unsecured Non convertible Bond
in form of Promissory notes. Series 65.
HARYANA FINANCIAL CORPORATION
SR65 7.92 BD 24JL12 FVRS100
100
12% Unseucred Non convertible Bond.
In form of Promissory notes,Series 41.
HARYANA FINANCIAL CORPORATION
SR 41 12 08JN12 FVRS100
100
6.75% Unsecured Non convertible Bond
in form of Promissory notes. Series 67.
HARYANA FINANCIAL CORPORATION
SR67 6.75 BD 24MR13 FVRS100
100
6.50% Unsecured Non convertible Bond
in form of Promissory notes. Series
HARYANA FINANCIAL CORPORATION
SR66 6.5 BD 11MR13 FVRS100
100
10.50% Unsecured Redeemble Non-
Convertible Debentures. Series II.
HERO CORP. SERV
10.5 NCD 21DC04 FV RS 5 CR
5,00,00,000
8.30% Non convertible bonds in nature
of promissory notes. Issue no Non SLR
HIMACHAL PRADESH FIN CORP
8.3 BD 30AP14 FVRS25LAC
2500000
12.60% Secured Redeemable Non-
convertible Bonds (Guartanteed by the
HPRIDC SR-3
12.6 BD 01SP07 FV RS 1 LAC
1,00,000
13.50% Secured Redeemable Non-
Convertible Bonds. Series VIII Option-I.
HOC SR-8 OPT-1
13.5 LOA 30JL04 FV RS 1 LAC
100,000.00
13.50% Secured Redeemable Non-
Convertible Bonds. Series IX . Letter of
HOC SR-9
13.5 BD 30JU05 FV RS 1 LAC
100,000.00
9.00% Secured Redeemable Non-
Convertible Debentures.
HINDUSTAN LEVER
9 NCD 01JL05 FV RS 6
6.00
12.50% Secured Non Convertible
Debenture.Letter of allotment.Date of
HOTEL LEELA
12.5 LOA 19DC13 FVRS10LAC
1000000
9.25% Gujarat Punarnirman Special Tax
free Bonds in the form of Promissory
HUDCO NTX SR-1C
9.25 BD 06MR12 FV RS 5 LAC
5,00,000
5.15% UnSecured Taxfree Non-Priority
Sector HUDCO Bonds Series- XXXIV.
HUDCO
NTXNPS-34 5.15 BD 31MR14 FV RS 10
1,000,000.00
9.25% SECURED REDEEMABLE NON
CONVERTIBLE DEBENTURES. SERIES J-
HOUSING DEVELOPMENT FINANCE
CORPORATION LTD SR-J-032 9.25 NCD
1000000
9.20% SECURED REDEEMABLE NON
CONVERTIBLE DEBENTURES. SERIES J-
HOUSING DEVELOPMENT FINANCE
CORPORATION LTD SR-J-034 9.2 NCD
1000000
7.99% Unsecured Taxfree HUDCO Bonds
Series XV A- Date of Maturity:
HUDCO NTX SR15A
7.99 BD 29MR07 FV RS 1 LAC
100000
7.90% Unsecured Non-convertible
Taxable HUDCO Bonds 2003 Series SD-
HUDCO TX SR-SD2
7.9 BD 31MR13 FV RS 10 LAC
1000000
17.50% Secured Redeemable Non
Convertible Debenure Date of Maturity-
HYTONE TEXSTYLES
17.5 NCD 01JN09 FV RS 1 LAC
100000
Pass through Certificates. Series A1
(Trustee: Axis Bank Limited,
IAG LOAN TRUST - ABL
SR-A1 PTC 20AP10
10212698.6
ICICI February 2003-6.75% Tax Saving
Bond I
ICICI FEB 2003
6.75 TSB1 03AP06 FV RS 5000
5,000.00
ICICI February 2003- Tax Saving Bond II
(Deep Discount Bonds)
ICICI FEB 2003
DDB TSB2 03AG06 FV RS 6200
5,000.00
ICICI March 2003-6.75% Tax Saving
Bond I.
ICICI MAR 2003
6.75 TSB1 30AP06 FV RS 5000
5,000.00
ICICI February 2003-6.75% Tax Saving
Bond III
ICICI FEB 2003
6.75 TSB3 03AP08 FV RS 5000
5,000.00
ICICI February 2003- Tax Saving Bond
IV(Deep Discount Bonds)
ICICI FEB 2003
DDB TSB4 03AG08 FV RS 7050
5,000.00
11.10% Unsecured Non Convertible
Bonds in the nature of Non Marketable
ICICI BANK LTD
N1DQ4PC0 11.1 UNMD BD 17MR08
100000
ICICI March 2003-6.75% Tax Saving
Bond III.
ICICI MAR 2003
6.75 TSB3 30AP08 FV RS 5000
5,000.00
ICICI March 2003- Tax Saving Bond IV
(Deep Discount Bonds)
ICICI MAR 2003
DDB TSB4 30AG08 FV RS 7050
5,000.00
10.15% Unsecured Bonds in nature of
Unsecured Non Marketable
ICICI
NMDQ302 10.15 UNMD 15NV09
100000
ICICI February 2003-6.75% Regular
Income Bond
ICICI FEB 2003
6.75 RIB 03AP10 FV RS 5000
5,000.00
5.80 % Unsecured bonds ICICI March
2005 TSB I. Date of maturity:
ICICI
TSB-1 5.8 BD 30AP10 FV RS 5000
5000
6.75 % Unsecured bonds ICICI March
2005 RIB I. Date of Maturity:
ICICI
RIB-1 6.75 BD 30AP10 FV RS 5000
5000
ICICI March 2005 TSB II DDB. Date of
Maturity: 30.04.2010
ICICI
TSB-2 DDB 30AP10 FV RS 6630
5000
ICICI February 2005 6.00% Tax Saving
Bond I.
ICICI
TSB-1 6 BD 08AP10 FV RS 5000
5000
ICICI February 2005 6.75% Regular
Income Bond I
ICICI
RIB-I 6.75 BD 08AP10 FV RS 5000
5000
ICICI February 2005 Tax Saving Bond II ICICI
TSB II DDB 08AP10 FV RS 6700
5000
ICICI January 2005. 6.00% Tax Saving
Bond I (TSB I). Date of Maturity:
ICICI
TSB-1 6 BD 11MR10 FVRS5000
5000
ICICI January 2005. Tax Saving Bond II
(TSB II DDB). Date of Maturity:
ICICI
TSB-2 DDB 11MR10 FV RS 6700
5000
ICICI January 2005. 6.75% Regular
Income Bond I (RIB I). Date of
ICICI
RIB-1 6.75 BD 11MR10 FVRS5000
5000
10.05% Unsecured Non Convertible
Bond in nature of Non Marketable
ICICI BANK LTD
10.05 BD 15DC10 FVRS1LAC
100000
7.20 % Unsecured Redeemable
Subordinated Bond in nature of
ICICI
DSP05RRB URSBD 7.2 BD 28AP11
1000000
7.10% Unsecured redeemable
Subordinated Bonds in nature of
ICICI BANK LTD
DDC05RRB 7.1 URSBD 30AP11
1000000
10.95% Unsecured Non-Marketable
Debenture. NMDJU101 UNMD.
ICICI BANK LTD
NMDJU101 10.95 UNMD 06JU11 FV RS 1
100,000.00
10.90% Unsecured Non Convertible
Bond in nature of Non Marketable
ICICI BANK LTD
NMDCQ102 10.9 UNMD BD 02JL11
100000
ICICI January 2005. 7.00% Regular
Income Bond II (RIB II). Date of
ICICI
RIB-2 7 BD 11MR12 FV RS 5000
5000
9.80% Unsecured Non Convertible
Regular Income Bond. Opt A1.Date of
ICICI BANK LTD
9.8 BD 10FB13 FVRS10000
10000
9.39% Unsecured Non Convertible
Regular Income Bond. Opt A2.Date of
ICICI BANK LTD
9.39 BD 10FB13 FVRS10000
10000
Zero coupon Unsecured Non-
Marketable Debentures. DDBFEB03
ICICI BK DDBFB3
UNMD 24FB13 FV RS 2 LAC
100000
7.35 % Unsecured Redeemeable
Subordinated Bonds in the nature of
ICICI
DJN05RRB 7.35 URSBD 29AP13
1000000
ICICI March 2002 8.75% Tax Saving
Bond I
ICICI MAR 2002
8.75 TSB1 23AP05 FV RS 5000
5000
ICICI March 2002 Tax Saving Bond III
(Deep Discount)
ICICI MAR 2002
DDB TSB3 23AG05 FV RS 6625
5000
ICICI March 2002 9.00% Regular
Income Bond Option III
ICICI MAR 2002
9 RIB3 23AP07 FV RS 5000
5000
ICICI March 2002 9.00% Tax Saving
Bond II
ICICI MAR 2002
9 TSB2 23AP08 FV RS 5000
5000
ICICI March 2002 Tax Saving Bond IV
(Deep Discount )
ICICI MAR 2002
DDB TSB4 23OT08 FV RS 8850
5000
ICICI March 2002 9.25% Regular
Income Bond Option II
ICICI MAR 2002
9.25 RIB2 23AP09 FV RS 5000
5000
ICICI March 2002 Money Multiplier Bond
(Deep Discount)
ICICI MAR 2002
DDB MMB 23DC09 FV RS 10000
5000
ICICI January 2003 7.00% Tax Saving
Bond I
ICICI JAN 2003
7 TSB1 26FB06 FV RS 5000
5000
ICICI January 2003 Tax Saving Bond II
(Deep Discount )
ICICI JAN 2003
DDB TSB2 26JU06 FV RS 6250
5000
ICICI August 2003 - Tax Saving Bond II
(Deep Discount Bonds)
ICICI
AUG-2003 DDB TSB2 09FB07 FV RS 6025
5,000.000
ICICI January 2003 7.25% Tax Saving
Bond III
ICICI JAN 2003
7.25 TSB3 26FB08 FV RS 5000
5000
ICICI January 2003 Tax Saving Bond IV
(Deep Discount )
ICICI JAN 2003
DDB TSB34 26JU08 FV RS 7250
5000
5.75% ICICI August 2003 - Tax Saving
Bond I
ICICI
AUG-2003 5.75 TSB1 09OT06 FV RS
5,000.000
ICICI October 2003 Tax Saving Bond -
Option I
ICICI
OCT-2003 5.6 TSB-1 15DC06 FV RS 5000
5,000.000
ICICI DECEMBER 2003 - 5.50% Tax
Saving Bond I.
ICICI
5.5 TSB1 05FB07 FV RS 5000
5,000.000
ICICI DECEMBER 2003 - TAX SAVING
BOND II (Deep Discount Bond).
ICICI
DEC-2003 DDB TSB2 05AG07 FV RS 6025
5,000.000
ICICI October 2003 - Tax Savings Bond
(Deep Discount Bond)
ICICI
OCT-2003 DDB TSB-2 15JU07 FV RS
5,000.000
ICICI October 2003 - 5.60% Tax Saving
Bond Option III
ICICI
OC20 03 5.6 TSB-3 15DC08 FV RS 5000
5,000.000
ICICI DECEMBER 2003 - 5.50% Tax
Saving Bond III.
ICICI
5.5 TSB3 05FB09 FV RS 5000
5,000.000
ICICI DECEMBER 2003 - TAX SAVING
BOND IV (Deep Discount Bond).
ICICI
DEC-2003 DDB TSB4 05AG09 FV RS 6700
5,000.000
ICICI October 2003 - Tax Saving Bond
IV (Deep Discount Bonds)
ICICI
OCT-2003 DDB TSB-4 15JU09 FV RS
5,000.000
6.00% ICICI August 2003 - Regular
Income Bond
ICICI
AUG-2003 6 RIB 09OT10 FV RS 5000
5,000.000
10.55% Unsecured Non-Marketable
Debentures. NMDQ202 UNMD.
ICICI NMDQ202
10.55 UNMD 09OT11 FV RS 1 LAC
100,000.000
11.65% Unsecured Non-Marketable
Debenture. NMDQ102 UNMD.
ICICI NMDQ102
11.65 UNMD 24AP13 FV RS 1 LAC
100,000.000
10.05% Unsecured NonMarketable
Debenture NMDQ302R UNMD
ICICI
NMDQ302R 10.05 UNMD 28AP09 FV RS 1
100,000.000
11.00% Unsecured Non Marketable
Debenture NMDJY101 UNMD Date Of
ICICI NMDJY101
11 UNMD 29JU11 FV RS 1 LAC
1,00,000
10.75% Unsecured Non-Marketable
Debentures- NMDQ202 UNMD. Date of
ICICI NMDQ202
10.75 UNMD 31AG11 FV RS 1 LAC
1,00,000
ICICI August 2001 9.00% Tax Saving
Bond - Option I
ICICI AUG-01
9 TSB-1 27SP04 FV RS 5000
5000
ICICI September 2001 9.00% Tax Saving
Bond - Option I
ICICI SEPT 2001
9 TSB1 12NV04 FV RS 5000
5000
ICICI November 2001
9.00% Tax Saving Bond - Option I
ICICI NOV 2001
9 TSB1 24DC04 FV RS 5000
5000
10.00% Unsecured Promissory notes-
SPPC1000 UPN Date Of Maturity
ICICI SPPC1000
10 UPN 01NV05 FV RS 1 LAC
1,00,000
ICICI January 2002 9.00% Tax Saving
Bond I
ICICI JAN 2002
9 TSB1 19FB05 FV RS 5000
5000
ICICI February 2002 9.00% Tax Saving
Bond I
ICICI FEB 2002
9 TSB1 27MR05 FV RS 5000
5000
ICICI November 2001 Tax Saving Bond -
Option II (Deep Discount)
ICICI NOV 2001
DDB TSB2 24AP05 FV RS 6660
5000
ICICI January 2002 Tax Saving Bond II
(Deep Discount )
ICICI JAN 2002
DDB TSB2 19JU05 FV RS 6660
5000
ICICI February 2002 Tax Saving Bond
III (Deep Discount )
ICICI FEB 2002
DDB TSB3 27JL05 FV RS 6660
5000
ICICI September 2001 Tax Saving Bond -
Option II (Deep Discount)
ICICI SEPT 2001
DDB TSB2 12MR05 FV RS 6660
5000
ICICI February 2002 9.25% Regular
Income Bond Option III
ICICI FEB 2002
9.25 RIB3 27MR07 FV RS 5000
5000
ICICI August 2001 Tax Saving Bond -
Option III (Deep Discount)
ICICI AUG-01
DDB TSB3 27MR08 FV RS 9000
5000
ICICI February 2002 9.25% Tax Saving
Bond II
ICICI FEB 2002
9.25 TSB2 27MR08 FV RS 5000
5000
11.50% Bonds in the form of Promissory
notes , B-88 (SLR Bonds) PN, Date Of
ICICI SLR B-88
11.5 PN 23JU08 FV RS 1000
1000
ICICI November 2001 Tax Saving Bond -
Option III (Deep Discount)
ICICI NOV 2001
DDB TSB3 24JU08 FV RS 9000
5000
ICICI December 2001 Tax Saving Bond -
Option III (Deep Discount)
ICICI DEC 2001
DDB TSB3 23JL08 FV RS 9000
5000
ICICI January 2002 Tax Saving Bond III
(Deep Discount )
ICICI JAN 2002
DDB TSB3 19AG08 FV RS 9000
5000
ICICI February 2002 Tax Saving Bond
IV (Deep Discount )
ICICI FEB 2002
DDB TSB4 27SP08 FV RS 8950
5000
ICICI September 2001 Tax Saving Bond -
Option III (Deep Discount)
ICICI SEPT 2001
DDB TSB3 12MY08 FV RS 9000
5000
ICICI November 2001
10.00% Regular Income Bond - Option
ICICI NOV 2001
10 RIB3 24DC08 FV RS 5000
5000
ICICI August 2001 Money Multiplier
Bond - Option II (Deep Discount)
ICICI AUG-01
DDB MMB2 27DC08 FV RS 10000
5000
ICICI January 2002 10.00% Regular
Income Bond - Option III
ICICI JAN 2002
10 RIB3 19FB09 FV RS 5000
5000
ICICI February 2002 9.50% Regular
Income Bond Option II
ICICI FEB 2002
9.5 RIB2 27MR09 FV RS 5000
5000
ICICI December 2001 Money Multiplier
Bond - Option II (Deep Discount)
ICICI DEC 2001
DDB MMB2 23MY09 FV RS 10000
5000
ICICI February 2002 Money Multiplier
Bond (Deep Discount)
ICICI FEB 2002
DDB MMB 27SP09 FV RS 10000
5000
ICICI March 1999 12.50% Tax Saving
Bond - Option I Section 88
ICICI MR99 S-88
12.5 TSB1 28AP02
5000
ICICI March 2000 10.50% Tax Saving
Bond - Option I (Section 88 of IT Act)
ICICI MR00 S-88 10.5 TSB1 25AP03 5000
ICICI Feb 2000 Tax Saving Bond -
Option II (Deep Discount) (Section 88
ICICI FB00 S-88 DDB TSB2 24JU03 5000
10.50% Tax Saving Bonds - Option I -
August 2000(Section 88
ICICI AG00 S-88 10.5 TSB1 05OT03 5000
ICICI Oct 2000 11.70% Unsecured Bond
in the Nature of Non-marketable
ICICI OCT 2000 11.7 UBNMD 07NV03 1,00,000
ICICI November 2000 10.50% Tax Saving
Bond- Option I Sec 88
ICICI NV00 S-8810.5 TSB1 13DC03 5000
ICICI December 1998 13.75% Regular
Income Bond - Option III
ICICI DEC 1998
13.75RIB3 11JN04
5000
ICICI December 2000 10.50% Tax Saving
Bond - Option I Section 88
ICICI DC00 S-88 10.5 TSB1 19JN04 5000
Tax Saving Bonds - Option II (Deep
Discount) - August 2000Section 88)
ICICI AG00 S-88 DDB TSB2 05FB04 5000
ICICI February 2001 10.50% Tax Saving
Bond - Option I Section 88
ICICI FB01 S-88
10.5 TSB1 22MR04
5000
ICICI March 2001 9.50% Tax Saving
Bond - Option I Section 88
ICICI MR01 S-88
9.5 TSB1 26AP04
5000
ICICI December 2000 Tax Saving Bond -
Option II Section 88 [Deep Discount
ICICI DC00 S-88 DDB TSB2 19MY04 5000
ICICI February 2001 Tax Saving Bond -
Option II Section 88 (Deep Discount)
ICICI FB01 S-88
DDB TSB2 22JL04
5000
ICICI March 2001 Tax Saving Bond -
Option II Section 88 (Deep Discount)
ICICI MR01 S-88
DDB TSB2 26AG04
5000
ICICI Oct 2000 11.50% Unsecured Bond
in the Nature of Promissory Notes
ICICI OCT 2000 11.5 UBPN 07NV05 FV
RS 1 LAC
1,00,000
ICICI Oct 2000 11.90% Unsecured Bond
in the Nature of Non-marketable
ICICI OCT 2000 11.9 UBNMD 07NV05 FV
RS 1 LAC
1,00,000
ICICI December 2000 11.50% Regular
Income Bond - Option III
ICICI DEC 2000 11.5 RIB3 19JN06 FV RS
5000
5000
ICICI January 1999 14% Regular Income
Bond - Option IV
ICICI JAN 1999
14 RIB4 03MR06
5000
ICICI March 2001 10% Regular Income
Bond - Option III
ICICI MAR 2001
10 RIB3 26AP06
5000
ICICI December 2000 Money Multiplier
Bond - Option II (Deep Discount)
ICICI DEC 2000 DDB MMB2 19JL07 FV RS
10000
5000
ICICI October 1998 Money Multiplier
Bond - Option II (Deep Discount)
ICICI OCT 1998
DDB MMB2 01JL09
4000
ICICI December 1998 Money Multiplier
Bond - Option II (Deep Discount)
CICI DEC 1998
DDB MMB2 11AG09
4000
Money Multiplier Bond - Option II -
August 2000 (Deep Discount)
ICICI AUG 2000 DDB MMB2 05JN11 FV
RS 15000
5000
ICICI Feb 2001 NRJIS101 UNMD -11.70 %
Unsecured Non-marketable bonds
ICICI NRJIS101 11.7 UNMD 26FB11 FV
RS 1 LAC
1,00,000
ICICI Feb 2001 NAPIS101 UNMD -11.70
% Unsecured Non-marketable bonds
ICICI NAPIS101 11.7 UNMD26FB11 FV RS
1 LAC
1,00,000
ICICI July 2000 Money Multiplier Bond
Option I (Deep Discount)
ICICI July 2000 MMB1 DDB 28FB11 FV
RS 15000
5000
ICICI December 2000 Money Multiplier
Bond - Option III (Deep Discount)
ICICI DEC 2000 DDB MMB3 19AP11 FV RS
15000
5000
ICICI June 2001-Non
convertibleUnsecured Non-Marketable
ICICI RNMDBS01
UNMD DDB 01JU11
N.A.
Omni 2000A-Regular Return Bond-I IDBI OMNI-2000A 11.4 RRB1 04OT03 100000
Omni 98D-Regular Return Bond-IV IDBI OMNI-98D
14 RRB4 07AG05 FV RS 25000
25000
Omni 98F-Regular Return Bond-IV IDBI OMNI-98F
14 RRB4 12DC05 FV RS 10000
10000
Omni Tier II Regular Return Bond -99C IDBI OMNI-99C
12.3 RRB 06AP07 FV RS 1 LAC
100000
10% Unsecured Non-Convertible Omni
Bond. Series - I. Date of Maturity
IDBI BANK LTD OMNI SR-I 10 BD 26MR12
FVRS1LAC
100000
9.25% Unsecured Non Convertible OMNI
bonds 2008-2009 Series XVIII. .Date of
IDBI BANK LIMITED
9.25 BD 26MR14 FVRS10LAC
1000000
13% IFCI SLR Bonds 2008 -Series 64 IFCI SLR 2008
13 SR64 28JN08 FV RS 1000
1000
11.50% IFCI SLR Bonds 2009 -Series 52 IFCI SLR 2009
11.5 SR52 28FB09
1000
11.50% IFCI SLR Bonds 2009 Series 54 IFCI SLR 2009
11.5 SR54 19SP09
1000
9.75% Unsecured Non Convertible
Regular Return Bond in the form of
IFCI
9.75 RRB 30AP14 FVRS1LAC
100000
6% Unsecured Non-Convertible Regular
Return Bonds-SR-OT-O2(R).
IFCI
SR-OT/02R 6 RRB 31MY14 FV RS 1LAC
100000
9.75% Unsecured Non Convertible
Regular Return Bond in the form of
IFCI
9.75 RRB 31MY14 FVRS1LAC
100000
11.52% SECURED NON CONVERTIBLE
DEBENTURES. SERIES N1. DATE OF
INDIA INFOLINE HOUSING FINANCE LTD
SR-N1 11.52 NCD 26DC18 FVRS1000
1000.000
Index Linked Secured Non Convertible
Debentures.Series : I-013.Date of
INDIA INFOLINE INVESTMENT SERVICES
LTD
100000
Index Linked (minimum coupon =
16.5%) Secured Non Convertible
INDIA INFOLINE INVESTMENT SERVICES
LTD
100000
14.25% Secured Non-Convertible
Redeemeable Debentures. Date Of
IIDL
14.25 NCD 31DC07 FV RS 3789935.09
50,00,000
6.85% Unsecured Redeemable Tax free
Non Convertible Bonds in the form of
INDIA INFRA FIN COMPANY LTD
6.85 BD 22JN14 FVRS1LAC
100000
6.85% Unsecured Redeemable Tax free
Non Convertible Bonds in the form of
INDIA INFRA FIN COMPANY LTD
6.85 BD 20MR14 FVRS1LAC
100000
12.30% Secured Redeemeable NCD.
Date of final redemption: 17/01/2005
INDIA PISTONS
12.3 NCD 17JN05 FV RS 100
100
11.50% Secured Redeemeable NCD.
Date of final redemption: 28/04/2005
INDIA PISTONS
11.5 NCD 28AP05 FV RS 100
100
Series-A8.Pass through certificates.
(Trustee: IDBI Trusteeship Services
INDIA STRUCTURED ASSET TRUST SR-XII-
ITSL
736270.46
Series-A9.Pass through certificates.
(Trustee: IDBI Trusteeship Services
INDIA STRUCTURED ASSET TRUST SR-XII-
ITSL
706690.09
15% UNSECURED COMPULSORY
CONVERTIBLE DEBENTURE. DATE OF
INDIABULLS ESTATE LIMITED 15 CCD
30NV13 FVRS1000
1000
15% UNSECURED OPTIONALLY
CONVERTIBLE DEBENTURE. DATE OF
INDIABULLS ESTATE LIMITED 15 OCD
30NV13 FVRS1000
1000
9.50% Secured Non-Convertible
Debenture. Letter of Allotment. Date
INDIABULLS HOUSING FINANCE LIMITED
9.5 LOA 01DC14 FVRS10LAC
1000000
10.50% SECURED REDEEMABLE NON
CONVERTIBLE DEBENTURES. LETTER OF
INDIABULLS HOUSING FINANCE LIMITED
10.5 LOA 26MY14 FVRS10LAC
1000000.000
15.00% Unsecured Optionally
Convertible Debenture .Date of
INDIABULLS PROPERTIES PVT LTD.
15 OCD 02SP09 FVRS1000
1000
15.00% Unsecured Optionally
Convertible Debenture .Date of
INDIABULLS PROPERTIES PVT LTD.
15 OCD 18JN10 FVRS1000
1000
15.00% Unsecured Optionally
Convertible Debenture .Date of
INDIABULLS PROPERTIES PVT LTD.
15 OCD 07MR10 FVRS1000
1000
15.00% Unsecured Optionally
Convertible Debenture .Date of
INDIABULLS REAL ESTATE COMPANY
PVT LTD.
1000
15.00% Unsecured Optionally
Convertible Debenture .Date of
INDIABULLS REAL ESTATE COMPANY
PVT LTD.
1000
15.00% Unsecured Optionally
Convertible Debenture .Date of
INDIABULLS REAL ESTATE COMPANY
PVT LTD.
1000
15.00% Unsecured Optionally
Convertible Debenture .Date of
INDIABULLS REAL ESTATE COMPANY
PVT LTD.
1000
12.25% Secured Non-Convertible
Debenture. Letter of Allotment. Date
INDIABULLS REAL ESTATE LIMITED
12.25 LOA 18FB14 FVRS10LAC
1000000
12.25% Secured Non-Convertible
Debenture. Letter of Allotment. Date
INDIABULLS REAL ESTATE LIMITED
12.25 LOA 21FB14 FVRS10LAC
1000000
10.60% Secured Redeemable NCD INDAL
10.6 NCD 22FB04
6.60% Secured Redeeemable Non
Convertible Debentures. Date of
INDAL
6.60 NCD 20NV07 FVRS2.64LAC
264000
10.45% Taxable Bonds in the form of
Promissory Notes, Series 33 C, Date of
IRFC TX SR-33C
10.45 BD 13SP04 FV RS 10 LAC
10,00,000
9.25% Taxable Bonds, 31st Series ,
Date of Maturity: 14.08.2006
IRFC TX SR-31
9.25 BD 14AG06 FV RS 10 LAC
10,00,000
5.99% Secured Redeemeable Bonds of
Promissory Notes. Series 47 STRPP G.
INDIAN RAILWAY FINANCE
CORPORATION
1,000,000.00
6.85% Taxable Non-cumulative Non-
convertible Bonds in the form of
INDIAN RAILWAY FINANCE
CORPORATION
1000000
5.99% Secured Redeemeable Bonds of
Promissory Notes. Series 47 STRPP H.
INDIAN RAILWAY FINANCE
CORPORATION
1,000,000.00
8.75% Secured Tax Free Bonds (Series
IX) Date of Maturity -15/12/2008
IREDA NTX SR-9
8.75 BD 15DC08 FV RS 1000
1000
6.00% Secured Tax Free Bonds (Series
X) in the nature of Debentures. Date
IREDA NTX SR-10
6 BD 17JN13 FV RS 1000
1000
5.50% Secured Tax Free Bonds (Series
XI) in the nature of Debentures.
IREDA
SR-11 5.5 BD22OT13 FVRS 1000
1,000.000
10.50% Secured Redeemable Non
Convertible Debentures. Letter of
INDO COUNT IND.
10.5 LOA 22NV11 FVRS1LAC
100000
14.00% Secured Non Convertible
Debenture. Date of Maturity :
IND-SWIFT LAB.
14 NCD 20MY13 FV RS 100
100
7.00% Unsecured Redeemable
Subordinated Bonds in the form of
INDUSIND BANK
OPT-2 7 LOA 30AP14 FVRS 10LAC
1,000,000.00
13.00% Secured Redeemable Non-
Convertible Bonds -2007 in the form of
IDBI SR-64
13 BD 07OT07 FV RS 1000
1000
11.50% Secured Redeemable Non-
Convertible Bonds -2008 in the form of
IDBI SR-49
11.5 BD 21JU08 FV RS 1000
1000
11.50% Secured Redeemable Non-
Convertible Bonds -2009 in the form of
IDBI SR-51
11.5 BD 17JN09 FV RS 1000
1000
11.50% Secured Redeemable Non-
Convertible Bonds -2009 in the form of
IDBI SR-52
11.5 BD 14MR09 FV RS 1000
1000
11.50% Secured Redeemable Non-
Convertible Bonds -2009 in the form of
IDBI SR-53
11.5 BD 14JU09 FV RS 1000
1000
11.50% Secured Redeemable Non-
Convertible Bonds -2009 in the form of
IDBI SR-54
11.5 BD 26SP09 FV RS 1000
1000
11.50% Secured Redeemable Non-
Convertible Bonds -2010 in the form of
IDBI SR-56
11.5 BD 14MR10 FV RS 1000
1000
11.50% Secured Redeemable Non-
Convertible Bonds -2010 in the form of
IDBI SR-57
11.5 BD 05JL10 FV RS 1000
1000
11.50% Secured Redeemable Non-
Convertible Bonds -2010 in the form of
IDBI SR-55
11.5 BD 09JN10 FV RS 1000
1000
11.50% Secured Redeemable Non-
Convertible Bonds -2011 in the form of
IDBI SR-60
11.5 BD 12AG11 FV RS 1000
1000
12.00% Secured Redeemable Non-
Convertible Bonds -2011 in the form of
IDBI SR-61
12 BD 16DC11 FV RS 1000
1000
12.00% Secured Redeemable Non-
Convertible Bonds -2012 in the form of
IDBI SR-62
12 BD 11MR12 FV RS 1000
1000
12.2 % Unsecured Subordinated
Bonds.( IDBI Omni Bonds Series I). Date
IDBI OMNI SR-I
12.2 BD 30JL02
1,00,000
12.25 % Unsecured Subordinated
Bonds.( IDBI Omni Bonds Series I). Date
IDBI OMNI SR-I
12.25 BD 17OT02
1,00,000
14.8 % Unsecured Subordinated
Bonds.( IDBI Omni Bonds Series I). Date
IDBI OMNI SR-I
14.8 BD 24FB03
1,00,000
14.75 % Unsecured Subordinated
Bonds.( IDBI Omni Bonds Series I). Date
IDBI OMNI SR-I
14.75 BD 19MR03
1,00,000
14.00% Unsecured Bonds.( IDBI Omni
Bonds Series I). Date of Maturity:
IDBI OMNI-1
14 BD 25MR03
1,00,000
14.00% Unsecured Bonds.( IDBI Omni
Bonds Series I). Date of Maturity:
IDBI OMNI-1
14 BD 27MR03
1,00,000
12.5% Unsecured Non Convertible
Omni Bonds Series 1.
IDBI OMNI-1
12.5 BD 02JL04 FV RS 1 LAC
100,000.00
Zero Coupon Unsecured Subordinated
Bonds.( IDBI Omni Bonds Series I). Date
IDBI OMNI SR-I
BD 04JL04 FV RS 1 LAC
76743.03
Zero coupon Unsecured Subordinated
Bonds.( IDBI Omni Bonds Series I). Date
IDBI OMNI SR-I
BD 05JL04 FV RS 1 LAC
76813.18
Zero Coupon Unsecured Subordinated
Bonds.( IDBI Omni Bonds Series I). Date
IDBI OMNI SR-I
BD 05JL04 FV RS 1 LAC
76743.03
10 % Unsecured Subordinated Bonds.(
IDBI Omni Bonds Series I). Date of
IDBI OMNI SR-I
10 BD 06JU04
1,00,000
9.4 % Unsecured Subordinated Bonds.(
IDBI Omni Bonds Series I). Date of
IDBI OMNI SR-I
9.4 BD 06JL04 FV RS 1 LAC
1,00,000
12.5% Unsecured Non Convertible
Omni Bonds.
IDBI OMNI-1
12.5 BD 06JL04 FV RS 1 LAC
100,000.00
9.6 % Unsecured Subordinated Bonds.(
IDBI Omni Bonds Series I). Date of
IDBI OMNI SR-I
9.6 BD 27JU04
1,00,000
12.7% Unsecured Non Convertible
Omni Bonds Series 1.
IDBI OMNI-1
12.7 BD 31JL04 FV RS 1 LAC
100,000.00
10.30% Unsecured Bonds (IDBI OMNI
Bonds Series-I)
IDBI OMNI-1
10.3 BD 08MY04
100000
12.4% Unsecured Non Convertible
Omni Bonds.
IDBI OMNI-1
12.4 BD 08JL04 FV RS 1 LAC
100,000.00
13.25% Unsecured Bonds.( IDBI Omni
Bonds Series I). Date of Maturity:
IDBI OMNI-1
13.25 BD 23SP04 FV RS 1 LAC
1,00,000
Zero Coupon Unsecured Subordinated
Bonds.( IDBI Omni Bonds Series I). Date
IDBI OMNI SR-I
BD 12JL04 FV RS 1 LAC
76953.86
12.90% Unsecured Bonds (IDBI OMNI
Bonds Series-I)
IDBI OMNI-1
12.9 BD 29DC04 FV RS 1 LAC
100,000.000
12.9% Unsecured Non Convertible
Omni Bonds.
IDBI OMNI-1
12.9 BD 02JN05 FV RS 1 LAC
100,000.00
10.7% Unsecured Bonds IDBI OMNI
Bonds Series-I
IDBI OMNI-1
10.7 BD 03AG05 FV RS 1 LAC
100000
14.75 % Unsecured Subordinated
Bonds.( IDBI Omni Bonds Series I). Date
IDBI OMNI SR-I
14.75 BD 18MR05 FV RS 1 LAC
1,00,000
Flexibonds-13 Issue (Series 2002-C),
Infrastructure Bonds Option A (Issued
IDBI FX-13 OPTA
9 IBD 30AP05 FV RS 5000
5000
Flexibonds-11, Infrastructure (Tax
Saving) Bond Option A
IDBI FX-11 OPTA
9 IBD 05FB05 FV RS 5000
5000
9.00% Unsecured Subordinated Bonds
(IDBI OMNI Bonds Series-I.OMNI-1-
IDBI OMNI-1
9 BD 05AG05 FV RS 1 LAC
1,00,000
9.25% Unsecured SubordinatedBonds
(IDBI OMNI Bonds Series-I.OMNI-1-
IDBI OMNI-1
9.25 BD 05AG05 FV RS 1 LAC
1,00,000
9.00% Unsecured Bonds (IDBI OMNI
Bonds Series-I.OMNI-1-2002.SEPT05-
IDBI OMNI-1
9 BD 05SP05 FV RS 1 LAC
1,00,000
8.75% Unsecured Bonds (IDBI OMNI
Bonds Series-I.Date of Maturity
IDBI OMNI-1
8.75 BD 05OT05 FV RS 1 LAC
1,00,000
9.00% Unsecured Bonds.( IDBI Omni
Bonds Sr. I- 2002-NOV05-03). Date of
IDBI OMNI-1
9 BD 05NV05 FV RS 1 LAC
1,00,000
8.25% Unsecured Bonds.( IDBI Omni
Bonds Sr. I- 2002-DEC05-03). Date of
IDBI OMNI-1
8.25 BD 05DC05 FV RS 1 LAC
1,00,000
10.6 % Unsecured OMNI bonds Series 1.
Date of maturity: 13.05.2005
IDBI LTD
SR1 10.6 BD 13MY05 FVRS1LAC
100000
10.7% Unsecured Non Convertible
Omni Bonds Series 1.
IDBI OMNI-1
10.7 BD 23MY05 FV RS 1 LAC
100,000.00
10.7% Unsecured Non Convertible
Omni Bonds Series 1.
IDBI OMNI-1
10.7 BD 19JU05 FV RS 1 LAC
100,000.00
11 % Unsecured Subordinated Bonds.(
IDBI Omni Bonds Tier II). Date of
IDBI OMNI S1-T2
11 BD 21JL05 FV RS 1 LAC
100000
10.7% Unsecured Non Convertible
Omni Bonds Series 1.
IDBI OMNI-1
10.7 BD 25JL05 FV RS 1 LAC
100,000.00
8.50% Unsecured Bonds.( IDBI Omni
Bonds Sr. I- 2002-NOV08-03). Date of
IDBI OMNI-1
8.5 BD 08NV05 FV RS 1 LAC
1,00,000
12% Unsecured Non Convertible Omni
Bonds Series 1.
IDBI OMNI-1
12 BD 14OT05 FV RS 1 LAC
100,000.00
14% Unsecured Non Convertible Omni
Bonds Series-1.
IDBI OMNI-1
14 BD 11NV05 FV RS 1 LAC
100,000.00
8.25% Flexibond-15 -Unsecured
Infrastructure (Tax Saving Bond) -
IDBI FX-15 OPTA
8.25 IFB 25NV05 FV RS 5000
5000
13.5 % Unsecured Subordinated
Bonds.( IDBI Omni Bonds Series I). Date
IDBI OMNI SR-I
13.5 BD 12JU05 FV RS 1 LAC
1,00,000
8.00% Flexibond-16 -Unsecured
Infrastructure (Tax Saving Bond) -
IDBI FX-16 OPTA
8 IFB 17JN06 FV RS 5000
5000
6.50% Unsecured Non Convertible
Omni Bonds.
IDBI OMNI-1
6.5 BD 02JL06 FV RS 1 LAC
100,000.000
10.75% Unsecured Bonds.( IDBI Omni
Bonds Series I).
IDBI OMNI-1
10.75 BD 03MY06 FV RS 1 LAC
100,000.000
6.75% Unsecured Bonds.( IDBI Omni
Bonds Sr.I-2003-MAR31-01) (with
IDBI OMNI-1
6.75 BD 31MR06 FV RS 1 LAC
100000
6.75% Unsecured Bonds.( IDBI Omni
Bonds Sr.I-2003-MAR31-03)
IDBI OMNI-1
6.75 BD 31MR06 FV RS 1 LAC
100000
7.00% Unsecured Bonds.( IDBI Omni
Bonds Sr.I-2003-MAR31 (R) -01)
IDBI OMNI 03 R1
7 BD 31MR06 FV RS 1 LAC
100000
7.25% Flexibond-17 -Unsecured
Infrastructure (Tax Saving Bond) -
IDBI FX-17 OPTA
7.25 IFB 04MR06 FV RS 5000
5000
Flexibond-17 -Unsecured Infrastructure
(Tax Saving Bond) - Option C -
IDBI FX-17 OPTC
IFB 04SP06 FV RS 6390
5000
5.50% Unsecured Bonds.( IDBI Omni
Bonds Series I-SEPT04-01). (put & Call
IDBI OMNI-1
5.5 BD 04SP06 FV RS 1 LAC
100,000.00
5.50% Unsecured Bonds.( IDBI Omni
Bonds Series I-SEPT04-02) (Put & Call
IDBI OMNI-1
5.5 BD 04SP06 FV RS 1 LAC
100,000.00
6.00% Unsecured Bonds.( IDBI Omni
Bonds Series I-SEPT04-03)
IDBI OMNI-1
6 BD 04SP06 FV RS 1 LAC
100,000.00
7.00% Flexibond-18 -Unsecured
Infrastructure (Tax Saving) Bonds -
IDBI FX-18 OPTA
7 IFB 25AP06 FV RS 5000
5000
7.25% Unsecured Bonds.( IDBI Omni
Bonds Series - I APRIL30-01. )
IDBI OMNI-1
7.25 BD 30AP06 FV RS 1 LAC
100,000.00
7.25% Unsecured Bonds.( IDBI Omni
Bonds Sr.I-2003-FEB05-01) Date of
IDBI OMNI SR-I
7.25 BD 05FB06 FV RS 1 LAC
1,00,000
7.50% Unsecured Bonds.( IDBI Omni
Bonds Sr.I-2003-FEB05-03) Date of
IDBI OMNI SR-I
7.5 BD 05FB06 FV RS 1 LAC
1,00,000
7.25% Unsecured Bonds.( IDBI Omni
Bonds Sr.I-2003-MAR05-01) (with
IDBI OMNI-1,
6.75 BD 05MR06 FV RS 1 LAC
100000
6.75% Unsecured Bonds.( IDBI Omni
Bonds Sr.I-2003-MAR05-03)
IDBI OMNI-1
6.75 BD 05MR06 FV RS 1 LAC
100000
7.00% Unsecured Bonds.( IDBI Omni
Bonds Sr.I-2003-JUNE05-02) .
IDBI OMNI-1
7 BD 05JU06 FV RS 1 LAC
100000
5.40% Unsecured Bonds (IDBI OMNI
Bonds Series-I NOV05-02)
IDBI OMNI-1
5.40 BD 05NV06 FV RS 1 LAC
100,000.000
5.90% Unsecured Bonds (IDBI OMNI
Bonds Series-I NOV05-03)
IDBI OMNI-1
5.90 BD 05NV06 FV RS 1 LAC
100,000.000
5.25% Unsecured Bonds.( IDBI Omni
Bonds Series I DEC 05-01).
IDBI OMNI-1
5.25 BD 05DC06 FV RS 1 LAC
100,000.000
5.40% Unsecured Bonds.( IDBI Omni
Bonds Series I Dec 05-02).
IDBI OMNI-1
5.4 BD 05DC06 FV RS 1 LAC
100,000.000
5.75% Unsecured Bonds.( IDBI Omni
Bonds Series I DEC 05-03).
IDBI OMNI-1
5.75 BD 05DC06 FV RS 1 LAC
100,000.000
Flexibond-15 -Unsecured Infrastructure
(Tax Saving Bond) - Option C - Section
IDBI FX-15 OPTC
IFB 25MY06 FV RS 6600
5000
10.15 % Unsecured Subordinated
Bonds.( IDBI Omni Bonds Series I). Date
IDBI OMNI SR-I
10.15 BD 06JU06 FV RS 1 LAC
1,00,000
5.25% Unsecured Bonds (IDBI OMNI
Bonds Series-I NOV06-01)
IDBI OMNI-1
5.25 BD 06NV06 FV RS 1 LAC
100,000.000
6.85% Unsecured Omni Bonds Series-1-
July-07-02.
IDBI OMNI SR-I
6.85 BD 07JL06 FV RS 1 LAC
100,000.00
Flexibond-16 -Unsecured Infrastructure
(Tax Saving Bond) - Option C - Section
IDBI FX-16 OPTC
IFB 17JL06 FV RS 6550
5000
6.75% Unsecured Omni Bonds Sr. 1/3. IDBI OMNI I-3
6.75 BD 23JL06 FV RS 1 LAC
100,000.00
12.75% Unsecured Non convertible
Bond Omni series 1. Date of Maturity:
IDBI OMNI
SR-1 12.75 BD 24JL06 FVRS1LAC
100000
12.4% Unsecured Non Convertible
Omni Bonds Series-1.
IDBI OMNI-1
12.4 BD 08SP06 FV RS 1 LAC
100,000.00
6.25% Unsecured Bonds. (IDBI OMNI
Bonds Series-1-AUG18-02 ).
IDBI OMNI-1
6.25 BD 18AG06 FV RS 1 LAC
100,000.00
12.5% Unsecured Non Convertible
Omni Bonds Series-1.
IDBI OMNI-1
12.5 BD 26AG06 FV RS 1 LAC
100,000.00
12.6 % Unsecured Subordinated
Bonds.( IDBI Omni Bonds Series I). Date
IDBI OMNI SR-I
12.6 BD 30AG06 FV RS 1 LAC
1,00,000
12.5 % Unsecured OMNI bonds Series
1. Date of maturity: 30.08.2006
IDBI OMNI
SR1 12.5 BD 30AG06 FVRS1LAC
100000
5.50% Unsecured Bonds (IDBI OMNI
Bonds Series-I-OCT09-01). Put &
IDBI OMNI-1
5.4 BD 09OT06 FV RS 1 LAC
100,000.000
5.40% Unsecured Bonds (IDBI OMNI
Bonds Series-I-OCT09-02). Put &
IDBI OMNI-1
5.4 BD 09OT06 FV RS 1 LAC
100,000.000
5.90% Unsecured Bonds (IDBI OMNI
Bonds Series-I-OCT09-03).
IDBI OMNI-1
5.9 BD 09OT06 FV RS 1 LAC
100,000.000
5.40% Unsecured Bonds (IDBI OMNI
Bonds Series-I-SEP22-01). Put/call
IDBI OMNI-1
5.4 BD 22SP06 FV RS 1 LAC
100,000.00
5.40% Unsecured Bonds (IDBI OMNI
Bonds Series-I-SEP22-02). Put/call
IDBI OMNI-1
5.4 BD 22SP06 FV RS 1 LAC
100,000.00
12.35% Unsecured Non Convertible
Omni Bonds Series 1.
IDBI OMNI-1
12.35 BD 25SP06 FV RS 1 LAC
100,000.00
7.00% Unsecured Bonds.( IDBI Omni
Bonds Sr.I-2003-FEB10-01) Date of
IDBI OMNI -1
7 BD 10FB06 FV RS 1 LAC
1,00,000
Flexibond-18 -Unsecured Infrastructure
(Tax Saving) Bonds - Option C - issued
IDBI FX-18 OPTC
IFB 25OT06 FV RS 6350
5000
12.75% Unsecured Non Convertible
Omni Bonds Series-1.
IDBI OMNI-1
12.75 BD 12MY06 FV RS 1 LAC
100,000.00
9.75% Unsecured Bonds.( IDBI Omni
Bonds Series-1) Date of
IDBI SR-1
9.75 BD 12DC06 FV RS 1 LAC
1,00,000
9.75% Unsecured Bonds IDBI OMNI
Bonds Series-I
IDBI OMNI-1
9.75 BD 14DC06 FV RS 1 LAC
100000
5.75% Unsecured Non Convertible
Omni Bonds 2003D- Option A.
IDBI OMNI
2003D OPT-A 5.75 BD 15DC06 FV RS
1,000.000
11.90% Unsecured Bonds.( IDBI Omni
Bonds Sr-1 )
IDBI OMNI-1
11.9 BD 23DC06 FV RS 1 LAC
100000
Flexibonds-21 5.50% Unsecured
Infrastructure (Tax Saving) Bonds -
IDBI
FX-21 OPT-A IFB 5.5 20AP07 FV RS 5000
5,000.00
Flexibonds-13 Issue (Series 2002-C),
Infrastructure Bonds Option B (Issued
IDBI FX-13
OPTB
5000
Flexibonds-11, Money Multiplier Bond
Option A
IDBI FX-11 OPTA
DDB MMB 05AP07 FV RS 8000
5000
5.50% Unsecured Infrastructure (Tax
Saving) Bonds - Option A - issued in the
IDBI
FX-20 OPTA IFB 5.5 05MR07 FV RS 5000
5,000.000
Unsecured Infrastructure (Tax Saving)
Bonds - Option C - issued in the form
IDBI
FX-20 OPTC IFB 05SP07 FV RS 6030
5,000.000
9.25% Unsecured Bonds.( IDBI Omni
Bonds Sr. I- 2002-NOV05-05). Date of
IDBI OMNI-1
9.25 BD 05NV07 FV RS 1 LAC
1,00,000
8.75% Unsecured Bonds.( IDBI Omni
Bonds Sr. I- 2002-DEC05-05). Date of
IDBI OMNI-1
8.75 BD 05DC07 FV RS 1 LAC
1,00,000
Unsecured Non Convertible Omni
Bonds 2003D- Option C.
IDBI OMNI
2003D OPT-C BD15JU07 FV RS 1000
1,000.000
9% Unsecured Non Convertible Omni
Bonds Series 1.
IDBI OMNI-1
9 BD 07AP07 FV RS 1 LAC
100,000.00
9.00% Unsecured Bonds.( IDBI Omni
Bonds Sr. I- 2002-NOV08-05). Date of
IDBI OMNI-1
9 BD 08NV07 FV RS 1 LAC
1,00,000
12% Unsecured Bonds IDBI OMNI Bonds
Series-I
IDBI OMNI-1
12 BD 10JN07 FV RS 1 LAC
100000
Flexibonds-21 Unsecured
Infrastructure (Tax Saving) Bonds -
IDBI
FX-21 OPT-C IFB 20OT07 FV RS 6030
5,000.00
12% Unsecured Non Convertible Omni
Bonds Series 1.
IDBI OMNI-1
12 BD 15NV07 FV RS 1 LAC
100,000.00
9.40% Flexibonds-15 Unsecured
Regular Income Bonds Option-A (issued
IDBI FX-15 OPTA
9.4 RIB 25NV07 FV RS 5000
5000
5.75% Flexibond-19 -Unsecured
Infrastructure (Tax Saving) Bonds -
IDBI
FX-19 5.75 IFB/A 12JN07 FV RS 5000
5,000.000
Flexibond-19 -Unsecured Infrastructure
(Tax Saving) Bonds - Option C - issued
IDBI
FX-19 IFB/C 12JL07 FV RS 6080
5,000.000
9.50% Felxibonds-14
UnsecuredRegular Income Bonds
IDBI FX-14 OPTA
9.5 RIB 12SP07 FV RS 5000
5000
8.25% Flexibond-16 -Unsecured
Infrastructure (Tax Saving Bond) -
IDBI FX-16 OPTB
8.25 IFB 17JN08 FV RS 5000
5000
Flexibond-16 -Unsecured Infrastructure
(Tax Saving Bond) - Option D - Section
IDBI FX-16 OPTD
IFB 17JN08 FV RS 7450
5000
Flexibonds-22 Issue (Series 2005 A).
Infrastructure (Tax Saving ) Bond
IDBI LTD
FX-22 IFB OPTA 5.5 BD 25FB08 FVRS
5000
7.60% Unsecured Bonds.( IDBI Omni
Bonds Series - I. )
IDBI OMNI-1
7.6 BD 24MR08 FV RS 1 LAC
100,000.00
7.00% Unsecured Bonds.( IDBI Omni
Bonds Sr.I-2003-MAR31-05)
IDBI OMNI-1
7 BD 31MR08 FV RS 1 LAC
100000
7.50% Flexibond-17 -Unsecured
Infrastructure (Tax Saving Bond) -
IDBI FX-17 OPTB
7.5 IFB 04MR08 FV RS 5000
5000
11% Unsecured Non Convertible Omni
Bonds Series 1.
IDBI OMNI-1
11 BD 04MY08 FV RS 1 LAC
100,000.00
Flexibond-17 -Unsecured Infrastructure
(Tax Saving Bond) - Option D - Section
IDBI FX-17 OPTD
IFB 04SP08 FV RS 7450
5000
6.25% Unsecured Bonds.( IDBI Omni
Bonds Series I-SEPT04-05)
IDBI OMNI-1
6.25 BD 04SP08 FV RS 1 LAC
100,000.00
10.25 % Unsecured Subordinated
Bonds.( IDBI Omni Bonds Series I). Date
IDBI OMNI SR-I
10.25 BD 04OT08 FV RS 1 LAC
1,00,000
7.25% Flexibond-18 -Unsecured
Infrastructure (Tax Saving) Bonds -
IDBI FX-18 OPTB
7.25 IFB 25AP08 FV RS 5000
5000
7.00% Unsecured Bonds.( IDBI Omni
Bonds Sr.I-2003-MAR05-05)
IDBI OMNI-1
7 BD 05MR08 FV RS 1 LAC
100000
6.75% Unsecured Bonds. (IDBI OMNI
Bonds Series-1-AUG05-05 ).
IDBI OMNI-1
6.75 BD 05AG08 FV RS 1 LAC
100,000.00
10.6% Unsecured Non Convertible
Omni Bonds Series-1.
IDBI OMNI-1
10.6 BD 15JU08 FV RS 1 LAC
100,000.00
11% Unsecured Non Convertible Omni
Bonds Series 1.
IDBI OMNI-1
11 BD 07JU08 FV RS 1 LAC
100,000.00
7.50% Unsecured Omni Bonds Series-1-
July-07-05.
IDBI OMNI SR-I
7.5 BD 07JL08 FV RS 1 LAC
100,000.00
Flexibonds-22 Issue (Series 2005 A).
Infrastructure (Tax Saving ) Bond
IDBI LTD
FX-22 IFB OPTD BD 25AG08 FVRS 5000
5000
10.5% Unsecured Non Convertible
Redeemable omni bonds.Series I
IDBI OMNI-1
10.5 BD 09AP08 FV RS 1 LAC
100,000.00
7.00% Unsecured Omni Bonds Series-1-
July-09-05.
IDBI OMNI SR-I
7 BD 09JL08 FV RS 1 LAC
100,000.00
6.15% Unsecured Bonds (IDBI OMNI
Bonds Series-I-OCT09-05).
IDBI OMNI-1
6.15 BD 09OT08 FV RS 1 LAC
100,000.000
Flexibond-18 -Unsecured Infrastructure
(Tax Saving) Bonds - Option D - issued
IDBI FX-18 OPTD
IFB 25OT08 FV RS 7350
5000
8.50% Flexibond-15 -Unsecured
Infrastructure (Tax Saving Bond) -
IDBI FX-15 OPTB
8.5 IFB 25NV08 FV RS 5000
5000
7.50% Unsecured Bonds.( IDBI Omni
Bonds Sr.I-2003-FEB12-05) Date of
IDBI OMNI-I
7.5 BD 12FB08 FV RS 1 LAC
1,00,000
Flexibonds-12 Issue (Series 2002-B),
Infrastructure (Tax Saving) Bond
IDBI FX-12 OPTB
9.75 IBD 15MR09 FV RS 5000
5000
Flexibonds-12 Issue (Series 2002-B),
Infrastructure (Tax Saving) Bond
IDBI FX-12 OPTD
IBD 15MR09 FV RS 9600
5000
Flexibonds-21 5.65% Unsecured
Infrastructure (Tax Saving) Bonds -
IDBI
FX-21 OPT-B IFB 5.65 20AP09 FV RS
5,000.00
Flexibonds-21 Unsecured
Infrastructure (Tax Saving) Bonds -
IDBI
FX-21 OPT-D IFB 20AP09 FV RS 6580
5,000.00
Flexibonds-13 Issue (Series 2002 C),
Regular Income Bond Option A, (Issued
IDBI FX-13 OPTA
9.75 RIB 30AP09 FV RS 5000
5000
Flexibonds-11, Regular Income Bond
Option A
IDBI FX-11 OPTA
10 RIB 05FB09 FV RS 5000
5000
Flexibonds-11, Infrastructure (Tax
Saving) Bond Option C
IDBI FX-11 OPTC
9.6 IBD 05FB09 FV RS 5000
5000
5.75% -Unsecured Infrastructure (Tax
Saving) Bonds - Option B - issued in the
IDBI
FX-20 OPTB 5.75 IFB 05MR09 FV RS
5,000.000
Unsecured Infrastructure (Tax Saving)
Bonds - Option D - issued in the form
IDBI
FX-20 OPTD IFB 05MR09 FV RS 6615
5,000.000
9.00% Unsecured Bonds.( IDBI Omni
Bonds Sr. I- 2002-DEC05-07). Date of
IDBI OMNI-1
9 BD 05DC09 FV RS 1 LAC
1,00,000
9.65% Unsecured Non Convertible
Omni Bonds.
IDBI OMNI-1
9.65 BD 14MY09 FV RS 1 LAC
100,000.00
10% Unsecured Non Convertible Omni
Bonds Series 1.
IDBI OMNI-1
10 BD 20JU09 FV RS 1 LAC
100,000.00
10% Unsecured Bonds.( IDBI Omni
Bonds Series I).
IDBI OMNI-1
10 BD 17JL09 FV RS 1 LAC
100,000.000
9.25% Unsecured Bonds.( IDBI Omni
Bonds Sr. I- 2002-NOV08-07). Date of
IDBI OMNI-1
9.25 BD 08NV09 FV RS 1 LAC
1,00,000
8.75% Unsecured Bonds.( IDBI Omni
Bonds Sr. I- 2002-DEC09-07). Date of
IDBI OMNI-1
8.75 BD 09DC09 FV RS 1 LAC
1,00,000
10% Unsecured Non Convertible Omni
Bonds Series 1.
IDBI OMNI-1
10 BD 11AG09 FV RS 1 LAC
100,000.00
Flexibond-19 -Unsecured Infrastructure
(Tax Saving) Bonds - Option D - issued
IDBI
FX-19 IFB/D 12JN09 FV RS 6700
5,000.000
9.75% Felxibonds-14 Unsecured
Regular Income Bonds Option-D (issued
IDBI FX-14 OPTD
9.75 RIB 12SP09 FV RS 5000
5000
8.71% Omni Bonds -2003/A Retirement
Bonds Option-A.
IDBI OMNI-2003A
8.71 BD 19FB10 FV RS 5000
5000
Flexibonds-22 Issue (Series 2005 A).
Infrastructure (Tax Saving ) Bond
IDBI LTD
FX-22 IFB OPTB 5.75 BD 25FB10 FVRS
5000
7.25% Unsecured Bonds.( IDBI Omni
Bonds Sr.I-2003-MAR31-07)
IDBI OMNI-1
7.25 BD 31MR10 FV RS 1 LAC
100000
7.75% Flexibond-17 -Unsecured Regular
Income Bonds - Option A - issued in the
IDBI FX-17 OPTA
7.75 RIB 04MR10 FV RS 5000
5000
5.80% Unsecured Non convertible
bonds in nature of promissory notes.
IDBI LTD
OPTA 5.8 LOA 20AP10 FVRS5000
5000
5.80% (YTM) Unsecured Non
convertible bonds in nature of
IDBI LTD
OPTB 5.8 LOA 20AP10 FVRS5000
5000
7.40% Flexibond-18 -Unsecured Regular
Income Bonds - Option A - issued in the
IDBI FX-18 OPTA
7.4 RIB 25AP10 FV RS 5000
5000
7.00% Unsecured Bonds. (IDBI OMNI
Bonds Series-1-AUG05-07 ).
IDBI OMNI-1
7 BD 05AG10 FV RS 1 LAC
100,000.00
Flexibonds-15 Unsecured Money
Multiplier Bonds Option-B(issued in the
IDBI FX-15 OPTB
MMB 25MY10 FV RS 10000
5000
7.00% Unsecured Bonds. (IDBI OMNI
Bonds Series-1-AUG18-07 ).
IDBI OMNI-1
7 BD 18AG10 FV RS 1 LAC
100,000.00
Felxibonds-14 Unsecured Money
Multiplier Bonds Option-B(issued in the
IDBI FX-14 OPTB
MMB 12FB10 FV RS 10000
5000
5.80% Unsecured Regular Income Bonds
- Option B - issued in the form of
IDBI
FX-21 OPTB 5.8 RIB 20AP11 FV RS 5000
5,000.00
7.00% Unsecured Bonds.( IDBI Omni
Bonds 2004 J RRB-II )
IDBI OMNI
04-J 7 RRB-1 29SP11 FVRS 10LAC
1000000
11.00% Unsecured non convertible
bonds. Omni series 1 . Tier II . Date of
IDBI OMNI
SR1 TR-2 11 BD 24NV11 FVRS1LAC
100000
11% Unsecured Non Convertible
Redeemable Omni bonds. Series I
IDBI OMNI-1
11 BD 12DC11 FV RS 1 LAC
100,000.00
10.15% Unsecured Non Convertible
Omni Bonds.
IDBI OMNI-1
10.15 BD 01JL12 FV RS 1 LAC
100,000.00
Flexibonds-22 Issue (Series 2005 A).
Infrastructure (Tax Saving ) Bond
IDBI LTD
FX-22 IFB OPTC 6 BD 25FB12 FVRS 5000
5000
Flexibonds-12 Issue (Series 2002-B),
Regular Income Bond Option D
IDBI FX-12 OPTD
9.75 RIB 15MR12 FV RS 5000
5000
Flexibonds-12 Issue (Series 2002-B),
Retirement Bond Option B
IDBI FX-12 OPTB
RTB 15MR12 FV RS 5000
5000
7.10 % Unsecured IDBI Omni Bonds
2004S-RRB-1 .Date of Maturity:
IDBI LTD
OMNI 2004S/RRB-1 7.1 BD 04JN12 FVRS
1000000
Flexibonds-11, Regular Income Bond
Option C
IDBI FX-11 OPTC
10.5 RIB 05FB12 FV RS 5000
5000
Flexibonds-11, Regular Income Bond
Option D
IDBI FX-11 OPTD
10 RIB 05FB12 FV RS 5000
5000
7.15 % Unsecured IDBI Omni Bonds Tier
II- Series VI. Date of Maturity:
IDBI OMNI
SR-4 7.15 BD 13MY12 FVRS10LAC
1000000
9.50% Unsecured Bonds.( IDBI Omni
Bonds Sr. I- 2002-NOV08-10). Date of
IDBI OMNI-1
9.5 BD 08NV12 FV RS 1 LAC
1,00,000
9.01% Omni Bonds -2003/A Retirement
Bonds Option-B.
IDBI OMNI-2003A
9.01 BD 19FB13 FV RS 5000
5000
7.50% Unsecured Bonds.( IDBI Omni
Bonds Sr.I-2003-MAR31-10)
IDBI OMNI-1
7.5 BD 31MR13 FV RS 1 LAC
100000
7.25% Unsecured Bonds. (IDBI OMNI
Bonds Series-1-AUG05-10 ).
IDBI OMNI-1
7.25 BD 05AG13 FV RS 1 LAC
100,000.00
8.00% Unsecured Bonds.( IDBI Omni
Bonds Sr.I-2003-FEB10-10) Date of
IDBI OMNI -1
8 BD 10FB13 FV RS 1 LAC
1,00,000
IDBI Regular Income Bond Flexi 5
(Option A -annual interest payment)
IDBI FX-5 RI
OPT-A BD 11FB06
5000
IDBI Regular Income Bond Flexi 5
(Option B -semi-annual interest
IDBI FX-5 RI
OPT-B BD 11FB06
5000
IDBI Infrastructure (Tax Saving) Bond -
Flexibond 8 Option B - Section 88
IDBI FX-8 SEC88 OPTB 27MR03 5000
IDBI Infrastructure (Tax Saving) Bond
(2001B) Flexibond 10 (Option A-
IDBI FX-10 SEC88
10.5 OPTA 30MR04
5000
IDBI Infrastructure (Tax Saving Bond) -
Flexibond 9 Option B (Cumulative
IDBI FX-9 SEC88
OPTB 05MY04
5000
IDBI Infrastructure (Tax Saving) Bond
(2001B) Flexibond 10 (Option B-
IDBI FX-10 SEC88
OPTB 30JL04 FV RS 7000
5000
IDBI Regular Income Bond Flexi 7
(Option A - annual interest payment)
IDBI FX-7 RI
OPT-A BD 11SP04
5000
IDBI Regular Income Bond Flexi 9
(Option A - Annual Interest Payment)
IDBI FX-9 RI
11.5 OPTA 05JN06
5000
IDBI Regular Income Bond (2001B)
Flexibond 10 (Option A Annual
IDBI FX-10 RI
11 OPTA 30MR06
5000
IDBI Regular Income Bond Flexi-6
(Option A - annual interest payment)
IDBI FX-6 RI 14 OPT-A 05AP06 FV RS
5000
5000
IDBI Money Multiplier Bond Flexi 9
(Deep Discount Bond)
IDBI FX-9
DDB MMB 05MY07
5000
IDBI Money Multiplier Bond (2001B)
(Deep Discount Bond) Flexibond 10
IDBI FX-10
DDB MMB 30OT07
5000
IDBI Retirement Bond Flexi 7(wait
period of 5 years Option C)
IDBI FX-7 RT
OPT-C BD 11SP13 FV RS 5000
5000
11.8 % Unsecured Non Convertible IDBI
Omni Bond Series -I. Date of Maturity:
IDBI OMNI
SR-1 11.8 BD 01NV05 FVRS1LAC
100000
14% Unsecured Non Convertible IDBI
Omni Bonds. Series -1. Date of
IDBI OMNI
SR-1 14 BD 23OT05 FVRS1LAC
100000
14.00 % Unsecured Non Convertible
Omni Bonds Series 1. Date of Maturity:
IDBI OMNI
SR-1 14 BD 29JN06 FVRS1LAC
100000
10.75% Unsecured Non Convertible
Omni Bonds-Series-1 Date of Maturity
IDBI OMNI
SR-1 10.75 BD 17MY06 FVRS1LAC
100000
12.50 % Unsecured Bonds.( IDBI Omni
Bonds Series I). Date of Maturity:
IDBI LTD
OMNI SR1 12.5 BD 18JU06 FV RS 1 LAC
100000
6.75 % Unsecured OMNI bonds Series
1. Date of maturity: 15.07.2006
IDBI OMNI
SR-1 6.75 BD 15JL06 FVRS1LAC
100000
12.65% Unsecured Bonds.( IDBI Omni
Bonds Series I). Date of Maturity:
IDBI LTD
OMNI SR1 12.65 BD 26JL06 FV RS 1 LAC
100000
14% Unsecured Non Convertible Omni
Bonds-Series-1 Date of Maturity
IDBI OMNI
SR-1 14 BD 09AP06 FVRS1LAC
100000
12.75 % Unsecured OMNI Bond Series
1. Date of Maturity 12.06.2006
IDBI OMNI
SR1 12.75 BD 12JN06 FVRS1LAC
100000
12.25 % Unsecured Non Convertible
IDBI Omni Bonds. Series -1. Date of
IDBI OMNI
SR-1 12.25 BD 12NV06 FVRS1LAC
100000
12% Unsecured IDBI Omni Bond Series
I. Date of Maturity: 24/12/2006
IDBI OMNI
SR-1 12 BD 24DC06 FVRS1LAC
100000
11.90% Unsecured IDBI Omni Bond
Series I. Date of Maturity: 20/01/2007
IDBI OMNI
SR-I 11.9 BD 20JN07 FVRS1LAC
100000
11.00% Unsecured Non Convertible
OMNI bonds Series I. Date of maturity:
IDBI LTD
11 BD 18MY08 FVRS1LAC
100000
11 % Unsecured OMNI Bond Series 1.
Date of Maturity 26.05.2008
IDBI OMNI
SR1 11 BD 26MY08 FVRS1LAC
100000
10.60 % Unsecured OMNI bonds Series
1. Date of maturity: 08/06/2008
IDBI OMNI
10.6 BD 08JU08 FVRS1LAC
100000
10.25% Unsecured OMNI bonds Series -
I.Date of maturity: 20/08/2008
IDBI LTD
10.25 BD 20AG08 FVRS1LAC
100000
11 % Unsecured Non Convertible IDBI
Omni Bonds. Series -1. Date of
IDBI OMNI
SR-1 11 BD 27NV08 FVRS1LAC
100000
10 % Unsecured IDBI Omni Bond Series
I. Date of Maturity: 13/07/2009
IDBI OMNI
SR-1 10 BD 13JL09 FVRS1LAC
100000
6.75% Unsecured Non Convertible OMNI
bonds Series I. Date of maturity:
IDBI LTD
6.75 BD 25AG10 FVRS1LAC
100000
7.15% Unsecured IDBI OMNI Bond - Tier-
II -2005 . Series -IX RRB I. Date of
IDBI OMNI
SR- 9 RRB1 7.15 BD 27AP11 FVRS10LAC
1000000
11.00% Unsecured IDBI Omni Bonds
Series-1. Date of Maturity: 27.11.2011
IDBI OMNI
SR-1 11 BD 27NV11 FVRS1LAC
100000
10.75% Unsecured Non Convertible
OMNI bonds Series I. Date of maturity:
IDBI LTD
10.75 BD 04FB12 FVRS1LAC
100000
7.30 % Unsecured non convertible IDBI
OMNI Bond Tier II-2005. series VIII- RRB
IDBI LTD
SR-8/2/05 RRB1 7.3 BD 20JL12
1000000
7.50 % Unsecured Non Convertible IDBI
Omni Bond 2005/U RRB-II. Date of
IDBI OMNI
05/U RRB-II 7.5 BD 28NV12 FVRS10LAC
1000000
8.70 % Unsecured Omni Bond -2006
Series - XI. Date of maturity:
IDBI OMNI
8.7 BD 30AG13 FVRS1LAC
1000000
9.50% Unsecured Non-Convertible
Bonds (IIBI USB April 2002) Letter of
IIBI USB AP-02
9.5 LOA 01MY07 FV RS 1 LAC
1,00,000
9.30% Unsecured Non-Convertible
Bonds (IIBI USB October 2002). Date of
IIBI USB OT-02
9.3 BD 01NV07 FV RS 1 LAC
1,00,000
10.10% Unsecured Non-Convertible
Bonds (IIBI USB July 2002) Letter of
IIBI USB JL-02
10.1 LOA 01AG09 FV RS 1 LAC
1,00,000
10.20% Unsecured Non-Convertible
Bonds (IIBI USB July 2002) Letter of
IIBI USB JL-02
10.2 LOA 01AG09 FV RS 1 LAC
1,00,000
10.10% Unsecured Non-Convertible
Bonds (IIBI USB August 2002) Letter of
IIBI USB AG-02
10.1 LOA 01SP09 FV RS 1 LAC
1,00,000
9.60% Unsecured Non-Convertible
Bonds (IIBI USB October 2002). Date of
IIBI USB OT-02
9.6 BD 01NV09 FV RS 1 LAC
1,00,000
10.20% Unsecured Non-Convertible
Bonds (IIBI USB August 2002) Letter of
IIBI USB AG-02
10.2 LOA 01SP12 FV RS 1 LAC
1,00,000
9.80% Unsecured Non-Convertible
Bonds (IIBI USB September 2002). Date
IIBI USB SP-02
9.8 LOA 01OT12 FV RS 1 LAC
1,00,000
10.20% Unsecured Non-Convertible
Bonds (IIBI USB April 2002). Date of
IIBI USB AP-02
10.2 BD 01MY14 FV RS 1 LAC
1,00,000
Reset rate Multi-Option Bonds (IIBI
MOB-IV, Option -D Step Up Bond), Date
IIBI MOB-4 OP-D
RR BD 01AG02
1,00,000
12.10% Unsecured Non Convertible
Bonds (IIBI UNS W - S-II), Date of
IIBI UNS W-S2 12.1 BD 01JN03 Rs.1,00,000
13.50% Unsecured Non Convertible
Bonds (IIBI UNS-P), Date of Maturity: 1-
IIBI UNS P
13.5 BD 01JL03
1,00,000
12.00% Unsecured Non Convertible
Bonds(IIBI USB September 2000).
IIBI USB-SP00
12 LOA 01OT03
1,00,000
14.50% Unsecured Non Convertible
Bonds (IIBI UNS-M), Date of Maturity:
IIBI UNS M
14.5 BD 30MR03
1,00,000
8.85% Unsecured Non-Convertible
Bonds (IIBI/USB/Sept., 2001) Dt. of
IIBI USB SP-01
8.85 BD 01OT04 FV RS 1 LAC
1,00,000
12.50% Unsecured Non Convertible
Bonds (IIBI UNS W - H-II), Date of
IIBI UNS W-H2 12.5 BD 01OT04 FV RS
1 LAC
Rs.1,00,000
10.90% Unsecured Non Convertible
Bonds (IIBI USB MARCH 2001), Date of
IIBI USB MR-01
10.9 BD 31MR04
1,00,000
10.70% Unsecured Non Convertible
Bonds (IIBI USB MARCH 2001), Date of
IIBI USB MR-01
10.7 BD 31MR04
1,00,000
8.85% Unsecured Non-Convertible
Bonds (IIBI/USB/ Dec., 2001) Dt. of
IIBI USB-DEC01
8.85 BD 01JN05 FV RS 1 LAC
1,00,000
12.00% Unsecured Non Convertible
Bonds (IIBI UNS W - x), Date of
IIBI UNS W-X 1 12 BD 01MR05 FV RS 1
LAC
1,00,000
11.50% Unsecured Non Convertible
Bonds(IIBI USB April 2000). Letter of
IIBI USB-AP00
11.5 LOA 01MY05 FV RS 1 LAC
1,00,000
12.10% Unsecured Non Convertible
Bonds (IIBI UNS W - XB-II), Date of
IIBI UNS W-XB2 12.1 BD 01MY05 FV RS
1 LAC
Rs.1,00,000
14.00% Multi-Option Bonds (IIBI MOB-
IV, Option C), Date of Maturity: 1-Oct-
IIBI MOB-4 OP-C
14 BD 01OT05 FV RS 1 LAC
1,00,000
13.25% Unsecured Non Convertible
Bonds (IIBI USB-U Option P), Date of
IIBI USB-U OP-P 13.25 BD 01MY06 FV
RS 1 LAC
1,00,000
13.00% Multi Option Bonds IIBI/MOB VI
(C) Option G Date of Maturity:
IIBI MOB-6 OP-G
13 BD 01JL06 FV RS 1 LAC
1,00,000
12.50% Unsecured Non Convertible
Bonds (IIBI UNS W - B-II), Date of
IIBI UNS W-B2 12.5 BD 01AG06 FV RS 1
LAC
Rs.1,00,000
7.30% Unsecured Non Convertible
Bonds(IIBI USB July 2003).
IIBI USB JL-03
7.3 BD 01AG06 FV RS 1 LAC
100,000.000
12.40% Unsecured Non Convertible
Bonds (IIBI UNS W - G), Date of
IIBI UNS W-G 1 12.4 BD 01OT06 FV RS
1 LAC
Rs.1,00,000
7.30% Unsecured Non Convertible
Bonds(IIBI USB September 2003).
IIBI
USB-SP 03 7.3 BD 01OT06 FV RS 1 LAC
100,000.000
12.70% Unsecured Non Convertible
Bonds (IIBI UNS W - P), Date of
IIBI UNS W-P 12.7 BD 01DC06 FV RS 1
LAC
Rs.1,00,000
12.60% Unsecured Non Convertible
Bonds (IIBI UNS W - Q-II), Date of
IIBI UNS W-Q2 12.6 BD 01JN07 FV RS 1
LAC
Rs.1,00,000
12.40% Unsecured Non Convertible
Bonds (IIBI UNS W - w), Date of
IIBI UNS W-W 1 12.4 BD 01MR07 FV RS
1 LAC
1,00,000
12.25% Unsecured Non Convertible
Bonds (IIBI UNS Z - A-I), Date of
IIBI UNS Z-A1 12.25 BD 01AP07 FV RS 1
LAC
Rs.1,00,000
12.40% Unsecured Non Convertible
Bonds (IIBI USB May 2000 Option D.,
IIBI USB MY00-D
12.4 BD 01JU07 FV RS 1 LAC
1,00,000
7.75% Unsecured Non Convertible
Bonds(IIBI USB May 2003).
IIBI USB MY-03
7.75 BD 01JU08 FV RS 1 LAC
100,000.00
7.60% Unsecured Bond. IIBI USB AG-03
7.6 BD 01SP08 FV RS 1 LAC
100,000.000
7.10% Unsecured Non Convertible
Bonds(IIBI USB September 2003)
IIBI
USB SP-03 7.1 BD 01OT08 FV RS 1 LAC
100,000.000
9.90% Unsecured Non-Convertible
Bonds (IIBI/USB/ March., 2002) Dt. of
IIBI USB MR-02
9.9 BD 31MR08 FV RS 1 LAC
1,00,000
14.35% Unsecured Non Convertible
Bonds (IIBI USB-U Option K), Date of
IIBI USB-U OP-K 14.35 BD 31MR09 FV
RS 1 LAC
1,00,000
12.40% Unsecured Non Convertible
Bonds (IIBI UNS Z - C), Date of
IIBI UNS Z-C 12.4 BD 31MR10 FV RS 1
LAC
Rs.1,00,000
11.30% Unsecured Non Convertible
Bonds(Tier II) (IIBI/USB/APRIL 2001),
IIBI USB AP-01
11.3 BD 01MY11 FV RS 1 LAC
1,00,000
10.25% Unsecured Non Convertible
Bonds (IIBI USB December 2001) . Date
IIBI USB-DEC01
10.25 LOA 01JN12 FV RS 1 LAC
1,00,000
12.00% Unsecured Non Convertible
Bonds (IIBI UNS FEB. 2001), Date of
IIBI UNS FB-01
12 BD 01MR12 FV RS 1 LAC
1,00,000
8.75% Unsecured Bonds USB 2003 IIBI USB-AP03
8.75 BD 01MY13 FV RS 1 LAC
100,000.00
8.20% Unsecured Bond. IIBI USB AG-03
8.2 BD 01SP13 FV RS 1 LAC
100,000.000
10.40% Unsecured Non-Convertible
Bonds (IIBI USB August 2002) Letter of
IIBI USB-AUG02
10.4 LOA 01SP14 FV RS 1 LAC
1,00,000
8.90% Secured Non Convertible
Debentures,Series 2002-II
ILFS 2002 SR-2
8.9 NCD 22AG05 FV RS 1000
1,000.00
7.1% Secured Redeemable NCD. Sr.
2002-XI
ILFS 2002 SR-11
7.1 NCD 07MY13 FV RS 1000
1,000.00
6.50% Secured Non Convertible
Debentures,Series 2001-IX-A.
ILFS 2001 SR-9A
6.5 NCD 07JL13 FV RS 1000
1,000.00
6.30 % Secured Non Convertible
Debentures. Series 2001- IX-A. Date of
IL & FS LIMITED
6.3 NCD 17JL13 FVRS1000
1000
10.50 % Secured Non Convertible
Debentures.Letter of Allotment Series
IL & FS LIMITED
10.5 LOA 30MR14 FVRS1000
1000
15.50% Secured Redeemable Non-
Convertible Debentures.Date of
INSTANT TRADING
15.5 NCD 15AP05 FV RS 100
100
6.00% Secured Redeemable Non-
convertible Debentures.
INTERNATIONAL BIOTECH PARK
LIMITED
100000
IOC BOND SERIES-V,STRPP-H IOC SR5 STRPP-H
10.25 BD 17JL11 FV RS 20 LAC
20,00,000
6.40% Secured Non Convertible bonds-
I Series. Letter Of Allotment.
ITI SR-I
6.4 LOA 31MR09 FVRS10LAC
1,000,000.00
12.15% Secured Reddemable Non
Convertible Debenture.Letter of
IVRCL INFR & PR
12.15 LOA 18DC13 FVRS10LAC
1000000
13.75% Secured NCD. Date of Final
Redemption: 01/07/2007
J K PHARMACHEM
13.75 NCD 01JL07 FV RS 48
60
Zero Coupon Secured NCD Series A.
Date of Final Redemption: 01/10/2008
J K PHARMACHEM
SR-A NCD 01OT08 FV RS 10000
10000
Zero Coupon Secured NCD Series B..
Date of Final Redemption: 01/10/2008
J K PHARMACHEM
SR-B NCD 01OT08 FV RS 10000
10000
Deep Discount Bonds . Date of Final
Redemption: 01/04/2009
J K PHARMACHEM
DDB BD 01AP09 FV RS 10000
10000
7.80% Unsecured Redeemable Non
Convertible Debentures. Letter of
J.M.FINANCIAL AND INVESTMENT CON
SER P LTD
10000000
9.00% Unsecured Redeemable Non
Convertible Debentures. Letter of
J.M.FINANCIAL AND INVESTMENT CON
SER P LTD
10000000
10.00% Unsecured Redeemable Non
Convertible Debentures. Letter of
J.M.FINANCIAL AND INVESTMENT CON
SER P LTD
10000000
11.75% Secured Redeemable Non
Convertible debentures. Series RR.
JAIPRAKASH ASSOCIATES
11.75 LOA 15JN13 FVRS10LAC
1000000
5.6% Secured Non-Convertible
Debenture. Letter of Allotment. Date
JAIPRAKASH ASSOCIATES LIMITED 5.6
LOA 03JL14 FVRS10LAC
1000000
Reset Rate Secured Non Convertible
Debentures. Letter of Allotment. Date
JANALAKSHMI FINANCIAL SERVICES
PRIVATE LTD RR 31MR14 FVRS50LAC
4980000.000
NSE MIBOR + 5 bps p.a. (NSE daily 9.40
am fixing and compounded daily)
JAY SHREE TEA
BR LOA 31DC04 FVRS 1 CR
10000000
NSE O/N Mibor as per 9.40 a.m. fixing
and and compounded Daily+20 Bps
JAY SHREE TEA
BR LOA 02SP05 FVRS1CR
10000000
NSE O/N Mibor+50 Bps Unsecured Non
convertible debenture. Letter of
JAY SHREE TEA
BR LOA 13SP05 FVRS1CR
10000000
NSE Mibor+45 Bps Unsecured non
convertible debentures. Letter of
JAY SHREE TEA
BR LOA 18OT05 FVRS1CR
10000000
NSE Mibor+ 50 Bps Unsecured Non
convertible debentures. Letter of
JAY SHREE TEA
BR LOA 26OT05 FVRS1CR
10000000
NSE Mibor+50 Bps Unsecured Non
convertible debentures. Letter of
JAY SHREE TEA
BR LOA 13DC05 FVRS1CR
10000000
14.25% Secured Non Convertible
Debenture.Date of Maturity :
JAYNEER CAPITAL PVT LTD
14.25 NCD 14JL09 FVRS10LAC
1000000
16.50% Secured Redeemable NCD. Date
of Final Redemption:01/04/2004
JAYPEE CEMENT
16.5 NCD 01AP04
100
Zero Coupon Unsecured Fully
Convertible Bond.Letter of Allotment.
JIK INDUSTRIES
LOA 30JU11 PPRS2.5
2.5
Zero Coupon Unsecured Fully
Convertible Bond.Letter of Allotment.
JIK INDUSTRIES
LOA 30JU11 FVRS10
10
Zero Coupon Unsecured Fully
Convertible Bond.Letter of Allotment.
JIK INDUSTRIES
LOA 13AG11 PPRS50
50
Zero Coupon Unsecured Fully
Convertible Bond.Letter of Allotment.
JIK INDUSTRIES
LOA 13AG11 PPRS2.5
2.5
Zero Coupon Unsecured Fully
Convertible Bond.Letter of Allotment.
JIK INDUSTRIES
LOA 13AG11 FVRS10
10
Zero Coupon Unsecured Fully
Convertible Bond.Letter of Allotment.
JIK INDUSTRIES
LOA 13AG11 FVRS200
200
Zero Coupon Unsecured Fully
Convertible Bond.Letter of Allotment.
JIK INDUSTRIES
LOA 26SP11 PPRS50
50
Zero Coupon Unsecured Fully
Convertible Bond.Letter of Allotment.
JIK INDUSTRIES
LOA 26SP11 PPRS2.5
2.5
Zero Coupon Unsecured Fully
Convertible Bond.Letter of Allotment.
JIK INDUSTRIES
LOA 26SP11 FVRS10
10
Zero Coupon Unsecured Fully
Convertible Bond.Letter of Allotment.
JIK INDUSTRIES
LOA 26SP11 FVRS200
200
6.90% Secured Redeemable Non
Convertible Debentures. Letter of
JINDAL STAINLES
6.9 LOA 02AG14 FV RS 10 LAC
1000000
4.00% Unsecured Non Convertible
Debenture Letter of Allotment. Date
JM FINANCIAL PRODUCTS PRIVATE
LTD
10000000
6.00% Unsecured Non Convertible
Debenture Letter of Allotment. Date
JM FINANCIAL PRODUCTS PRIVATE
LTD
10000000
9.10% Secured Redeemable Non-
Convertible Debenture. Letter of
JSW ENERGY LIMITED
SR- III 9.1 LOA 31MR14 FVRS10LAC
1000000
13.76% Secured Non Convertible
Debentures. Date of Final Maturity:
JINDAL VIJAY
13.76 NCD 01OT12 FV RS 100
100
17.50% Secured Optionally Fully
Convertible Debentures. Date of Final
JINDAL VIJAY
17.5 OFCD 15SP12 FV RS 100
100
17.4061% Secured Optionally Fully
Convertible Debentures. Date of Final
JINDAL VIJAY
17.4 OFCD 15SP12 FV RS 100
100
13.76% Secured Non Convertible
Debentures. Date of Final Maturity:
JINDAL VIJAY
13.76 NCD 15SP12 FV RS 100
100
16.00% Secured Non Convertible
Debentures. Date of Final Maturity:
JINDAL VIJAY
16 NCD 15SP12 FV RS 100
100
15% UNSECURED COMPULSORY
CONVERTIBLE DEBENTURE. DATE OF
JUVENTUS ESTATE LIMITED 15 CCD
30NV13 FVRS1000
1000
7% Secured Non-Convertible
Debenture. Letter of Allotment. Date
JYOTI STRUCTURES LIMITED 7 LOA
14MY12 FVRS120
120
8.00% Unsecured Optionally
Convertible Redeemable Bonds.Letter
K SERA SERA
8 LOA 28JL11 FVRS1LAC
100000
11.40% Series IV-A Secured Non
Convertible Regular Bonds .Date of
KNNL SR-4A
11.4 BD 31MR09 FV RS 1 LAC
100000
14.00% Secured Non Convertible
Bonds.Date of final Redemption:
KREDL
14 BD 31DC09 FV RS 1 LAC
1,00,000
Gold Linked Secured Non-Convertible
Debenture. Letter of Allotment. Series-
KARVY FINANCIAL SERVICES LIMITED
BR LOA 14JN14 FVRS1LAC
100000
Nifty Linked Secured Non-Convertible
Debenture. Letter of Allotment. Series-
KARVY FINANCIAL SERVICES LIMITED
SR-B-1 BR LOA 02AP14 FVRS1LAC
100000
NIFTY LINKED PRINCIPAL PROTECTED
RATED SECURED LISTED REDEEMABLE
KARVY FINANCIAL SERVICES LIMITED SR-
B-30 BR LOA 28FB14 FVRS10LAC
1000000.000
Gold Linked Secured Non-Convertible
Debenture. Letter of Allotment. Series-
KARVY FINANCIAL SERVICES LIMITED
SR-A5 BR LOA 03AP14 FVRS1LAC
100000
Nifty Linked Secured Non-Convertible
Debenture. Letter of Allotment.Series-
KARVY FINANCIAL SERVICES LIMITED SR-
B 5 LOA 03JU14 FVRS1LAC
100000
Nifty Linked Secured Non-Convertible
Debenture. Letter of Allotment. Series-
KARVY FINANCIAL SERVICES LIMITED SR-
B2 BR LOA 05MY14 FVRS1LAC
100000
11%Secured Redeemable Non-
convertible Bonds in the form of
KERALA FIN CORP
11 BD 11FB03
100
11.50%Secured Redeemable Non-
convertible Bonds in the form of
KERALA FIN CORP
11.5 BD 21JU08 FV RS 100
100
11.00% Unsecured Redeemable Non-
Convertible KIFB Bonds in the form of
KIIFB SR-3
11 LOA 31MY10 FV RS 1 LAC
100,000.00
10.25% Unsecured Redeemable Non-
Convertible Non-SLR Bonds (KPFC
KERALA POW.FIN
SR-2 10.25LOA01AG10 FVRS 1LAC
100,000.000
Floating Rate Non SLR bonds in the
nature of promissory notes. Letter of
KERALA STATE ELECTRICITY BOARD
BR BD 15OT12 FV RS 1 LAC
100,000.00
13.75% Unsecured Optionally
Convertible Debentures. Date of
KESAR MARBLE & GRANITE LIMITED
13.75 OCD 30MR12 FVRS100
100
14.00% Secured Redeemable Non-
Convertible Debenture -Series 1. Date
KINETIC FIN 1
14 NCD 30NV02
10,00,000
14.00% Secured Redeemable Non-
Convertible Debenture -Series 1. Date
KINETIC FIN 1
14 NCD 21DC02
10,00,000
14.00% Secured Redeemable Non-
Convertible Debenture -Series 1. Date
KINETIC FIN 1
14 NCD 07SP03
10,00,000
10.50% Secured Redeemable Non-
Convertible Debentures. Date of
KINETIC FINANCE
10.5 LOA 06JL04 FV RS 10 LAC
10,00,000
8.40% Secured Redeemable Non-
Convertible Debenture. Letter Of
KINETIC FINANCE
8.4 LOA 09JL04 FV RS 1 LAC
100,000.000
12.00% Secured Redeemable Non-
Convertible Bonds. Series-IV. Date of
KONKAN IRG SR-4
12 LOA 31AG08 FV RS 1 LAC
1,00,000
12.25% Secured Redeemable Non-
Convertible Bonds. Series-IV. Date of
KONKAN IRG SR-4
12.25 LOA 31AG11 FV RS 1 LAC
1,00,000
10.50%Taxfree Secured Non
Convertible Bonds in the form of
KRCL NTX SR-2A
10.5 BD 01MR04
1000
10.50%Taxfree Secured Non
Convertible Bonds in the form of
KRCL NTX SR-6B
10.5 BD 09JN07 FV RS 1000
1000
7.00% Taxable Secured Redeemable
Non Convertible Bonds in the form of
KONKAN RLWY CORP LTD
7 LOA 02AG14 FV RS 10 LAC
1000000
Nifty linked Secured non convertible
debentures. Letter of allotment.
KOTAK MAH.INVST
BR LOA 17OT11 FVRS10LAC
1025000
Nifty linked Secured non convertible
debentures. Series - KMIL-II. Date of
KOTAK MAH.INVST
BR NCD 29NV11 FVRS10LAC
1025000
NIFTY LINKED Secured Non-Convertible
Debenture. Series - N 1128. Date of
KOTAK MAHINDRA PRIME LIMITED BR
NCD 21AP14 FVRS5LAC
500000
Zero Coupon Secured Redeemable Non
Convertible Debenture.Series
KOTAK MAHINDRA PRIME LIMITED NCD
03JL14 FVRS10LAC
874139.000
Nifty Linked Secured Non Convertible
Debentures. Letter of allotment.
KOTAK MAHINDRA PRIME LTD.
BR LOA 24JL09 FVRS25LAC
2500000
S&P CNX Nifty Linked Secured Non-
Convertible Debenture. Series - N10-
KOTAK MAHINDRA PRIME LTD.
SR- N10-23 BR NCD 14FB14 FVRS5LAC
500000
10.2% SECURED NON CONVERTIBLE
DEBENTURE. SERIES ND/2012-13/2119.
KOTAK MAHINDRA PRIME LIMITED 10.2
NCD 03JL14 FVRS10LAC
1000000.000
Zero Coupon Secured Non-Convertible
Debenture. Series- NCD/2011-12/2005.
KOTAK MAHINDRA PRIME LIMITED NCD
04NV14 FVRS10LAC
739949
Nifty linked Unsecured Optionally
Convertible debentures. Letter of
KOTAK SEC.
BR LOA 20AG10 FVRS10LAC
1025000
Nifty Linked Unsecured Optionally
Convertible Debenture Letter of
KOTAK SEC.
BR LOA 06SP11 FVRS10LAC
1025000
MIBOR + 400bps (Floor : 10.15% and
Cap : 10.25%) Secured Redeemable
KOUTONS RETAIL INDIA LIMITED
BR NCD 06AP09 FVRS1000
1000
MIBOR + 400 bps (Floor 13% & Cap
13.05%) Secured Redeemable Non-
KOUTONS RETAIL INDIA LIMITED
BR NCD 16JL09 FVRS1000
1000
12.50% Unsecured Redeemable Non-
Convertible Debentures issued in lieu
KPL INTER
12.5 LOA 14AG05 FV RS 13
13
6.85% Secured Non Convertible Bonds
Series XII-C-Option II.
KRISHNA BHAGYA JALA NIGAM LIMITED
SR-12C/2 6.85 BD 31MR14 FV RS 10LAC
1,000,000.00
13.40% Secured Non Convertible Bonds
Series VIII B RRB. Date of final
KBJNL SR-8B 13.4 RRB 15DC06 FV RS
1 LAC
100000
11.70% Secured Non Converble
Debenture. Series IX- B.Date of
KBJNL SR-9B
11.7 NCD 17MY09 FV RS 5000
5000
12.50% Secured redeemeable Non-
Convertible Debentures. Date Of
KRISHNA KNITWEA
12.5 LOA 17MY02
10,00,00,000
19.00% Secured Redeemable Non-
Convertible Debentures. Date of Final
KRISHNA LIFE
19 NCD 31MY03
100
19.00% Secured Redeemable Non-
Convertible Debentures. Date of Final
KRISHNA LIFE
19 NCD 29JU03
100
19.00% Secured Redeemable Non-
Convertible Debentures. Date of Final
KRISHNA LIFE
19 NCD 18JL03
100
19.00% Secured Redeemable Non-
Convertible Debentures. Date of Final
KRISHNA LIFE
19 NCD 08JL03
100
20% SECURED NON CONVERTIBLE
DEBENTURES .SERIES I . DATE OF
KUMAR URBAN DEVELOPMENT LIMITED
20 NCD 01AG14 FVRS1LAC
100000.000
NSE MIBOR +0 bps Compounded Daily
Unsecured Redeemable Non-
L & T FINANCE
BR LOA 02JL04 FV RS 1 CR
10,000,000.00
NSE MIBOR - 20 bps Unsecured
Redeemable Non-convertible
L & T FINANCE
BR LOA 19JL04 FV RS 1 CR
10,000,000.00
NSE MIBOR - 5 bps Unsecured
Redeemable Non-convertible
L & T FINANCE
BR LOA 08DC04 FVRS 1 CR
10000000
NSE MIBOR + 0 bps Unsecured
Redeemable Non-convertible
L & T FINANCE
BR LOA 17DC04 FVRS 1 CR
10000000
NSE MIBOR+10BPS Unsecured Non
convertible Letter of Allotment Date
L & T FINANCE
BR LOA 25JN05 FV RS 1CR
10000000
7.00 % Unsecured Non convertible
debentures. Letter of allotment. Date
L & T FINANCE
7 LOA 21OT05 FVRS1CR
10000000
7.00 % Unsecured non convertible
debentures. Letter of allotment. Date
L & T FINANCE
7 LOA 24OT05 FVRS1CR
10000000
6.00 % Unsecured non convertible
debentures. Letter of allotment. Date
L & T FINANCE
6 LOA 24OT05 FVRS1CR
10000000
8.50% Unsecured Non Convertible
Debentures. Letter of allotment. Date
L & T FINANCE
8.5 LOA 20MR06 FVRS1CR
10000000
8.50% Unsecured Non convertible
Debentures. Letter of allotment. Date
L & T FINANCE
8.5 LOA 22MR06 FVRS1CR
10000000
NSE Mibor+175 Bps Unsecured Non
Convertible Debentures. Letter of
L & T FINANCE
BR LOA 27MR06 FVRS1CR
10000000
NSE Mibor+100 Bps Unsecured Non
Convertible Debentures. Letter of
L & T FINANCE
BR LOA 27MR06 FVRS1CR
10000000
NSE Mibor+65 Bps Unsecured Non
Convertible Debentures. Letter of
L & T FINANCE
BR LOA 14AP06 FVRS1CR
10000000
NSE Mibor + 115 bps Unsecured Non
Convertible Debentures Letter of
L & T FINANCE
BR LOA 19AP06 FVRS1CR
10000000
8.45% Unsecured Non Convertible
Debentures Letter of Allotment Date
L & T FINANCE
8.45 LOA 21AP06 FVRS1CR
10000000
7.25% Unsecured Non Convertible
Debentures. Letter of allotment. Date
L & T FINANCE
7.25 LOA 21AP06 FVRS1CR
10000000
8.50% Unsecured Non Convertible
Debentures Letter of Allotment Date
L & T FINANCE
8.5 LOA 24AP06 FVRS1CR
10000000
8.80 % Unsecured Non Convertible
Debentures. Letter of Allotment. Date
L & T FINANCE
8.8 LOA 05MY06 FVRS1CR
10000000
NSE Mibor plus 20bps Unsecured Non
Convertible Debentures. Letter of
L & T FINANCE
BR LOA 16JU06 FVRS1CR
10000000
NSE Mibor plus 65bps Unsecured Non
Convertible Debentures. Letter of
L & T FINANCE
BR LOA 26JU06 FVRS1CR
10000000
Mibor plus 25bps Unsecured Non
Convertible Debentures. Letter of
L & T FINANCE
BR LOA 07JL06 FVRS1CR
10000000
NSE Mibor+20 bps (Daily compounding)
Unsecured Non Convertible
L & T FINANCE
BR LOA 14JL06 FVRS1CR
10000000
NSE Mibor+ 75 bps (Daily compounding)
Unsecured Non Convertible
L & T FINANCE
BR LOA 15SP06 FVRS1CR
10000000
NSE Mibor+ 25 bps (Daily compounding)
Unsecured Non Convertible
L & T FINANCE
BR LOA 11OT06 FVRS1CR
10000000
Mibor plus 15bps Unsecured Non
Convertible Debentures. Letter of
L & T FINANCE
BR LOA 11JL06 FVRS1CR
10000000
NSE Mibor+ 25bps Unsecured Non
Convertible Debentures. Letter of
L & T FINANCE
BR LOA 08DC06 FVRS 1CR
10000000
NSE Mibor+ 150 bps Unsecured Non
Convertible Debentures. Letter of
L & T FINANCE
BR LOA 15DC06 FVRS1CR
10000000
NSE Mibor+ 115 bps Unsecured Non
Convertible Debentures. Letter of
L & T FINANCE
BR LOA 18DC06 FVRS1CR
10000000
7.50 % Unsecured Non Convertible
Debentures. Letter of allotment. Date
L & T FINANCE
7.5 LOA 28DC06 FVRS1CR
10000000
7.40 % Unsecured Non Convertible
Debentures. Letter of allotment. Date
L & T FINANCE
7.4 LOA 05JN07 FVRS1CR
10000000
NSE Mibor+ 125bps (Daily
Compounding) Unsecured Non
L & T FINANCE
BR LOA 29JN07 FVRS1CR
10000000
11.25% Unsecured Non Convertible
Debentures. Letter of allotment. Date
L & T FINANCE
11.25 LOA 13MR07 FVRS1CR
10000000
NSE Mibor+ 85bps Unsecured Non
Convertible Debentures. Letter of
L & T FINANCE
BR LOA 23AP07 FVRS1CR
10000000
NSE Mibor+ 85bps Unsecured Non
Convertible Debentures. Letter of
L & T FINANCE
BR LOA 30AP07 FVRS1CR
10000000
NSE Mibor + 100bps (Daily
Compounding) Unsecured Non
L & T FINANCE
BR LOA 01OT07 FVRS1CR
10000000
NSE Mibor (Daily Compounding)
Unsecured Non Convertible
L & T FINANCE LIMITED
BR LOA 09JL08 FVRS1CR
10000000
9.47% Unsecured Non Convertible
Debentures. Letter of allotment. Date
L & T FINANCE LIMITED
9.47 LOA 18JL08 FVRS1CR
10000000
8.40% Secured Redeemable Non
Convertible Debenture. (2010 A Series -
L & T FINANCE LIMITED
8.4 NCD 08MR13 FVRS1000
1000
8.50% Secured Redeemable Non
Convertible Debenture. (2010 A Series -
L & T FINANCE LIMITED
8.5 NCD 08MR13 FVRS1000
1000
10.25% Secured Non-Convertible
Debenture.Series- D, Option- I. Date of
L & T FINANCE LTD SR-D OP-I 10.25
NCD 04NV14 FVRS10LAC
1000000
NSE MIBOR (Daily
Compounding)+245bps Secured
L & T FINANCE LTD BR NCD 31MY14
FVRS10LAC
1000000
10.06% Secured Redeemable Non
Convertible Debentures Series B Letter
L & T INFRASTRUCTURE DEVELOPMENT
PROJECTS LT SR-B 10.06 LOA 28AP14
1000000.000
10.56% SECURED REDEEMABLE NON
CONVERTIBLE DEBENTURES SERIES A
L & T PANIPAT ELEVATED CORRIDOR
LIMITED SR-A 10.56 NCD 17AP14
1000000.000
1.00% Secured Optionally Convertible
Bonds. Final Date of Redemption:
LG BALAKRISHNAN
1 BD 26MR14 FVRS101
101
13% Secured Redeemable Non
Convertible Debentures
LAFARGE INDIA
13 NCD 29JN08 FV RS 1 LAC
1,00,000
7.95% Secured Redeemable Non
Convertible Debentures Series 3. Date
LAFARGE SR-3
7.95 NCD 31OT07 FV RS 1 CR
1,00,00,000
3.52% Secured Deep Discount
Convertible Debenture.Date of
LAVASA CORPORATION LIMITED
3.52 FCD 25JU13 FVRS3874000000
2250000000
3.52% Secured Deep Discount Fully
Convertible Debenture. Date of
LAVASA CORPORATION LIMITED
3.52 FCD 25JU13 FVRS17217777.78
2250000000
11.06% Unsecured Redeemable Non-
Convertible Debentures
LEASEPLAN INDIA
11.06 NCD 07JU03
10,000,000.00
13.00% Unsecured Redeemable Non-
Convertible Debentures
LEASEPLAN INDIA
13 NCD 09AG03
10,000,000.00
13.25% Unsecured Redeemable Non-
Convertible Debentures
LEASEPLAN INDIA
13.25 NCD 09AG03
10,000,000.00
11.16% Unsecured Redeemable Non-
Convertible Debentures
LEASEPLAN INDIA
11.6 NCD 07JU04
10,000,000.00
9.95% SECURED NON CONVERTIBLE
DEBENTURES. LETTER OF ALLOTMENT.
LIC HOUSING FINANCE LIMITED 9.95
LOA 05JU14 FVRS10LAC
1000000.000
17% Secured Redeemable Cumulative
Non Convertible Debentures
LILY REALTY PRIVATE LIMITED 17 NCD
24DC13 FVRS1LAC
100000
18%, Secured, Redeemable Non
Convertible Debentures Date of
LILY REALTY PRIVATE LIMITED 18 NCD
24DC13 FVRS1LAC
100000
19% Secured Redeemable Non-
Convertible Debentures Date Of
LILY REALTY PRIVATE LIMITED 19 NCD
24DC13 FVRS1LAC
100000
13.00% Unsecured Redeemable Non-
Convertible Subordinate Bonds -2000 in
LORD KRISHNA BK
13 BD 29OT07 FV RS 10000
10000
S&P CNX Nifty Index Linked Secured
Non-Convertible Debenture. Letter of
MACQUARIE FINANCE (INDIA) PRIVATE
LIMITED SR-MQ 10 BR LOA 09AG13
100000
13.00% Unsecured Non Convertible
Debentures.Letter of allotment. Date
MAGMA FINCORP LIMITED
13 LOA 03JU14 FVRS10LAC
1000000
11.00% Secured Redeemable Non-
Convertible Bonds-Series IX Option I.
MJP SR-9 OPT-1
11 BD 09AP09 FV RS 1 LAC
100000
11% Bonds SR-2003/A LOA MKVDC 2003/A
11 LOA 03MY10 FV RS 1 LAC
100,000.00
11.50% Secured Non-convertible
Bonds. Series-2001/A. Letter of
MKVDC SR-01/A
11.5 LOA 31MY12 FV RS 1 LAC
1,00,000
13.5% Bonds SR-99/A MKVDC SR-99/A
13.5 BD 15OT206
100000
13% Bonds SR-2000/B Option-A MKVDC 00/B OP-A
13 BD 30NV08
100000
Bench Mark+ mark up 525bps Bonds SR
2000/B Option D
MKVDC 00/B OP-D
BM+5.25 BD 30JU1
100000
13.5% Bonds SR-2000/B Option C MKVDC 00/B OP-C
13.5 BD 31AU13
100000
Bench Mark+ Mark up 525bps Bonds SR-
2000/B Option-D.
MKVDC 00/B OP-D
BR BD 31AG13
100000
12.5% Bonds SR-2000/B Option-CC MKVDC 2000/B CC
12.5 BD 30NV13
100000
Zero Coupon Unsecured Non-
Convertible Redeemable Vidyut Bonds.
MSEB
BD 29JN04 FV RS 1 LAC
97,704.200
11.50% Secured Non-Convertible Bonds-
Series I, Option IV. Date of final
MSEB SR-1 OP-4
11.5 BD 14FB08 FV RS 1 LAC
1,00,000
11.50% Unsecured Non-Convertible
Redeemable bonds-Series VII A, Option
MSEB SR-7A OP-1
11.5 BD 31DC08 FV RS 1 LAC
100000
13.50% Unsecured Non-Convertible
Bonds-Series V (A) Option III, Date of
MSEB SR-5A OP-3
13.5 BD 18NV12 FV RS 1 LAC
1,00,000
12.30% Non Convertible Maharashtra
State Guaranteed MSFC Bonds
MSFC SR-73
12.3 BD 23OT07 FV RS 1 LAC
1,00,000
10.52% Non Convertible Maharashtra
State Guaranteed MSFC Bonds
MSFC SR-76
10.52 BD 07JU10 FV RS 1 LAC
1,00,000
8.35% Non Convertible Debenture in
the form of Promissory Note. Date of
MSFC
8.35 NCD 19DC11 FV RS 1 LAC
1,00,000
8.30% Non Convertible Maharashtra
State Guaranteed MSFC Bonds 2012
MSFC SR-79
8.3 BD 20FB12 FV RS 1 LAC
1,00,000
13.20% Secured Non Convertible
Bonds. Series-I. Final Date of
MAH STATE POLICE HOUSING AND
WELFARE CORP
100000
13.65% Secured Non-Convertible
Debentures Series II, Instrument A
MSRDC SR-2A
13.65 BD 01OT04 FV RS 1 LAC
1,00,000
14.15% Secured Non-Convertible
Debentures Series II, Instrument B
MSRDC SR-2B
14.15 BD 01SP09 FV RS 1 LAC
1,00,000
13.50% Secured Non-Convertible
Debentures Series VIII, Instrument C,
MSRDC SR-8C
13.5 BD 26FB11 FV RS 1 LAC
1,00,000
Zero Coupon Secured Non-Convertible
Bonds Series XXII Option II. Letter Of
MAHARASHTRA STATE ROAD
DEVELOPMENT CORP.
385543
11.25% Secured Redeemable Non-
Convertible Bonds Series-III. Letter of
MWCC SR-3
11.25 LOA 15JL13 FV RS 1 LAC
100,000.00
9% SECURED REDEEMABLE NON
CONVERTIBLE DEBENTURES. LETTER OF
MAHINDRA & MAHINDRA FINANCIAL
SERVICES LTD 9 LOA 04MY15
1000000
10.00% Secured Non-Convertible
Debenture. Letter of Allotment. Series-
MAHINDRA & MAHINDRA FINANCIAL
SERVICES LTD 10 LOA 05DC14
1000000
12.65% Secured Redeemable NCD .
Date of final redemption: 15/10/2012
MALANA POWER CO
12.65 NCD 15OT12 FV RS 100
100
9.05% Unsecured Non Convertible
Debentures. Letter of allotment. Date
MANAKSIA LIMITED
9.05 LOA 14JN08 FVRS1CR
10000000
Secured Non-Convertible
Debenture.Date of Maturity
MANAPPURAM FINANCE LIMITED NCD
12OT12 FVRS1000
1000
12.2% Secured Non-Convertible
Debenture.Date of Maturity
MANAPPURAM FINANCE LIMITED 12.2
NCD 08SP13 FVRS1000
1000
ZERO COUPON SECURED REDEEMABLE
NON CONVERTIBLE DEBENTURES. DATE
MANAPPURAM FINANCE LIMITED NCD
03SP14 FVRS10LAC
834000.000
ZERO COUPON SECURED REDEEMABLE
NON CONVERTIBLE DEBENTURES. DATE
MANAPPURAM FINANCE LIMITED NCD
21AP14 FVRS10LAC
873150.000
10.65% Secured Non-Convertible
Debenture. Letter of Allotment. Date
MANAPPURAM GEN
10.65 LOA 02MR12 FVRS10LAC
1000000
12.25% Secured Non-Convertible
Debenture. Letter of Allotment.
MANAPPURAM GENERAL FINANCE AND
LEASING LIMITE 12.25 LOA 27MY14
100000
12.50% Secured Non-Convertible
Debenture. Letter of Allotment.
MANAPPURAM GENERAL FINANCE AND
LEASING LIMITE 12.5 LOA 27MY14
100000
12.00% Secured Non-Convertible
Debenture. Letter of Allotment.
MANAPPURAM GENERAL FINANCE AND
LEASING LIMITE 12 LOA 27MY14
100000
Zero Coupon Unsecured Optionally
Fully Convertible Debnture. Date of
MARCK BIOSCIENCES LIMITED
OFCD 31DC12 FVRS10
10
20% SECURED NON-CONVERTIBLE
DEBENTURES. DATE OF MATURITY
MARVEL DWELLINGS PRIVATE LIMITED
20 NCD 29AP14 FVRS5LAC
500000.000
12.50% Unsecured Taxable NCD. Date
of Maturity; 03/03/2003
MOREPEN LAB
12.5 NCD 03MR03
100
13.00% Secured NCD. Date of
Maturity: 21/06/2003
MOREPEN LAB
13 NCD 21JU03
100
11.50% Unsecured Taxable NCD. Date
of Maturity; 30/10/2003
MOREPEN LAB
11.5 NCD 30OT03
100
13.00% Secured NCD. Date of
Maturity: 03/08/2004
MOREPEN LAB
13 NCD 03AG04 FV RS 100
100
Linked to the performance of a basket
of shares Secured Non-Convertible
MORGAN STANLEY INDIA CAPITAL PVT
LT SR- 47 BR LOA 27AG13 FVRS10LAC
1000000
10.6% UNSECURED REDEEMABLE NON
CONVERTIBLE DEBENTURES. LETTER OF
MURUGAPPA HOLDINGS LIMITED 10.6
LOA 01AG14 FVRS10LAC
1000000.000
12.00% Secured Non-Convertible
Debenture.Date of Maturity
MUTHOOT FINANCE LIMITED 12 NCD
13SP13 FVRS1000
1000
11.50% SECURED REDEEMABLE NON
CONVERTIBLE DEBENTURES . OPTION I.
MUTHOOT FINANCE LIMITED OPT-I 11.5
NCD 01NV14 FVRS1000
1000
13.00% Secured Non-Convertible
Debenture.Date of Maturity
MUTHOOT FINANCE LIMITED 13 NCD
18JN14 FVRS1000
1000
13% Secured Non-Convertible
Debenture. Date of Maturity
MUTHOOT FINANCE LIMITED 13 NCD
18AP14 FVRS1000
1000
13.00% Unsecured Non-Convertible
Debenture. Letter of Allotment. Date
MUTHOOT FINCORP LIMITED 13 LOA
31AG16 FVRS10LAC
1000000
11.95% Secured Non Convertible
Debenture. Letter of Allotment.Final
NAGARJUNA CONST
11.95 LOA 04FB14 FVRS10LAC
1000000
10% Secured Optionally Fully
Convertible Debentures.
NANDI ECONOMIC
10 OCD 10MY09 FV RS 100
100.000
14.75% Secured Non Convertible
Bonds.Series-I. Date of Final
NASHIK MUN COR1
14.75 BD 30JU06 FV RS 1 LAC
1,00,000
Secured Redeemable NCD NALCO 14.50% NCD 25MR05 FV RS 667 1000
13.00% Secured Redeemable Non-
Convertible Bonds 2007 - Series XII
NABARD SR-12
13 BD 07OT07 FV RS 1000
1,000.00
5.00 % Unsecured
Redeemable TaxFree
NABARD
TFB-4G
10,000.00
8.30% Unsecured Non Convertible
Bond in the form of promissory
NABARD
8.3 BD 22JN10 FVRS10LAC
1000000
5.33% Unsecured Capital gain bonds in
nature of promissory notes. Series CGB
NABARD
CGB-MAR-2010 B 5.33 BD 31MR10
10000
5.40% (Cumulative) Unsecured Capital
gain bonds in nature of promissory
NABARD
CGB-MAR-2010 C 5.4 BD 31MR10
10000
5.20 % Unsecured Non convertible
bonds in nature of promisorry notes.
NABARD
CGB/JUN/2010A 5.2 BD 30JU10
10000
5.13 % Unsecured Non convertible
bonds in nature of promisorry notes.
NABARD
CGB/JUN/2010B 5.13 BD 30JU10
10000
5.20% (Annually) Unsecured Non
Convertible Bonds in form of promissoy
NABARD
CGB/JUL/2010A 5.2 BD 31JL10
10000
5.13% Unsecured Non Convertible
Bonds in form of promissoy notes. CGB
NABARD
CGB/JUL/2010B 5.13 BD 31JL10
10000
5.42% (Annual Interest Payment
Option) Unsecured Capital Gain Bond
NABARD
CGB/AUG/2010 E 5.42 BD 31AG10
10000
5.42% Unsecured Non convertible
bonds in nature of promissory notes.
NABARD
CGB/SPT/2010B 5.42 BD 30SP10
10000
5.50% Unsecured Non Convertible bond
in nature of promissory notes. CGB
NABARD
CGB-MAR-2011A 5.5 BD 31MR11
10000
8.50 % Unsecured Non Convertible
Bond in the form of promissory
NABARD
8.5 BD 22JN12 FVRS10LAC
1000000
8.25% Unsecured Non Convertible
Rural Bond 2D Series. Date of Maturity
NABARD
8.25 BD 31JL13 FVRS1000
1000
8.75% Unsecured Non Convertible
Rural Bond 2D Series. Date of Maturity
NABARD
8.75 BD 31JL13 FVRS1000
1000
8.50% Unsecured Non Convertible
Rural Bond 2L Series. Date of Maturity
NABARD
8.5 BD 31MR14 FVRS1000
1000
9.00% Unsecured Non Convertible
Rural Bond 2L Series. Date of Maturity
NABARD
9 BD 31MR14 FVRS1000
1000
9.50% Unsecured Non Convertible
Rural Bond 2L Series. Date of Maturity
NABARD
9.5 BD 31MR14 FVRS1000
1000
9.50% Unsecured Non Convertible
Rural Bond 2L Series. Date of Maturity
NABARD
9.5 BD 31MR14 FVRS1000
1000
9.65% Unsecured Non-Convertible
Bond. Series- XII - R. Date of Maturity
NATIONAL BANK FOR
AGRICULTURE&RURAL DEVELOPEN SR-
1000000
10.50% Taxable Bonds (2005) -
Unsecured Bonds Letter of Allotment.
NCRPB TX 2005
10.5 LOA 01JL05 FV RS 5 LAC
5,00,000
13.50% Taxable Bonds (2006) -
Unsecured Bonds Letter of Allotment.
NCRPB TX 2006
13.5 LOA 31MR06 FV RS 5 LAC
5,00,000
5.50% Secured NHAI 54EC Bonds 2006-
07 . Date of Maturity:31/08/2009
NATIONAL HIGHWAYS AUTHORITY OF
INDIA
10000
5.50% Secured Non Convertible NHAI
54EC Bonds . Date of
NATIONAL HIGHWAYS AUTHORITY OF
INDIA
10000
5.75% Secured Non Convertible Bonds .
Date of Maturity:30/06/2011
NATIONAL HIGHWAYS AUTHORITY OF
INDIA
10000
5.75% Secured Non Convertible Bonds .
Date of Maturity:31/08/2011
NATIONAL HIGHWAYS AUTHORITY OF
INDIA
10000
5.75% Secured Non Convertible Bonds .
Date of Maturity:30/09/2011
NATIONAL HIGHWAYS AUTHORITY OF
INDIA
10000
5.75% Secured Non Convertible Bonds .
Date of Maturity:31/10/2011
NATIONAL HIGHWAYS AUTHORITY OF
INDIA
10000
5.75% (6.25% w.e.f. 01/11/2008)
Secured Non Convertible Bonds . Date
NATIONAL HIGHWAYS AUTHORITY OF
INDIA
10000
6.25% Secured Non Convertible Bonds .
Date of Maturity:31/12/2011
NATIONAL HIGHWAYS AUTHORITY OF
INDIA
10000
6.25% Secured Non Convertible Bonds .
Date of Maturity:31/01/2012
NATIONAL HIGHWAYS AUTHORITY OF
INDIA
10000
6.25% Secured Non Convertible Bonds .
Date of Maturity:28/02/2012
NATIONAL HIGHWAYS AUTHORITY OF
INDIA
10000
6.25% Secured Non Convertible Bonds .
Date of Maturity:31/03/2012
NATIONAL HIGHWAYS AUTHORITY OF
INDIA
10000
6.25% Secured Non Convertible 54 EC
Bonds . Date of Maturity:31/12/2012
NATIONAL HIGHWAYS AUTHORITY OF
INDIA
10000
6.25% Secured Non Convertible 54 EC
Bonds . Date of Maturity:31/03/2013
NATIONAL HIGHWAYS AUTHORITY OF
INDIA
10000
6.00% Secured Non Convertible 54 EC
Bonds . Date of Maturity:30/04/2013
NATIONAL HIGHWAYS AUTHORITY OF
INDIA
10000
6.00% Secured Non Convertible 54 EC
Bonds . Date of Maturity:31/05/2013
NATIONAL HIGHWAYS AUTHORITY OF
INDIA
10000
6.00% Secured Non Convertible 54 EC
Bonds . Date of Maturity:31/07/2013
NATIONAL HIGHWAYS AUTHORITY OF
INDIA
10000
6.00% Secured Non Convertible 54 EC
Bonds . Date of Maturity:30/09/2013
NATIONAL HIGHWAYS AUTHORITY OF
INDIA
10000
6.00% Secured Non Convertible 54 EC
Bonds . Date of Maturity:31/10/2013
NATIONAL HIGHWAYS AUTHORITY OF
INDIA
10000
6.00% Secured Non Convertible 54 EC
Bonds . Date of Maturity:30/11/2013
NATIONAL HIGHWAYS AUTHORITY OF
INDIA
10000
6.00% Secured Non Convertible 54 EC
Bonds . Date of Maturity:31/12/2013
NATIONAL HIGHWAYS AUTHORITY OF
INDIA
10000
6.00% Secured Non Convertible 54 EC
Bonds . Date of Maturity:31/03/2014
NATIONAL HIGHWAYS AUTHORITY OF
INDIA
10000
6.00% Secured Non Convertible 54 EC
Bonds Tr.-XII. Date of
NATIONAL HIGHWAYS AUTHORITY OF
INDIA 6 BD 31MY14 FVRS10000
10000
5.10% Unsecured Non-Convertible
Capital Gains Bonds-2002. Letter of
NHB CAP BOND-02
5.1 LOA 31JN09 FV RS 10000
10,000.00
5.15 % Unsecured Capital Gain Bond
Annual Interest Paymetn Option Letter
NHB
5.1 LOA 30SP09 FV RS 10000
10000
5.10% Unsecured capital gain bonds
Option : Annual Ineterst Payment.
NHB
5.1 LOA 30NV09 FVRS10000
10000
5.35% (Annual interest payment
Option) Unsecured Capital gain bonds
NHB
5.35 LOA 31DC09 FVRS10000
10000
5.45% (Annual interest payment
option) Unsecured Capital gain bonds
NHB
5.45 LOA 31DC09 FVRS10000
10000
5.45% (Cumulative ) Unsecured Capital
gain bonds .Letter of allotment . Date
NHB
5.45 LOA 31DC09 FVRS10000
10000
5.50% Unsecured Non-Convertible
Capital Gains Bonds-2002. Letter of
NHB CAP BOND-02
5.5 LOA 28FB10 FV RS 10000
10000
5.25% NHB Priority Sector Bonds 2002-
2003 (Tax Free). Letter of Allotment
NHB NTXPS
5.25 LOA 25MR10 FV RS 1 LAC
100000
5.50% Unsecured Non-Convertible
Capital Gains Bonds-2002. Letter of
NHB CAP BOND-02
5.5 LOA 31MR10 FV RS 10000
10000
5.50% Unsecured Non-Convertible
Capital Gains Bonds-2002. Letter of
NHB CAP BOND-02
5.5 LOA 30AP10 FV RS 10000
10,000.00
5.25 % (Annual Interest Payment
option) Unsecured Non convertible
NHB
5.25 LOA 15JL10 FVRS10000
10000
5.25 % (Cumulative Interest Payment
option) Unsecured Non convertible
NHB
5.25 LOA 15JL10 FVRS10000
10000
5.50% Unsecured Non-Convertible
Capital Gains Cumulative Interest
NHB
CGB 5.5 LOA 31AG10 FVRS10000
10000
5.25% Unsecured Non-Convertible
Capital Gains Bonds-2002. Letter of
NHB CAP BOND-02
5.25 LOA 30SP10 FV RS 10000
10,000.000
5.25% Unsecured Non-Convertible
Capital Gains Bonds-2002. Letter of
NHB CAP BOND-02
5.25 LOA 30SP10 FV RS 10000
10,000.000
5.50% (Annual Interest Payment
option) Unsecured Non convertible
NHB
5.5 LOA 30SP10 FVRS10000
10000
5.50% (Cumulative Interest Pay ment
option) Unsecured non convertible
NHB
5.5 LOA 30SP10 FVRS10000
10000
5.25% Unsecured Non-Convertible
Capital Gains Bonds-2002. Letter of
NHB CAP BOND-02
5.25 LOA 31JL11 FV RS 10000
10000
5.25% Unsecured Cummulative Capital
Gain Bond Letter of allotment Date
NHB
5.25 LOA 30SP11 FV RS 10000
10000
5.25% Unsecured Non-Convertible
Capital Gains Bonds. Letter of
NHB
5.25 LOA 31OT11 FVRS 10000
10000
5.25% Unsecured Non-Convertible
Capital Gains Bonds. Letter of
NHB
5.25 LOA 31OT11 FVRS 10000
10000
5.10% Unsecured capital gain bonds
Option : cumulative Interest Payment.
NHB
5.25 LOA 30NV11 FVR10000
10000
5.50% (Annual intrest paymet option)
Unsecured Capital gain bonds .Letter
NHB
5.5 LOA 31DC11 FVRS10000
10000
5.50% (Cumulative) Unsecured Capital
gain bonds .Letter of allotment . Date
NHB
5.5 LOA 31DC11 FVRS10000
10000
5.50 % Unsecured Capital Gain bonds
(Annual Interest Payment Option ) .
NHB
5.5 LOA 31JN12 FVRS10000
10000
5.50% Unsecured Capital Gain bonds
(Cumulative Interest Payment Option )
NHB
5.5 LOA 31JN12 FVRS10000
10000
5.50% (Annual Interest Payment
Option) Unsecured Capital gain Bonds.
NHB
5.5 LOA 28FB12 FVRS10000
10000
5.50% (Cumulative Interest Payment
Option) Unsecured Capital gain Bonds.
NHB
5.5 LOA 28FB12 FVRS10000
10000
5.5% (Annual Interest Payment Option
) Capital Gain Bonds. Date of Maturity:
NHB
5.5 LOA 31MR12 FVRS10000
10000
5.5% (Cumulative Interest Payment
Option ) Capital Gain Bonds. Date of
NHB
5.5 LOA 31MR12 FVRS10000
10000
5.5%(Annual Interest Payment option)
Unsecured non convertible Capital gain
NHB
5.5 LOA 30AP12 FVRS10000
10000
5.5%(Cumulative Interest Payment
option) Unsecured non convertible
NHB
5.5 LOA 30AP12 FVRS10000
10000
5.35%(Annual Interest Payment option)
Unsecured non convertible Capital gain
NHB
5.35 LOA 30AP12 FVRS10000
10000
5.35%(Cumulative Interest Payment
option) Unsecured non convertible
NHB
5.35 LOA 30AP12 FVRS10000
10000
5.35 % (Annual Interest Payment
Option) Capital Gain bonds. Letter of
NHB
5.35 LOA 15MY12 FVRS10000
10000
5.35 % (Cumulative Interest Payment
Option) Capital Gain bonds. Letter of
NHB
5.35 LOA 15MY12 FVRS10000
10000
5.35 % (Annual Interest Payment
option) Unsecured Non Convertible
NHB
5.35 LOA 31MY12 FVRS10000
10000
5.35 % (Cumulative Interest Payment
option) Unsecured Non Convertible
NHB
5.35 LOA 31MY12 FVRS10000
10000
5.35 % (Annual Interest payment
option) Unsecured Caital Gain Bond.
NHB
5.35 LOA 15JU12 FVRS10000
10000
5.35 % (Cumulative Interest payment
option) Unsecured Capital Gain Bond.
NHB
5.35 LOA 15JU12 FVRS10000
10000
5.35% (Annual Interest Payment
Option) Unsecured Non Convertible
NHB
5.35 LOA 30JU12 FVRS10000
10000
5.35% (Cumulative Interest Payment
Option) Unsecured non convertible
NHB
5.35 LOA 30JU12 FVRS10000
10000
5.35 % (Annual Interest Payment
option) Unsecured Non convertible
NHB
5.35 LOA 15JL12 FVRS10000
10000
5.35 % (Cumulative Interest Payment
option) Unsecured Non convertible
NHB
5.35 LOA 15JL12 FVRS10000
10000
5.35 % (Annual Interest Paymen
Option) Unsecured Non convertible
NHB
5.35 LOA 31JL12 FVRS10000
10000
5.35 % (Cumulative Interest Paymen
Option) Unsecured Non convertible
NHB
5.35 LOA 31JL12 FVRS10000
10000
5.60% (Cumulative Interest Payment
Option) Unsecured NHB Capital Gain
NHB
5.6 LOA 31OT12 FVRS10000
10000
5.60 % (annual interest payment
option) Unsecured Non Convertible
NHB
5.6 LOA 31MR13 FVRS10000
10000
5.10% Unsecured Non-Convertible
Capital Gains Bonds-2002. Letter of
NHB CAP BOND-02
5.1 LOA 30JU09 FV RS 10000
10,000.00
5.25% Unsecured Non-Convertible
Capital Gains Bonds-2002. Letter of
NHB CAP BOND-02
5.25 LOA 30AP11 FV RS 10000
10,000.00
9.5% Taxfree Bonds. Date of Maturity:
31.12.2006.
NATIONAL TEXTIL
9.5 BD 31DC06 FV RS 1 LAC
1,00,000
15.75% Secured Redeemable Non-
Convertible Non-Cumulative Taxable
NTPC TX-15A
15.75 LOA 31MR05 FV RS 1 LAC
100000
10.00 % Secured Redeemable Non
Convertible bonds . Final date of
NEELCAHAL ISPAT
10 BD 30JU11 FVRS5LAC
500000
Secured Non Convertible Debenture.
Letter of Alloment.Date of Maturity :
NEPTUNE DEVELOPERS PRIVATE
LIMITED
75000
4.00% Unsecured Fully & Compulsory
Convertible Debentures.Date of
NETZONE DEVELOPERS PVT LTD
4 FCD 19NV12 FVRS5000
5000
Zero coupon Unsecured Optionally
Convertible Debentures.Date of
NETZONE DEVELOPERS PVT LTD
OCD 19NV13 FVRS5000
5000
6.0% Secured Redeemable non
Convertible debenture . Series 1 Part
NIIT TECHNOLOGIES LIMITED
SR-1/C NCD 26MY07 FVRS1CR
10000000
6.0% Secured Redeemable non
Convertible debenture . Series 1 Part
NIIT TECHNOLOGIES LIMITED
SR-1/D NCD 26MY08 FVRS1CR
10000000
Equity Linked Secured Non-Convertible
Debenture. Series- NCE001. Date of
NOMURA CAPITAL (INDIA) PVT. LTD.
SR-NCE001 BR NCD 03MR14 FVRS1LAC
100000
7.90% Secured Non-Convertible PSU
Bonds Series-8. Date of Maturity :
NEEPCO SR-8
7.9 LOA 07JN10 FV RS 10 LAC
1000000
Pass through Certificates. Series I
(Trustee: Axis Bank Limited,
NOVO I TRUST - ABL
SR-I PTC 16JU08
48877882
Pass through Certificates. Series P
(Trustee: Axis Bank Limited,
NOVO I TRUST - ABL
SR-P PTC 16JU08
9151799.8
Pass through Certificates. Series J
(Trustee: IDBI Trusteeship Services
NOVO IV TRUST LOCOMOTIVE - ITSL
SR-J PTC 02MR09
669402
11.50% Secured Redeemable Non
Convertible Debenture.Letter of
NRB BEARINGS LT
11.5 LOA 31MY14 FVRS10LAC
1000000
7.7125% Secured Non cumulative non
convertible Redeemable Taxable
NTPC LIMITED
I 7.7125 LOA 02AG14 FVRS1LAC
100000
9.37% Secured Non cumulative non
convertible Redeemable Taxable
NTPC LIMITED
STRPP-E 9.37 LOA 04JU14 FVRS5LAC
500000
9.06% Secured Non cumulative non
convertible Redeemable Taxable
NTPC LIMITED
STRPP- E 9.06 LOA 04JU14 FVRS5LAC
500000
10.75% Fully Secured Non-Convertible
Taxable Bond
NPCIL SR-17
10.75 BD 31MR06
1,00,000
10% Fully Secured Non-Convertible
Infrastructure Bond
NPCIL SR-16
10 BD 30MR08
1,00,000
10.40% Taxfree Secured Non-
Convertible Bonds in the form of
NPCIL NTX-11A2
10.4 LOA 13NV07 FV RS 1 LAC
1,00,000
8.20% Tax free Bonds Series XVIII (LOA) NPCIL SR-18
8.2 LOA 20FB12
1,00,000
SERIES A UNSECURED COMPULSORY
CONVERTIBLE DEBENTURES. DATE OF
NUNLET PROJECTS PRIVATE LIMITED SR-
A FCD 26MR14 FVRS100
100
13.32% Secured Non-Convertible
Debenture Letter of Allotment Date of
ORBIT CORPORATION LIMITED
13.32 LOA 31MR12 FVRS10LAC
1000000
7.15% Unsecured Redeemable Non
Convertible Bonds in the nature of
ORIENTAL BANK
7.15 BD 22AP08 FV RS 10 LAC
10,00,000
10.20% Secured Non-Convertible
Debenture. Letter of Allotment.
PAREKH ALUMINEX
10.2 LOA 01DC13 FVRS1LAC
100000
10.20% Secured Non-Convertible
Debenture. Letter of Allotment.
PAREKH ALUMINEX
10.2 LOA 01DC14 FVRS1LAC
100000
11.00% Secured Non-Convertible
Debenture. Letter of Allotment. Series-
PAREKH ALUMINEX LIMITED 11 LOA
13JN14 FVRS1LAC
100000
9.75% Secured Redeemable Non
Convertible Debenture in the form of
PAREKH ALUMINEX
9.75 LOA 01MR14 FVRS1LAC
100000
10.75% Secured Non-Convertible
Debenture. Letter of Allotment.
PATEL ENGINEERING LIMITED 10.75
LOA 03MR14 FVRS1LAC
100000
9.55% Secured Non convertible
debentures. in the form of Separately
PATEL ENGINE.
9.55 LOA 26AP14 FVRS1LAC
100000
13.25% Secured Non-Convertible
Debenture. Letter of Allotment. Date
PFS SHIPPING (INDIA) LTD
13.25 LOA 15OT13 FVRS1CR
10000000
8.60% Secured Redeemable Non-
Convertible Debentures. Date of Final
PHILLIPS CARBON
8.6 NCD 31DC07 FV RS 10 LAC
10,00,000
Reset Rate Unsecured Optionally
Convertible Bonds. Letter of
PIPAVAV SHIPYARD LIMITED
RR LOA 30SP11 FVRS10LAC
1000000
16.00% Secured NCD. Date of
Redemption: 31.03.2010
PONNI SUGARS
16 NCD 31MR10 FV RS 90
150 ( OUT OF WHICH Rs.60 converted
into Equity shares & balance
6.00% Unsecured , Redeemable Non
convertible taxable bonds in nature of
PFC
SR-1 OP-1 6 LOA 15FB10 FVRS10000
10000
6.00% Cumulative Unsecured Non
convertible Taxable, Infrastructure
PFC
SR-1 OP-2 6 LOA 15FB10 FVRS10000
10000
6.00% (Annual) Unsecured Redeemable
non convertible Taxable infrastructure
PFC
OP-1 6 LOA 31MR10 FVRS10000
10000
6.00% (Cumulative) Unsecured
Redeemable non convertible Taxable
PFC
OP-2 6 LOA 31MR10 FVRS10000
10000
9.60% Unsecured Redeemable , Non
convertible , Non Cumulative Taxable
POWER FINANCE CORPORATION
LIMITED
1000000
7.00% Unsecured Redeemable Non-
Convertible Non-cumulatvie Taxable
PFC
SR-21B 7 LOA 02NV14 FVRS 10LAC
1000000
8.21% Unsecured Taxable PFC Bonds
(2017).with Seperately Transferable
PFC-17 STRPP-G
8.21 LOA 03OT14 FV RS 10 LAC
10,00,000
20% Secured Non-Convertible
Debenture.Date of Maturity
PRINCE FOUNDATIONS LIMITED 20 NCD
31MR14 FVRS1LAC
100000
10.00% Secured Redeemable Non
Convertible Debenture.Letter of
PUNJ LLOYD LIMITED
10 LOA 10MR14 FVRS1LAC
100000
7.70 % Unsecured Non convertible
Bonds in nature of promissory notes.
PUNJAB STATE INDS DEVPT CORP
SR-3 7.7 LOA 30JU12 FVRS1LAC
100000
Reset rate Secured Fully Convertible
Class A Debenture.Series 1.Date of
PURANIK BUILDCON PRIVATE LIMITED
SR-1 RR FCD 06SP10 FVRS10
10
Reset rate Secured Fully Convertible
Class A Debenture.Series 2.Date of
PURANIK BUILDCON PRIVATE LIMITED
SR-2 RR FCD 06SP10 FVRS10
10
Reset rate Secured Fully Convertible
Class A Debenture.Series 3.Date of
PURANIK BUILDCON PRIVATE LIMITED
SR-3 RR FCD 06SP10 FVRS10
10
Reset rate Secured Fully Convertible
Class A Debenture.Series 4.Date of
PURANIK BUILDCON PRIVATE LIMITED
SR-4 RR FCD 06NV11 FVRS10
10
7.92% State Govt. Guaranteed
Redeemable Non-Convertible Bonds
RFC SR-63
7.92 LOA 25JL12 FV RS 100
100.00
6.50% State Govt. Guaranteed
Redeemable Non-Convertible Bonds
RFC SR-64
6.5 LOA 11MR13 FV RS 100
100.00
12.25% RSEB bonds in the form of
Promissory Notes (2000-01) Taxable .
RSEB TAXABLE
12.25 BD 30JU07 FV RS 1 LAC
100000
13.15% Unsecured Backed by Rajasthan
Govt. Guarantee Non convertible
RSIDIC LTD
13.15 BD 22JN07 FV RS 1 LAC
1,00,000
11.50% Unsecured Non Convertible
Debenture. Letter of Allotment.Date
RAMSARUP INDUSTRIES
11.5 LOA 10JL09 FVRS1LAC
100000
11.50% Unsecured Non Convertible
Debenture. Letter of Allotment.Date
RAMSARUP INDUSTRIES
11.5 LOA 24JL09 FVRS1LAC
100000
Pass through Certificates. Series A
(Trustee: Axis Bank Limited,
RB LOAN TRUST SERIES VI 2007 - ABL
SR-A PTC 27DC07
10093401.34
Nifty Linked Secured Non Convertible
Debenture. Letter of allotment. Series
RBS FINANCIAL SERVICES (INDIA)
PRIVATE LTD
100000
Nifty Index Linked Secured Non-
Convertible Debenture. Letter of
RBS FINANCIAL SERVICES (INDIA)
PRIVATE LTD
100000
Pass through Certificates. Series A1
(Trustee: IDBI Trusteeship Services
RECEIVABLE SECURITISATION TRUST-SR
X- ITSL
10433510.05
Pass Through Certificates. Series-
A1.Trustee: IDBI Trusteeship Services
RECEIVABLES SECURITISATION TR SR XV-
ITSL
10035749.57
11.75% Secured Non Convertible
Debentures in the form of Separately
REI AGRO
11.75 LOA 07DC13 FVRS1LAC
100000
11.75% Secured Non Convertible
Debentures..STRPPs - Series - II Letter
REI AGRO
11.75 LOA 20DC13 FVRS1LAC
100000
10.50% Secured Non-Convertible
Debenture. Letter of Allotment. Date
RELIANCE CAPITAL LIMITED 10.5 LOA
01JL14 FVRS10LAC
1000000
NIFTY LINKED SECURED NON
CONVERTIBLE REDEEMABLE
RELIANCE CAPITAL LIMITED BR LOA
01SP14 FVRS1LAC
100000.000
NIFTY LINKED SECURED REDEEMABLE
NON CONVERTIBLE DEBENTURES.
RELIANCE CAPITAL LIMITED BR LOA
02AP14 FVRS1LAC
100000.000
NIFTY LINKED SECURED REDEEMABLE
NON CONVERTIBLE DEBENTURES.
RELIANCE CAPITAL LIMITED SR B/73 BR
LOA 02AP14 FVRS1LAC
99000.000
Nifty Linked Secured Non-Convertible
Debenture. Letter of Allotment.Series-
RELIANCE CAPITAL LIMITED SR-B-16 BR
LOA 02JU14 FVRS1LAC
100000
Nifty Linked Secured Non-Convertible
Debenture. Letter of Allotment.Series-
RELIANCE CAPITAL LIMITED SR-B-15 BR
LOA 02JU14 FVRS1LAC
100000
NIFTY LINKED SECURED REDEEMABLE
NON CONVERTIBLE DEBENTURES.
RELIANCE CAPITAL LIMITED SR-B/115
BR LOA 18AP14 FVRS10LAC
1000000.000
NIFTY LINKED SECURED REDEEMABLE
NON CONVERTIBLE DEBENTURES.
RELIANCE CAPITAL LIMITED SR-B/119
BR LOA 24AP14 FVRS10LAC
1000000.000
NIFTY LINKED SECURED REDEEMABLE
DEBENTURES. LETTER OF
RELIANCE CAPITAL LIMITED BR LOA
05NV14 FVRS1LAC
100000.000
NIFTY LINKED SECURED REDEEMABLE
NON CONVERTIBLE DEBENTURES.
RELIANCE CAPITAL LIMITED SR B/137
BR LOA 05JU14 FVRS1LAC
100000
10.75% Secured Non-Convertible
Debenture.Letter of Allotment. Date
RELIANCE CAPITAL LIMITED 10.75 LOA
06JU14 FVRS10LAC
1000000
10.30% SECURED NON-CONVERTIBLE
DEBENTURE.SERIES RCAP LT -
RELIANCE CAPITAL LIMITED 10.3 LOA
06JU14 FVRS10LAC
1000000.000
13.60% SECURED REDEEMABLE NON
CONVERTIBLE TAXABLE DEBENTURES.
RELIANCE INFRATEL LIMITED SR-2 13.6
LOA 01OT14 FVRS10LAC
1000000
10.25% Non Convertible Debentures
(Series II)
REL TELCOM SR-2 10.25 NCD 08DC04
FV RS 325000
5,00,000
12.00% Secured Redeemable NCD -PPD
V
RUPL PPD 512 NCD 11AP08 FV RS 10
LAC
1000000
Cumulative interest (On
Maturity,8.70% on principal & 10% on
RECL OPT-3 54EC
8.7 BD 31JN07 FV RS 10000
10000
8.00% (Annually) 54EC bonds in the
Form of Debentures( On Tap Issue). ,
RECL OPT-1 54EC
8 BD 31MR07 FV RS 10000
10000
8.70% (Annually) 54EC bonds in the
Form of Debentures( On Tap Issue). ,
RECL OPT -1 54EC
8.7 BD 31MR07 FV RS 10000
10000
9.00% Infrastructure Bonds. Date of
Redemption : 31/03/2007.
RECL INFRA.
9 BD 31MR07 FV RS 5000
5000
9.00% Infrastructure Bonds in the form
of debentures.(On Tap Issue) Date of
RECL INFRA.
9 BD 31JL07 FV RS 5000
5000
7.50% (Annually) 54EC bonds in the
Form of Debentures( On Tap Issue). ,
RECL OPT-1 54EC
7.5 BD 31AG07 FV RS 10000
10000
8.00%(Annually) Infrastructure Bonds
in the form of debentures.(On Tap
RECL INFRA.
8 BD 31AG07 FV RS 5000
5000
8.00%(Annually) Infrastructure Bonds
in the form of debentures.(On Tap
RECL INFRA.
8 BD 30SP07 FV RS 5000
5000
7.50%(Annually) Infrastructure Bonds
in the form of debentures.(On Tap
RECL INFRA.
7.5 BD 31DC07 FV RS 5000
5000
6.10% (Annually) 54EC bonds in the
Form of Debentures( On Tap Issue). ,
RECL OPT-1 54EC
6.1 BD 31MR08 FV RS 10000
10000
6.00% Secured non convertible Section
88 Infrastructure Bonds Series IV. Date
RURAL ELECTRIFICATION CORP
SR-4 6 BD 31MR08 FVRS5000
5000
Reset Rate ( 5.15% for 1st 36 months)
Secured Redeemable 54EC Capital
RECL 54EC
RR LOA 31OT08 FV RS 10000
10,000.000
Reset rate (5.15% for 1st 36 months)
Secured Redeemable 54 EC Capital
RECL 54EC
RR BD 31DC08 FV RS 10000
10,000.000
Reset rate (5.60% for 1st 36 months)
REC Secured Redeemable Sec-88
RECL INFRA.
RR BD 31JN09 FV RS 5000
5,000.000
Reset rate (5.60% for 1st 36 months)
Secured Redeemable Sec-88
RECL INFRA.
RR BD 31MR09 FV RS 5000
5,000.00
5.15% Secured Redeemable 54EC
Capital Gain Tax Exemption Bonds -
RECL 54EC
RR BD 31AG09 FV RS 10000
10000
6.90% Taxable Priority Sector Non-
Convertible Bonds. 2009 issued in the
RECL TXPS SR-64
6.9 BD 27SP09 FV RS 10 LAC
1000000
5.15% Secured Redeemable 54EC
Capital Gain Tax Exemption Bonds -
RECL 54EC
SR04 RR BD 31OT09 FV RS 10000
10000
5.25% Secured Redeemable Non
Convertible 54EC Capital Gain Taxable
RURAL ELECTRIFICATION CORP
5.25 BD 31JN10 FVRS10000
10000
5.25% Secured Redeemable Non
Convertible 54EC Capital Gain Taxable
RURAL ELECTRIFICATION CORP
5.25 BD 28FB10 FVRS10000
10000
6.25% Secured non convertible Section
88 Infrastructure Bonds Series IV. Date
RURAL ELECTRIFICATION CORP
SR-4 6.25 BD 31MR10 FVRS5000
5000
5.25% Secured Redeemable Non
Convertible 54EC Capital Gain Taxable
RURAL ELECTRIFICATION CORP
5.25 BD 31MR10 FVRS10000
10000
5.50% Secured Non Comvertible 54EC
Capital Gain Tax Exemption Bonds -
RECL 54EC
SR-VII 5.5 BD 31JL10 FVRS10000
10000
5.50% Secured Non Convetible 54EC
Capital Gain Tax Exemption Bonds -
RECL 54EC
SR-VII 5.5 BD 31AG10 FVRS10000
10000
5.50% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds -
RECL 54EC
SR-VII 5.5 BD 30SP10 FVRS10000
10000
5.50% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds -
RECL 54EC
SR-VII 5.5 BD 31OT10 FVRS10000
10000
5.50% Secured Redeemable 54EC
Capital Gain Tax Exemption Bonds -
RECL 54EC
SR-V RR BD 30NV10 FVRS10000
10000
11.50% Govt. Guaranteed Non-
Convertible SLR BONDS - 2010 SERIES
RECL SLR SR-22
11.5 BD 27DC10 FV RS 10000
10000
5.50% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds -
RECL 54EC
SR-VII 5.5 BD 31DC10 FVRS10000
10000
5.50% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds -
RECL 54EC
SR-VII 5.5 BD 31JN11 FVRS10000
10000
5.50% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds -
RECL 54EC
SR-VII 5.5 BD 28FB11 FVRS10000
10000
5.50% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds -
RECL 54EC
SR-VII 5.5 BD 31MR11 FVRS10000
10000
12.00% Govt. Guaranteed Non-
Convertible SLR BONDS - 2011 SERIES
RECL SLR-23 TR1
12 BD 05DC11 FV RS 10000
10000
5.75% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds .
RURAL ELECTRIFICATION CORP
5.75 BD 30JU11 FVRS10000
10000
5.50% Secured Redeemable 54EC
Capital Gain Taxable Bonds . Date of
RURAL ELECTRIFICATION CORP
5.5 BD 31JL11 FVRS10000
10000
10.95% Secured Redeemable Non
convertible taxable bonds-2011 .
RURAL ELECTRIFICATION CORP
10.95 LOA 14AG11 FVRS10LAC
1000000
5.75% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds .
RURAL ELECTRIFICATION CORP
5.75 BD 31AG11 FVRS10000
10000
5.75% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds .
RURAL ELECTRIFICATION CORP
5.75 BD 31OT11 FVRS10000
10000
6.25% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds .
RURAL ELECTRIFICATION CORP
6.25 BD 30NV11 FVRS10000
10000
5.60% Secured Redeemable 54EC
Capital Gain Tax Exemption Bonds -
RECL 54EC
SR-4 RR BD 31DC11 FVRS10000
10000
6.25% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds .
RURAL ELECTRIFICATION CORP
6.25 BD 31DC11 FVRS10000
10000
6.25% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds .
RURAL ELECTRIFICATION CORP
6.25 BD 31JN12 FVRS10000
10000
5.60% Secured Redeemable 54EC
Capital Gain Tax Exemption Bonds -
RECL 54EC
SR-4 RR BD 28FB12 FVRS10000
10000
6.25% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds .
RURAL ELECTRIFICATION CORP
6.25 BD 31MR12 FVRS10000
10000
6.25% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds .
RURAL ELECTRIFICATION CORP
6.25 BD 31MY12 FVRS10000
10000
6.25% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds .
RURAL ELECTRIFICATION CORP
6.25 BD 31AG12 FVRS10000
10000
6.25% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds .
RURAL ELECTRIFICATION CORP
6.25 BD 31OT12 FVRS10000
10000
6.25% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds .
RURAL ELECTRIFICATION CORP
6.25 BD 30NV12 FVRS10000
10000
6.25% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds .
RURAL ELECTRIFICATION CORP
6.25 BD 31JN13 FVRS10000
10000
6.25% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds .
RURAL ELECTRIFICATION CORP
6.25 BD 28FB13 FVRS10000
10000
6.25% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds .
RURAL ELECTRIFICATION CORP
6.25 BD 31MR13 FVRS10000
10000
10.75% Secured Redeemable Non
convertible taxable bonds-2013 .
RURAL ELECTRIFICATION CORP
10.75 LOA 24JL13 FVRS10LAC
1000000
6.00% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds .
RURAL ELECTRIFICATION CORP
6 BD 31JL13 FVRS10000
10000
10.90% Secured Redeemable Non
convertible taxable bonds-2013 .
RURAL ELECTRIFICATION CORP
10.9 LOA 14AG13 FVRS10LAC
1000000
6.00% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds .
RURAL ELECTRIFICATION CORP
6 BD 31AG13 FVRS10000
10000
10.90% Secured Redeemable Non
convertible taxable bonds-2013 .
RURAL ELECTRIFICATION CORP
10.9 LOA 30SP13 FVRS10LAC
1000000
6.00% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds .
RURAL ELECTRIFICATION CORP
6 BD 31DC13 FVRS10000
10000
6.00% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds .
RURAL ELECTRIFICATION CORP
6 BD 28FB14 FVRS10000
10000
6.00% Secured Non Convertible 54EC
Capital Gain Tax Exemption Bonds .
RURAL ELECTRIFICATION CORP
6 BD 31MR14 FVRS10000
10000
6.00% Secured Non-Convertible 54 EC
Capital gain Tax exemption Bond. Date
RURAL ELECTRIFICATION
CORPORATION LIMITED 6 BD 30AP14
10000
6.00% Secured Non-Convertible 54 EC
Capital gain Tax exemption Bond. Date
RURAL ELECTRIFICATION
CORPORATION LIMITED 6 BD 31MY14
10000
7.70% Secured Redeemable Non
convertible Non Cumulative taxable
RURAL ELECTRIFICATION CORP
7.7 LOA 02JU14 FVRS10LAC
1000000
Reset rate Secured Non Convertible
Debentures. Date of Maturity :
S. KUMARS NATIONWIDE LIMITED
RR NCD 26JU11 FVRS100
100
12.50% Secured redeemable Non
Convertible Debenture.Letter of
SADBHAV ENGINEERING LIMITED
12.5 LOA 23MR14 FVRS10LAC
1000000
18% Secured NCD. Series V. Date of
final redemption:1-10-05
SAKTHI SUGARS SR-5
18 NCD 01OT05
100
8.10% Unsecured Non Convertible
Debentures (Letter of Allotment)
SADVIK ASIA
8.1 LOA 24FB02
100
13% Secured Non Convertible
Infrastructure Bond (Date of maturity :
SSNNL
13 IBD 20MY06 FV RS 50000
50000
12.35% Regular Secured Redeemeable
Non Convertible Bond. Date of
SSNNL
12.35 BD 31MY07 FV RS 50000
50000
9.20% Secured Non Convertible
Taxfree Bonds,.Series-I-A. Date of
SSNNL NTX
9.2 BD 30SP07 FV RS 1 LAC
1,00,000
9.20% Secured Non Convertible
Taxfree Bonds, Series-II-A. Date of
SSNNL NTX SR-2A
9.2 BD 21OT07 FV RS 10000
10000
12.50% Regular Secured Redeemable
Non Convertible Bond (Date of
SSNNL
12.5 BD 16AP08 FV RS 1 LAC
100000
11.25% Secured Non Convertible
Regular Bonds-I, 2002-03 Series-I.
SSNNL SR-3 OPT1
11.25 BD 13MR09 FV RS 1 LAC
1,00,000
9.50% Secured Non Convertible
Taxfree Bonds, Series-I-B. Date of
SSNNL NTX
9.5 BD 30SP09 FV RS 1 LAC
1,00,000
9.50% Secured Non Convertible
Taxfree Bonds, Series-II-B. Date of
SSNNL NTX SR-2B
9.5 BD 21OT09 FV RS 10000
10000
8.50% Secured Non Convertible Private
placement of bonds-Option I. Letter Of
SSNNL
8.5 LOA 27JN11 FV RS 10 LAC
1,000,000.000
11.50% Secured Non Convertible
Regular Bonds II, 2001-02 Series-III.
SSNNL SR-3 OPT2
11.5 BD 13MR12 FV RS 1 LAC
1,00,000
15.25% Secured Optionally Convertible
Debentures. Date of Final Redemption:
SEAJULI PROPERT
15.25 OFCD01JN11 FV RS 100
100
15% UNSECURED COMPULSORY
CONVERTIBLE DEBENTURE. DATE OF
SELENE CONSTRUCTIONS LIMITED 15
CCD 30NV13 FVRS1000
1000
15% UNSECURED COMPULSORY
CONVERTIBLE DEBENTURE. DATE OF
SELENE ESTATE LIMITED 15 CCD
30NV13 FVRS1000
1000
1Yr INBMK+250bps Secured Non
Convertible Debentures. Letter of
SHAH ALLOYS LTD
BR LOA 15NV10 FVRS10LAC
1000000
9% Secured Non Convertible
Debentures. Letter of allotment. Final
SHAH ALLOYS LTD
9 LOA 15NV10 FVRS10LAC
1000000
6% ( YTM OF 11.57% annualized )
Secured Redeemable Optionally
SHIV-VANI OIL & GAS EXPLORATION
SERVICES LTD 6 LOA 10AG12
1000000
14.50%(18.00% till 31/05/2001)
Secured Redeemable Non-Convertible
SHREE CEMENT
14.5 NCD 01AP03
100
14.50%(20.00% till 31/05/2001)
Secured Redeemable Non-Convertible
SHREE CEMENT
14.5 NCD 01OT03
100
11.50% Unsecured Redeemeable NCD,
Date of final Redemption: 19/01/2003.
SHREE RAMA MULT
11.5 LOA 19JN03
100
16.50% Secured NCD.Date of Final
Redemption: 17/09/2003
SHREE RAMA MULT
16.5 NCD 17SP03
100
16.50% Secured NCD.Date of Final
Redemption: 15/01/2004
SHREE RAMA MULT
16.5 NCD 15JN04
100
15.50% Secured NCD.Date of Final
Redemption: 21/06/2004
SHREE RAMA MULT
15.5 NCD 21JU04
100
7%Secured Redeemable Non-
convertible debentures
SHREYANS INDUST 7 NCD 31MR10 FV
RS 100
100
ZERO COUPON Secured Non-
Convertible Debenture.Date of
SHRIRAM CITY UNION FINANCE LIMITED
NCD 01DC14 FVRS10LAC
1000000
Zero Coupon Secured Non-Convertible
Debenture. Date of Maturity
SHRIRAM CITY UNION FINANCE LIMITED
NCD 02JU14 FVRS10LAC
1000000
Zero Coupon Secured Non-Convertible
Debenture. Letter of Allotment. Date
SHRIRAM EQUIPMENT FINANCE CO LTD
LOA 01DC14 FVRS10LAC
1000000
10.20% Secured Redeemable Non
Convertible debentures. Date of
SHRIRAM TRANS
10.2 NCD 21SP10 FVRS10LAC
1000000
10.42% Secured Non-Convertible
Debenture. Letter of Allotment. Date
SHRIRAM TRANSPORT FINANCE
COMPANY LIMITED 10.42 LOA 02DC14
1000000
8.50% Unsecured Redeemable NCD
(LOA)maturity date-01/12/2002
SICOM LIMITED
8.5 LOA 01DC02
100000
Zero Coupon Secured Redeemable Non
Convertible Debentures. Date of
SKYDECK PROPERTIES & DEVELOPERS
P. LTD.
1000000
7.25% Unsecured SIDBI Capital Gains
Bonds.Option I, Annual Interest
SIDBI CAP GAIN1
7.25 BD 31AG05 FV RS 10000
10000
7.50% Unsecured SIDBI Capital Gains
Bonds.Option I, Cumulative Interest
SIDBI CAP GAIN1
7.5 BD 31AG05 FV RS 10000
10000
7.25% Unsecured SIDBI Capital Gains
Bonds.Option I, Cumulative Interest
SIDBI CAP GAIN1
7.25 BD 31AG05 FV RS 10000
10000
6.00% Unsecured Priority Sector Bonds
.
SIDBI PS
6 BD 28SP05 FV RS 1 CR
10,000,000.00
7.00% Unsecured SIDBI Capital Gains
Bonds.Option I, Annual Interest
SIDBI CAP GAIN1
7 BD 31OT05 FV RS 10000
10000
7.25% Unsecured SIDBI Capital Gains
Bonds.Option I, Cumulative Interest
SIDBI CAP GAIN1
7.25 BD 31OT05 FV RS 10000
10000
7.00% Unsecured SIDBI Capital Gains
Bonds.Option I, Cumulative Interest
SIDBI CAP GAIN1
7 BD 31OT05 FV RS 10000
10000
7.00% Unsecured SIDBI Capital Gains
Bonds.Option I, Cumulative Interest
SIDBI CAP GAIN1
7 BD 30NV05 FV RS 10000
10000
6.50% Unsecured SIDBI Capital Gains
Bonds.Option I, Cumulative Interest
SIDBI CAP GAIN1
6.5 BD 30NV05 FV RS 10000
10000
6.25% Unsecured SIDBI Capital Gains
Bonds.Option I, Annual Interest
SIDBI CAP GAIN1
6.25 BD 31DC05 FV RS 10000
10000
6.50% Unsecured SIDBI Capital Gains
Bonds.Option I, Cumulative Interest
SIDBI CAP GAIN1
6.5 BD 31DC05 FV RS 10000
10000
6.25% Unsecured SIDBI Capital Gains
Bonds.Option I, Cumulative Interest
SIDBI CAP GAIN1
6.25 BD 31DC05 FV RS 10000
10000
5.75% Unsecured SIDBI Capital Gains
Bonds. Annual Interest Payment. Date
SIDBI CAP GAIN
5.75 BD 31JN06 FV RS 10000
10000
5.75% Unsecured SIDBI Capital Gains
Bonds. Cumulative Interest Payment.
SIDBI CAP GAIN
5.75 BD 31JN06 FV RS 10000
10000
5.50% Unsecured SIDBI Capital Gains
Bonds. Annual Interest Payment. Date
SIDBI CAP GAIN
5.5 BD 31JN06 FV RS 10000
10000
5.50% Unsecured SIDBI Capital Gains
Bonds. Cumulative Interest Payment.
SIDBI CAP GAIN
5.5 BD 31JN06 FV RS 10000
10000
5.00% Unsecured SIDBI Capital Gains
Bonds.Annual Interest Payment. Date
SIDBI CAP GAIN
5 BD 31JN06 FV RS 10000
10000
5.00% Unsecured SIDBI Capital Gains
Bonds. Cumulative Interest Payment.
SIDBI CAP GAIN
5 BD 31JN06 FV RS 10000
10000
6.25% Unsecured Capital Gains Bonds.
Annual Interest Payment.
SIDBI CAP GAIN
6.25 BD 31JN06 FV RS 10000
10,000.000
6.25% Unsecured Capital Gains Bonds.
Cumulative Interest Payment.
SIDBI CAP GAIN
6.25 BD 31JN06 FV RS 10000
10,000.000
5.00% Unsecured SIDBI Capital Gains
Bonds.Cumulative Interest Payment.
SIDBI CAP GAIN
5 BD 28FB06 FV RS 10000
10000
5.50% Unsecured Capital Gains Bonds.
Annual Interest Payment.
SIDBI CAP GAIN
5.5 BD 28FB06 FV RS 10000
10,000.000
5.50% Unsecured Capital Gains Bonds.
Cumulative Interest Payment.
SIDBI CAP GAIN
5.5 BD 28FB06 FV RS 10000
10,000.000
5.70% Unsecured Priority Sector Bonds
.
SIDBI PS
5.7 BD 27MR06 FV RS 1 CR
10,000,000.00
5.00% Unsecured SIDBI Capital Gains
Bonds.Annual Interest Payment.
SIDBI CAP GAIN
5 BD 31MR06 FV RS 10000
10000
5.00% Unsecured SIDBI Capital Gains
Bonds.Cumulative Interest Payment.
SIDBI CAP GAIN
5 BD 31MR06 FV RS 10000
10000
5.00% Unsecured SIDBI Capital Gains
Bonds.Annual Interest Payment.
SIDBI CAP GAIN
5 BD 30AP06 FV RS 10000
10,000.00
5.00% Unsecured SIDBI Capital Gains
Bonds.Cumulativel Interest Payment.
SIDBI CAP GAIN
5 BD 30AP06 FV RS 10000
10,000.00
5.50% Unsecured SIDBI Capital Gains
Bonds.Cumulative Interest Payment.
SIDBI CAP GAIN
5.5 BD 30AP06 FV RS 10000
10,000.00
5.25% Unsecured Capital Gains Bonds.
Annual Interest Payment.
SIDBI CAP GAIN
5.25 BD 31MY06 FV RS 10000 FV RS
10,000.00
5.25% Unsecured Capital Gains Bonds.
Cummulatuive Interest Payment on
SIDBI CAP GAIN
5.25 BD 31MY06 FV RS 10000 FV RS
10,000.00
5.25% Unsecured Capital Gains Bonds.
One Time Interest Payment on
SIDBI CAP GAIN
5.25 BD 31MY06 FV RS 10000 FV RS
10,000.00
5.25% Unsecured SIDBI Capital Gains
Bonds.Annual Interest Payment.
SIDBI CAP GAIN
5.25 BD 30JU06 FV RS 10000
10,000.00
5.25% Unsecured SIDBI Capital Gains
Bonds. Cumulative Interest Payment.
SIDBI CAP GAIN
5.25 BD 30JU06 FV RS 10000
10,000.00
5.50% Unsecured SIDBI Capital Gains
Bonds. Cumulative Interest Payment.
SIDBI CAP GAIN
5.5 BD 30JU06 FV RS 10000
10,000.00
5.25% Unsecured SIDBI Capital Gains
Bonds. One time Interest Payment on
SIDBI CAP GAIN
5.25 BD 30JU06 FV RS 10000
10,000.00
5.25% Unsecured Capital Gains Bonds.
Annual Interest Payment.
SIDBI CAP GAIN
5.25 BD 31JL06 FV RS 10000
10,000.000
5.25% Unsecured Capital Gains Bonds.
Cummulative Interest Payment.
SIDBI CAP GAIN
5.25 BD 31JL06 FV RS 10000
10,000.000
5.50% Unsecured Capital Gains Bonds.
Cummulative Interest Payment.
SIDBI CAP GAIN
5.5 BD 31JL06 FV RS 10000
10,000.000
5.50% Unsecured Capital Gains Bonds.
Cummulative Interest Payment
SIDBI CAP GAIN
5.5 BD 30SP06 FV RS 10000
10,000.000
5.00% Unsecured Capital Gains Bonds.
Cummulative Interest Payment
SIDBI CAP GAIN
5 BD 30SP06 FV RS 10000
10,000.000
5.00% Unsecured Capital Gains Bonds.
Annual Interest Payment.
SIDBI CAP GAIN
5 BD 31DC06 FV RS 10000
10,000.000
5.00% Unsecured Capital Gains Bonds.
Cummulative Interest Payment
SIDBI CAP GAIN
5 BD 31DC06 FV RS 10000
10,000.000
5.00% Unsecured Capital Gains Bonds.
Annual Interest Payment.
SIDBI CAP GAIN
5 BD 28FB07 FV RS 10000
10000
5.00% Unsecured Capital Gains Bonds.
Cumulative Interest Payment.
SIDBI CAP GAIN
5 BD 28FB07 FV RS 10000
10000
5.00% Unsecured Capital Gains Bonds.
Cumulative Interest Payment.
SIDBI CAP GAIN
5 BD 30AP07 FV RS 10000
10000
7.50% Unsecured SIDBI Capital Gains
Bonds.Option II, Annual Interest
SIDBI CAP GAIN2
RR BD 31AG07 FV RS 10000
10000
7.25% Unsecured SIDBI Capital Gains
Bonds.Option II, Annual Interest
SIDBI CAP GAIN2
RR BD 31AG07 FV RS 10000
10000
7.50% Unsecured SIDBI Capital Gains
Bonds.Option II, Cumulative Interest
SIDBI CAP GAIN2
RR BD 31AG07 FV RS 10000
10000
7.25% Unsecured SIDBI Capital Gains
Bonds.Option II, Cumulative Interest
SIDBI CAP GAIN2
RR BD 31AG07 FV RS 10000
10000
13.00%SIDBI SLR Bonds ( Series I)in the
form of Promissory Notes. Date of
SIDBI SLR-1
13 BD 16SP07 FV RS 1000
1000
7.25% Unsecured SIDBI Capital Gains
Bonds.Option II, Cumulative Interest
SIDBI CAP GAIN2
RR BD 30SP07 FV RS 10000 FV RS 10000
10000
7.50% Unsecured Capital Gains Bonds.
Annual Interest Payment.
SIDBI CAP GAIN
7.5 BD 30SP07 FV RS 10000
10,000.000
7.25% Unsecured SIDBI Capital Gains
Bonds.Option II, Cumulative Interest
SIDBI CAP GAIN2
7.25 BD 31OT07 FV RS 10000
10000
7.00% Unsecured SIDBI Capital Gains
Bonds.Option II, Cumulative Interest
SIDBI CAP GAIN2
7 BD 31OT07 FV RS 10000
10000
7.25% Unsecured SIDBI Capital Gains
Bonds. Annual Interest Payment. Face
SIDBI CAP GAIN
7.25 BD 31OT07 FV RS 1000
1,000.00
7.00% Unsecured SIDBI Capital Gains
Bonds.Option II, Annual Interest
SIDBI CAP GAIN2
7 BD 30NV07 FV RS 10000 FV RS 10000
10000
6.50% Unsecured SIDBI Capital Gains
Bonds.Option II, Annual Interest
SIDBI CAP GAIN2
6.5 BD 30NV07 FV RS 10000 FV RS
10000
7.00% Unsecured SIDBI Capital Gains
Bonds.Option II, Cumulative Interest
SIDBI CAP GAIN2
7 BD 30NV07 FV RS 10000 FV RS 10000
10000
6.50% Unsecured SIDBI Capital Gains
Bonds.Option II, Cumulative Interest
SIDBI CAP GAIN2
6.5 BD 30NV07 FV RS 10000 FV RS
10000
6.50% Unsecured SIDBI Capital Gains
Bonds.Option II, Annual Interest
SIDBI CAP GAIN2
6.5 BD 31DC07 FV RS 10000 FV RS
10000
6.50% Unsecured SIDBI Capital Gains
Bonds.Option II, Cumulative Interest
SIDBI CAP GAIN2
6.5 BD 31DC07 FV RS 10000
10000
6.25% Unsecured SIDBI Capital Gains
Bonds.Option II, Cumulative Interest
SIDBI CAP GAIN2
6.25 BD 31DC07 FV RS 10000
10000
5.75% Unsecured SIDBI Capital Gains
Bonds. Annual Interest Payment. Date
SIDBI CAP GAIN
5.75 BD 31JN08 FV RS 10000
10000
5.75% Unsecured SIDBI Capital Gains
Bonds, Cumulative Interest Payment.
SIDBI CAP GAIN
5.75 BD 31JN08 FV RS 10000
10000
5.50% Unsecured SIDBI Capital Gains
Bonds. Annual Interest Payment. Date
SIDBI CAP GAIN
5.5 BD 31JN08 FV RS 10000
10000
5.50% Unsecured SIDBI Capital Gains
Bonds. Cumulative Interest Payment.
SIDBI CAP GAIN
5.5 BD 31JN08 FV RS 10000
10000
5.00% Unsecured SIDBI Capital Gains
Bonds. Annual Interest Payment. Date
SIDBI CAP GAIN
5 BD 31JN08 FV RS 10000
10000
5.00% Unsecured SIDBI Capital Gains
Bonds. Cumulative Interest Payment.
SIDBI CAP GAIN
5 BD 31JN08 FV RS 10000
10000
6.25% Unsecured Capital Gains Bonds.
Annual Interest Payment.
SIDBI CAP GAIN
6.25 BD 31JN08 FV RS 10000
10,000.000
6.25% Unsecured Capital Gains Bonds.
Cumulative Interest Payment.
SIDBI CAP GAIN
6.25 BD 31JN08 FV RS 10000
10,000.000
5.00% Unsecured SIDBI Capital Gains
Bonds.Annual Interest Payment.
SIDBI CAP GAIN
5 BD 28FB08 FV RS 10000
10000
5.00% Unsecured SIDBI Capital Gains
Bonds.Cumulative Interest Payment.
SIDBI CAP GAIN
5 BD 31MR08 FV RS 10000
10000
5.00% Unsecured SIDBI Capital Gains
Bonds.Cumulative Interest Payment.
SIDBI CAP GAIN
5 BD 30AP08 FV RS 10000
10,000.00
5.25% Unsecured SIDBI Capital Gains
Bonds. Cumulative Interest Payment.
SIDBI CAP GAIN
5.25 BD 30JU08 FV RS 10000
10,000.00
5.50% Unsecured SIDBI Capital Gains
Bonds.Annual Interest Payment.
SIDBI CAP GAIN
5.5 BD 30JU08 FV RS 10000
10,000.00
5.50% Unsecured SIDBI Capital Gains
Bonds. Cumulative Interest Payment.
SIDBI CAP GAIN
5.5 BD 30JU08 FV RS 10000
10,000.00
5.25% Unsecured Capital Gains Bonds.
Annual Interest Payment.
SIDBI CAP GAIN
5.25 BD 31JL08 FV RS 10000
10,000.000
5.25% Unsecured Capital Gains Bonds.
Cummulative Interest Payment.
SIDBI CAP GAIN
5.25 BD 31JL08 FV RS 10000
10,000.000
5.50% Unsecured Capital Gains Bonds.
Annual Interest Payment.
SIDBI CAP GAIN
5.5 BD 31JL08 FV RS 10000
10,000.000
5.50% Unsecured Capital Gains Bonds.
Cummulative Interest Payment.
SIDBI CAP GAIN
5.5 BD 31JL08 FV RS 10000
10,000.000
5.50% Unsecured Capital Gains Bonds.
Cummulative Interest Payment
SIDBI CAP GAIN
5.5 BD 31AG08 FV RS 10000
10,000.000
5.50% Unsecured Capital Gains Bonds.
Cummulative Interest Payment
SIDBI CAP GAIN
5.5 BD 30SP08 FV RS 10000
10,000.000
5.00% Unsecured Capital Gains Bonds.
Cummulative Interest Payment
SIDBI CAP GAIN
5 BD 30SP08 FV RS 10000
10,000.000
5.00% Unsecured Capital Gains Bonds.
Cummulative Interest Payment
SIDBI CAP GAIN
5 BD 31OT08 FV RS 10000
10,000.000
5.00% Unsecured Capital Gains Bonds.
Annual Interest Payment.
SIDBI CAP GAIN
5 BD 31OT08 FV RS 10000
10,000.000
5.00% Unsecured Capital Gains Bonds.
Annual Interest Payment.
SIDBI CAP GAIN
5 BD 30NV08 FV RS 10000
10,000.000
5.00% Unsecured Capital Gains Bonds.
Cummulative Interest Payment
SIDBI CAP GAIN
5 BD 30NV08 FV RS 10000
10,000.000
5.00% Unsecured Capital Gains Bonds.
Annual Interest Payment.
SIDBI CAP GAIN
5 BD 31DC08 FV RS 10000
10,000.000
5.00% Unsecured Capital Gains Bonds.
Cummulative Interest Payment
SIDBI CAP GAIN
5 BD 31DC08 FV RS 10000
10,000.000
5.00% Unsecured Capital Gains Bonds.
Annual Interest Payment.
SIDBI CAP GAIN
5 BD 31JN09 FV RS 10000
10,000.00
5.00% Unsecured Capital Gains Bonds.
Cumulative Interest Payment.
SIDBI CAP GAIN
5 BD 31JN09 FV RS 10000
10,000.00
5.00% Unsecured Capital Gains Bonds.
Annual Interest Payment.
SIDBI CAP GAIN
5 BD 28FB09 FV RS 10000
10000
5.00% Unsecured Capital Gains Bonds.
Cumulative Interest Payment.
SIDBI CAP GAIN
5 BD 28FB09 FV RS 10000
10000
5.00% Unsecured Capital Gains Bonds.
Annual Interest Payment.
SIDBI CAP GAIN
5 BD 31MR09 FV RS 10000
10000
5.00% Unsecured Capital Gains Bonds.
Cumulative Interest Payment.
SIDBI CAP GAIN
5 BD 31MR09 FV RS 10000
10000
5.50% (Cumulative) Unsecured Non
Convertible capital gain bond. Date of
SIDBI CAP GAIN
5.5 BD 31MR09 FVRS 10000
10000
5.25% (Annual) Unsecured Non
Convertible Capital Gains Bonds. Date
SIDBI CAP GAIN
5.25 BD 31DC09 FVRS 10000
10000
5.25% (Cumulative) Unsecured Non
Convertible Capital Gains Bonds. Date
SIDBI CAP GAIN
5.25 BD 31DC09 FVRS 10000
10000
5.35% (Annual) Unsecured Non
Convertible Capital Gains Bonds. Date
SIDBI CAP GAIN
5.35 BD 31DC09 FVRS 10000
10000
5.35% (Cumulative) Unsecured Non
Convertible Capital Gains Bonds. Date
SIDBI CAP GAIN
5.35 BD 31DC09 FVRS 10000
10000
5.40 % (Annually) Unsecured Non
convertible Capital Gain bond. Date of
SIDBI CAP GAIN
5.4 BD 28FB10 FV RS 10000
10000
5.40 % (Cummulative) Unsecured Non
convertible Capital Gain bond. Date of
SIDBI CAP GAIN
5.4 BD 28FB10 FV RS 10000
10000
5.50% (Annual) Unsecured Non
Convertible capital gain bond. Date of
SIDBI CAP GAIN
5.5 BD 28FB11 FVRS 10000
10000
5.50% (Cumulative) Unsecured Non
Convertible capital gain bond. Date of
SIDBI CAP GAIN
5.5 BD 28FB11 FVRS 10000
10000
5.43% (Compounded semi annually)
Unsecured Non Convertible capital
SIDBI CAP GAIN
5.43 BD 28FB11 FVRS 10000
10000
5.30% (Annual) Unsecured Capital
Gain bond . Date of maturity:
SIDBI CAP GAIN
5.3 BD 31MY12 FVRS10000
10000
5.30% (Cumulative) Unsecured Capital
Gain bond . Date of maturity:
SIDBI CAP GAIN
5.3 BD 31MY12 FVRS10000
10000
Zero Coupon Secured Non Convertible
Debenture. Date of maturity :
SOLARIS HOLDINGS LIMITED
NCD 12SP12 FVRS10CR
100000000
6.00% Secured Non Convertible
Debentures,Series XIII Date of
SPIC
6 LOA 31MR09 FVRS100
100
14.50% Secured NCD,Series VII Date of
final redemption: 01/08/2003
SPIC LTD. SR-7
14.5 NCD 01AG03
50,00,000
11.25% Secured Non Convertible
Debentures.Letter of allotment.Date
SPANCO TELE
11.25 LOA 03JL13 FVRS10LAC
1000000
11.00% Secured Non Convertible
Debentures.Letter of allotment.Date
SPANCO TELE
11 LOA 03JL13 FVRS10LAC
1000000
11.25% Secured Non Convertible
Debentures.Letter of allotment.Date
SPANCO TELE
11.25 LOA 10JL13 FVRS10LAC
1000000
9.00% Secured Non Convertible
Debentures. Letter of Allotment. Final
SPENTEX INDS.
9 LOA 31MR13 FVRS10LAC
1000000
10.75% SECURED, REDEEMABLE, NON
CONVERTIBLE SERIES - II DEBENTURES.
SREI EQUIPMENT FINANCE PRIVATE LTD
10.75 LOA 03AG14 FVRS10LAC
1000000.000
11.35% Secured Non-Convertible
Debenture. Date of Maturity
SREI EQUIPMENT FINANCE PRIVATE LTD
11.35 NCD 30AP14 FVRS10LAC
1000000
Mibor + 25bps Secured Non Convertible
Bond. Date of Maturity : 07/03/2008.
SREI INFRA FINANCE
BR BD 07MR08 FVRS1LAC
100000
NSE Mibor + 10bps Secured Non
Convertible Bond. Date of Maturity :
SREI INFRA FINANCE
BR BD 10AP08 FVRS1LAC
100000
Mibor + 100bps Secured Non
Convertible Bond. Date of Maturity :
SREI INFRA FINANCE
BR BD 23AP08 FVRS1LAC
100000
Mibor + 100bps Secured Non
Convertible Bond. Date of Maturity :
SREI INFRA FINANCE
BR BD 25AP08 FVRS1LAC
100000
Mibor + 10bps Secured Non Convertible
Bond. Date of Maturity : 30/04/2008.
SREI INFRA FINANCE
BR BD 30AP08 FVRS1LAC
100000
Mibor + 25bps Secured Non Convertible
Bond. Date of Maturity : 18/05/2008.
SREI INFRA FINANCE
BR BD 18MY08 FVRS1LAC
100000
Mibor + 200bps Secured Non
Convertible Bond. Date of Maturity :
SREI INFRA FINANCE
BR BD 11JU08 FVRS1LAC
100000
Mibor + 150bps Secured Non
Convertible Bond. Date of Maturity :
SREI INFRA FINANCE
BR BD 11JU08 FVRS1LAC
100000
Mibor + 125bps Secured Non
Convertible Bond. Date of Maturity :
SREI INFRA FINANCE
BR BD 16JU08 FVRS1LAC
100000
Mibor + 180bps Secured Non
Convertible Bond. Date of Maturity :
SREI INFRA FINANCE
BR BD 16JU08 FVRS1LAC
100000
Mibor + 100bps Secured Non
Convertible Bond. Date of Maturity :
SREI INFRA FINANCE
BR BD 20JU08 FVRS1LAC
100000
NSE O/N Mibor Secured Non
Convertible Bond. Date of Maturity :
SREI INFRA FINANCE
BR BD 08JL08 FVRS1LAC
100000
NSE O/N Mibor Secured Non
Convertible Bond. Date of Maturity :
SREI INFRA FINANCE
BR BD 09JL08 FVRS1LAC
100000
NSE O/N Mibor + 5bps Secured Non
Convertible Bond. Date of Maturity :
SREI INFRA FINANCE
BR BD 11JL08 FVRS1LAC
100000
NSE O/N Mibor + 15bps Secured Non
Convertible Bond. Date of Maturity :
SREI INFRA FINANCE
BR BD 22JL08 FVRS1LAC
100000
NSE O/N Mibor + 25bps Secured Non
Convertible Bond. Date of Maturity :
SREI INFRA FINANCE
BR BD 22JL08 FVRS1LAC
100000
NSE O/N MIBOR + 15bps Secured Non
Convertible Bond. Date of Maturity :
SREI INFRA FINANCE
BR BD 01AG08 FVRS1LAC
100000
NSE Mibor + 10bps Secured Non
Convertible Bonds . Date of Maturity:
SREI INFRA FINANCE
BR BD 10SP08 FVRS1LAC
100000
Mibor+50bps Secured Non Convertible
Bonds . Date of Maturity: 27/10/2008
SREI INFRA FINANCE
BR BD 27OT08 FVRS1LAC
100000
Mibor+ 75 bps Secured Non-
Convertible Bonds. Date of Maturity:
SREI INFRA FINANCE
BR BD 23NV08 FVRS1LAC
100000
NSE O/N Mibor+ 300bps Secured Non-
Convertible Bonds. Date of Maturity:
SREI INFRA FINANCE
BR BD 13MY09 FVRS1LAC
100000
8.50% Secured Non- Convertible
Debenture. Date of Maturity:
SREI INFRA FINANCE
8.5 NCD 22JU09 FVRS1LAC
100000
NSE Mibor+ 50bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 05AG09 FVRS1LAC
100000
NSE Mibor + 10bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 08SP09 FVRS1LAC
100000
NSE Mibor + 25bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 13NV09 FVRS1LAC
100000
NSE Mibor + 25bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 18NV09 FVRS1LAC
100000
NSE Mibor + 10bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 23NV09 FVRS1LAC
100000
NSE Mibor + 45bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 23NV09 FVRS1LAC
100000
NSE Mibor + 25bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 27NV09 FVRS1LAC
100000
NSE Mibor + 45bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 27NV09 FVRS1LAC
100000
NSE Mibor + 10bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 30NV09 FVRS1LAC
100000
NSE Mibor + 25bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 11DC09 FVRS1LAC
100000
NSE Mibor + 45bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 11DC09 FVRS1LAC
100000
NSE Mibor + 0 bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 04JN10 FVRS1LAC
NSE Mibor + 50 bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 04JN10 FVRS1LAC
NSE Mibor + 20 bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 05JN10 FVRS1LAC
NSE Mibor + 35bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 05JN10 FVRS1LAC
NSE Mibor + 10bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 02FB10 FVRS1LAC
100000
NSE Mibor + 10bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 09FB10 FVRS1LAC
100000
NSE Mibor Secured Non- Convertible
Debenture. Date of Maturity:
SREI INFRA FINANCE
BR NCD 03MR10 FVRS1LAC
100000
NSE Mibor Secured Non- Convertible
Debenture. Date of Maturity:
SREI INFRA FINANCE
BR NCD 05MR10 FVRS1LAC
100000
NSE Mibor +10 bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 12MR10 FVRS1LAC
100000
NSE Mibor + 20bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 30AP10 FVRS1LAC
100000
NSE Mibor + 10bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 03MY10 FVRS1LAC
100000
NSE Mibor + 20bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 05MY10 FVRS1LAC
100000
NSE Mibor + 10bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 18MY10 FVRS1LAC
100000
4.00% Secured Non- Convertible
Debenture. Date of Maturity:
SREI INFRA FINANCE
4 NCD 26MY10 FVRS1LAC
100000
NSE Mibor + 25bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 28MY10 FVRS1LAC
100000
NSE Mibor + 25bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 31MY10 FVRS1LAC
100000
NSE Mibor + 25bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 01JU10 FVRS1LAC
100000
Nse Mibor + 25bps Unsecured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 02JL10 FVRS1LAC
100000
Nse Mibor + 10bps Unsecured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 05JL10 FVRS1LAC
100000
Nse Mibor + 10bps Unsecured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 07JL10 FVRS1LAC
100000
Nse Mibor + 10bps Unsecured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 14JL10 FVRS1LAC
100000
Nse Mibor + 10bps Unsecured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 15JL10 FVRS1LAC
100000
Nse Mibor + 10bps Unsecured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 19JL10 FVRS1LAC
100000
NSE Mibor Secured Non- Convertible
Debenture. Date of Maturity:
SREI INFRA FINANCE
BR NCD 30JL10 FVRS1LAC
100000
NSE Mibor + 15bps Secured Non-
Convertible Debenture. Date of
SREI INFRA FINANCE
BR NCD 30JL10 FVRS1LAC
100000
8.10% Secured Non- Convertible
Debenture. Date of Maturity:
SREI INFRA FINANCE
8.1 NCD 15SP11 FVRS10LAC
1000000
Unsecured Subordinated Bonds SREI BD SBI PLR PLUS 25AG12 FV RS 100 100
10.60% Unsecured Non-Convertible
Partly Paid Debenture. Letter of
SRF LIMITED 10.6 LOA 23SP13
PPRS1LAC
100000
7.20% Unsecured Redeemable non
convertible Suboridinated Bonds in the
STATE BANK OF BIKANER AND JAIPUR
SR-3 7.2 BD 21MY14 FVRS10LAC
1000000
11.5 % (Taxable) Govt. Guaranteed
Secured Redeemable Non-Convertible
SAIL
SR-10/2-W 11.5 BD 15AP10 FV RS 5 LAC
500,000.000
11 % (Taxable) Govt. Guaranteed
Secured Redeemeable Non-Convertible
SAIL SR 13-2/MM
11 BD 01AG11 FV RS 5 LAC
5,00,000
12.1 % (Taxable) Govt. Guaranteed
Secured Redeemeable Non-Convertible
SAIL SR 12-1/GG
12.1 BD 12MR11 FV RS 5 LAC
5,00,000
10.00% Secured NCD. Face Value Rs.
10/- (As per Scheme of Arrangment).
STERLITE INDS
10 NCD 05AG08
10
ZERO COUPON SECURED NON
CONVERTIBLE DEBENTURE. LETTER OF
SUNDARAM BNP PARIBAS HOME FIN.
LTD LOA 01AG14 FVRS10LAC
1000000.000
Zero Coupon Secured Non-Convertible
Debenture. Letter of Allotment. Date
SUNDARAM BNP PARIBAS HOME FIN.
LTD LOA 01DC14 FVRS10LAC
1000000
Zero Coupon Secured Non-Convertible
Debenture. Letter of Allotment. Date
SUNDARAM BNP PARIBAS HOME FIN.
LTD LOA 04DC14 FVRS10LAC
1000000
9.95% SECURED REDEEMABLE NON
CONVERTIBLE DEBENTURES SERIES L -
SUNDARAM FINANCE LIMITED SR-L-23
9.95 LOA 01AG14 FVRS10LAC
1000000.000
9.85% SECURED REDEEMABLE NON
CONVERTIBLE DEBENTURES. SERIES L-
SUNDARAM FINANCE LIMITED SR-L-38
9.85 LOA 01OT14 FVRS10LAC
1000000.000
10.30% Secured Non -Convertible
Debenture. Letter of Allotment Series
SUNDARAM FINANCE LIMITED SR- K-36
10.3 LOA 02NV14 FVRS10LAC
1000000
10.10% Secured Non-Convertible
Debenture. Letter of Allotment. Series-
SUNDARAM FINANCE LIMITED SR- K25
10.1 LOA 05SP14 FVRS10LAC
1000000
10.70% Secured Non-Convertible
Debenture. Letter of Allotment. Series-
SUNDARAM FINANCE LIMITED SR- K-5
10.7 LOA 29MY14 FVRS10LAC
1000000
10.70% Secured Non-Convertible
Debenture. Letter of Allotment. Series-
SUNDARAM FINANCE LIMITED SR- K-8
10.7 LOA 29MY14 FVRS10LAC
1000000
10.60% Secured Non-Convertible
Debenture. Letter of Allotment. Series-
SUNDARAM FINANCE LIMITED 10.6 LOA
03JU14 FVRS10LAC
1000000
10.70% Secured Non-Convertible
Debenture. Letter of Allotment. Series-
SUNDARAM FINANCE LIMITED 10.7 LOA
06JU14 FVRS10LAC
1000000
10.70% Secured Non-Convertible
Debenture. Letter of Allotment. Series-
SUNDARAM FINANCE LIMITED 10.7 LOA
06JU14 FVRS10LAC
1000000
13% Secured Redeemable Non
convertible debentures. Final Date of
SUPER SYNCOTEX
13 NCD 01JL12 FVRS100
100
6.90% Unsecured Redeemable Non-
Convertible Subordinated Bonds in the
SYNDICATE BANK
SR-6 6.9 BD 29MY14 FVRS 10LAC
1000000
8.90% Unsecured T.N.E.B. Power Bonds
(Guaranteed by Govt. of Tamil Nadu)
TNEB SR1/03-04
8.9 BD 17JU11 FV RS 1 LAC
100,000.00
12.90% Unsecured Non Convertible
bonds in the form of Debentures. Date
TIDCO
12.9 BD 09JN07 FV RS 1 LAC
1,00,000
13.50% Secured Redeemable Non-
Convertible Bonds. Series-III. Date of
TAPI IRG SR-3
13.5 BD 15DC06 FV RS 1 LAC
1,00,000
12.00% Secured Redeemable Non-
Convertible Bonds. Series-V. Date of
TAPI IRG SR-5
12 LOA 15OT08 FV RS 1 LAC
1,00,000
11.00% Secured Redeemable Non-
Convertible Bonds. Series-VI Option-A.
TAPI IRG SR-6
11 LOA 15NV09 FV RS 1 LAC
100,000.000
13.25% Secured Redeemable Non-
Convertible Bonds. Series-IV. Date of
TAPI IRG SR-4
13.25 BD 15SP10 FV RS 1 LAC
1,00,000
11.25% Secured Redeemable Non
Convertible Debentures. Option II.
TATA CAPITAL FINANCIAL SERVICES
LIMITED 11.25 NCD OP-II 05MR14
1000.000
10.5% Secured Redeemable Non
Convertible Debentures. Option III.
TATA CAPITAL FINANCIAL SERVICES
LIMITED 10.5 NCD OP-III 05MR14
1000.000
10.5% Secured Redeemable Non
Convertible Debentures. Option IV.
TATA CAPITAL FINANCIAL SERVICES
LIMITED 10.5 NCD OP-IV 05MR14
1000.000
9.75% Secured Redeemable Non
Convertible Debentures. Option II.
TATA CAPITAL FINANCIAL SERVICES
LIMITED 9.75 NCD OP-II 05MR14
1000.000
8.60% Secured Non-Convertible
Debenture. Series - TCL NCD 'M' FY-
TATA CAPITAL LIMITED
8.6 NCD 23AG13 FVRS10LAC
1000000
Zero Coupon Secured Non-Convertible
Debenture. NCD BI' FY 2011-12. Date
TATA CAPITAL LIMITED NCD 01DC14
FVRS10LAC
1000000
11.00% Secured Non Convertible
Debenture.Letter of allotment.Date of
TATA CAPITAL LIMITED
11 LOA 05MR14 FVRS1LAC
100000
12.00% Secured Non Convertible
Debenture.Letter of allotment.Date of
TATA CAPITAL LIMITED
12 LOA 05MR14 FVRS1000
1000
12.00% Secured Non Convertible
Debenture.Letter of allotment.Date of
TATA CAPITAL LIMITED
12 LOA 05MR14 FVRS1000
1000
Zero Coupon Secured Non-Convertible
Debenture. Series- 'AG' FY 2011-12.
TATA CAPITAL LIMITED SR- AG NCD
04NV14 FVRS10LAC
1000000
7.00% Secured Non Convertible
Debentures.Final Date of Redemption :
TATA COFFEE
7 NCD 29DC12 FVRS150
150
11% Secured Redeemable Non-
Convertible Debentures(fully paid-up)
TELCO
11 NCD 05DC07
100
5.00% Secured Non-convertible
Debenture. Date of Maturity
TATA HOUSING DEVELOPMENT
COMPANY LIMITED
1000000
Zero Coupon Secured Non-Convertible
Debenture. Series- 'U' FY 11-12. Date
TATA MOTORS FINANCE LIMITED SR-U
NCD 25AP14 FVRS10LAC
805855
ZERO COUPON SECURED REDEEMABLE
NON CONVERTIBLE DEBENTURES.
TATA MOTORS FINANCE LIMITED SR-L
LOA 06JU14 FVRS10LAC
1000000.000
17% SECURED NON CONVERTIBLE
DEBENTURE. LETTER OF ALLOTMENT.
TDI INFRASTRUCTURE LIMITED 17 LOA
04AG14 FVRS50000
500.000
17% SECURED NON CONVERTIBLE
DEBENTURE. LETTER OF ALLOTMENT.
TDI INFRASTRUCTURE LIMITED 17 LOA
04AG14 FVRS50000
50000.000
Zero Coupon Secured Partly
Convertible Debentures (ZCSPCD).
TV EIGHTEEN
PCD 13FB09-PP FV RS 150
150
(Paid-up value Rs.75/-)
Zero Coupon Secured Partly
Convertible Debentures (ZCSPCD).Fully
TV EIGHTEEN
PCD 13FB09 FV RS 150
150.000
12.00% Unsecured Non- Convertible
Debenture Letter of Allotment Series
TGS INVESTMENT AND TRADE PRIVATE
LIMITED
50000000
7.00% Unsecured Non- Convertible
Debenture Letter of Allotment Series
TGS INVESTMENT AND TRADE PRIVATE
LIMITED
50000000
7.00% Unsecured Non-Convertible
Bonds, 2003 (Series-II).
CATHOLIC SYRIAN
SR-2 7 BD 09JU10 FV RS 10 LAC
1,000,000.00
Deep Discount Bond DHAMPUR SUGAR
DDB 15FB01
170
12.50% Secured NCD. Series A. Date of
Final Redemption : 01/01/2011
HIND. SPG SR-A
12.5 NCD 01JN11 FV RS 1 LAC
1,00,000
13.50% Secured Non- Convertible
Debenture . Date of final
INDIA CEMENTS
13.5 NCD 25MY04
3,75,000
13.50% Secured Non- Convertible
Debenture . Date of final
INDIA CEMENTS
13.5 NCD 25MY04
2,50,000
13.00% Secured Non- Convertible
Debenture . Date of final
INDIA CEMENTS
13 NCD 30JN06 FV RS 5 LAC
5,00,000
6.00% Secured Redeemable Non
Convertible Debenture.Date of
INDIAN HOTELS
6 NCD 08MY11 FVRS100
100
12.85% Unsecured Sub-ordinated Bonds
In the Form of Promissory Notes and
LAKSHMI VILAS
12.85 BD 01JL05 FV RS 1 LAC
1,00,000
13.85% Unsecured Govt. Guaranteed
Non-Convertible Bonds in the form of
PICUP
13.85 BD 31OT06 FV RS 1 LAC
1,00,000
13.40% Unsecured Govt. Guaranteed
Non-Convertible Bonds in the form of
PICUP
13.4 BD 21MR07 FV RS 1 LAC
1,00,000
13.75% Unsecured Govt. Guaranteed
Non-Convertible Bonds in the form of
PICUP SR-1
13.75 BD 14FB08 FV RS 1 LAC
1,00,000
13.75% Unsecured Govt. Guaranteed
Non-Convertible Bonds in the form of
PICUP SR-2
13.75 BD 30MR08 FV RS 1 LAC
1,00,000
13.00% Unsecured Govt. Guaranteed
Non-Convertible Bonds in the form of
PICUP SR-2
13 BD 29MR09 FV RS 1 LAC
1,00,000
13.00% Unsecured Govt. Guaranteed
Non-Convertible Bonds in the form of
PICUP SR-1
13 BD 10JN09 FV RS 1 LAC
1,00,000
13.00 % Unsecured Redeemeable
Subordinate Bonds in the form of
SIB 1999
13 BD 10JL05 FV RS 1 LAC
100000
13.00 % Unsecured Redeemeable
Subordinate Bonds in the form of
SIB 2000
13 BD 17JL06 FV RS 1 LAC
100000
8.00 % Unsecured Non convertible SLR
bonds in nature of promissory notes.
TIIC LTD SLR
8 BD 25MR08 FV RS 1000
1000
8.00 % Unsecured Non convertible SLR
bonds in nature of promissory notes.
TIIC LTD SLR
8 BD 11FB08 FV RS 1000
1000
8.00 % Unsecured Non convertible SLR
bonds in nature of promissory notes.
TIIC LTD SLR
8 BD 25MR11 FVRS1000
1000
14.50% Unsecured Non Convertible
Subordinated Bonds in the form of
UNITED WEST BNK
14.5 BD 12JU06 FV RS 1 LAC
1,00,000
9.65% Unsecured Non Convertible
Bonds in the form of
UNITED WEST BNK
9.65 BD 08FB10 FV RS 1 LAC
1,00,000
Unsecured Compulsory Convertible
Debenture, Letter of Allotment. Date
THYROCARE TECHNOLOGIES LIMITED
LOA 26DC13 FVRS662.30
662.3
6.75% Secured Non Convertible
Debentures Date of Maturity
TITAN INDS
6.75 NCD 12MY11 FVRS250
250
10.75% Unsecured Redeemable Non
Convertible transferable Debenture.
TAFE LIMITED
10.75 NCD 09MY04
1,00,00,000
15.75% Unsecured Redeemable Non-
Convertible Bonds in the form of
APTRANSCO 1/98
15.75 BD 03AP05 FV RS 1 LAC
100000
15.75% Unsecured Redeemable Non-
Convertible Bonds in the form of
APTRANSCO 1/98
15.75 BD 29MR05 FV RS 1 LAC
100000
15.75% Unsecured Redeemable Non-
Convertible Bonds in the form of
APTRANSCO 1/98
15.75 BD 30MR05 FV RS 1 LAC
100000
15.00% Unsecured Redeemable Non-
Convertible Bonds in the form of
APTRANSCO 1/99
15 BD 23MR06 FV RS 1 LAC
100000
13.60% Unsecured Redeemable Non-
Convertible Bonds in the form of
APTRANS. 1/99-A
13.6 BD 24OT06 FV RS 1 LAC
100000
13.00% Unsecured Redeemable Non-
Convertible Bonds in the form of
TRANS 1/2000 A
13 BD 26MR07 FV RS 1 LAC
100000
10.90% Unsecured Redeemable Non-
Convertible Bonds in the form of
APTRANS. 1/02 A
10.9 BD 10JL09
100000
11.30% Unsecured Redeemable Non-
Convertible Bonds in the form of
APTRANS. 1/02 B
11.3 BD 07AP12
100000
11.60% Unsecured Redeemable Non-
Convertible Bonds in the form of
APTRANS. 1/02 C
11.6 BD 01AG14
100000
11.60% Unsecured Redeemable Non-
Convertible Bonds in the form of
APTRANS. 1/02 C
11.6 BD 15AP14
100000
NSE O/N Mibor+30 bps Unsecured Non
Convertible Debentures. Letter of
TRANSPORT CORP
BR LOA 01DC06 FVRS 1CR
10000000
NSE Overnight Mibor +25bps Unsecured
Non Convertible Debentures. Letter of
TRANSPORT CORP
BR LOA 30JL08 FVRS1CR
10000000
2 % Secured Redeemable Non
convertible debentures. Date of
TRENT
2 NCD 07JL10 FVRS500
500
NSE Mibor + 600bps (Floor : 7.95% and
Cap : 8.00%) Unsecured Non
TULIP TELECOM LIMITED
BR LOA 14JU10 FVRS10LAC
1000000
NSE Mibor + 600bps (Floor : 6.95% and
Cap : 7.00%) Unsecured Non
TULIP TELECOM LIMITED
BR LOA 05NV10 FVRS10LAC
1000000
10.67% Secured Non convertible
debentures.Letter of Allotment.Date
TULIP TELECOM LIMITED
10.67 LOA 29MR14 FVRS10LAC
1000000
7.25 % Unsecured non convertible bond
in nature of Promissory notes. Series
UCO BANK
V 7.25 LOA 30AP14 FVRS10LAC
1000000
12% Secured NCD L AND T
12 NCD 22DC06
1,00,00,000
11.00% Secured Redeemable Non
Convertible Debentures. Final Date of
UNITECH LTD
11 NCD 15DC10 FVRS10LAC
1000000
11.00% Secured Redeemable Non
Convertible Debentures. Final Date of
UNITECH LTD
11 NCD 15JU11 FVRS10LAC
1000000
11.00% Secured Redeemable Non
Convertible Debentures. Final Date of
UNITECH LTD
11 NCD 16AG11 FVRS10LAC
1000000
11.00% Secured Redeemable Non
Convertible Debentures. Final Date of
UNITECH LTD
11 NCD 15MR12 FVRS100
100
16.75% Secured Non-Convertible
Debenture. Date of Maturity
UNIVERSAL BUILDWELL PVT LTD 16.75
NCD 21JN14 FVRS10LAC
925926
16.75% Secured Non-Convertible
Debenture. Date of Maturity
UNIVERSAL BUILDWELL PVT LTD 16.75
NCD 04FB14 FVRS10LAC
925926
16.75% Secured Non-Convertible
Debenture. Date of Maturity
UNIVERSAL BUILDWELL PVT LTD 16.75
NCD 01MR14 FVRS10LAC
925926
16.75% Secured Non-Convertible
Debenture. Date of Maturity
UNIVERSAL BUILDWELL PVT LTD 16.75
NCD 01MR14 FVRS10LAC
925926
16.75% Secured Non-Convertible
Debenture. Date of Maturity
UNIVERSAL BUILDWELL PVT LTD 16.75
NCD 20AP14 FVRS10LAC
925926
16.75% Secured Non-Convertible
Debenture. Date of Maturity
UNIVERSAL BUILDWELL PVT LTD 16.75%
NCD 11MY14 FVRS10LAC
925926
6.00% Unsecured Redeemable Non-
Convertible Subordinated Debentures
UTI BANK
SR-8/1 6 LOA15OT09 FVRS10 LAC
1,000,000.000
14% Secured Non Convertible UPFC
Bonds in form of promissory notes.
UTTAR PRADESH FINANCIAL
CORPORATION
100
9.5% Secured Redeemable Non-
Convertible Bonds - N10.
UTTAR PRADESH FINANCIAL
CORPORATION
100,000.00
11.50% Secured Non Convertible UPFC
Bonds in form of promissory notes.
UTTAR PRADESH FINANCIAL
CORPORATION
100
11.50% Secured Non Convertible UPFC
Bonds in form of promissory notes.
UTTAR PRADESH FINANCIAL
CORPORATION
100
11.50% Secured Non Convertible UPFC
Bonds in form of promissory notes.
UTTAR PRADESH FINANCIAL
CORPORATION
100
11.50% Secured Non Convertible UPFC
Bonds in form of promissory notes.
UTTAR PRADESH FINANCIAL
CORPORATION
100
10.82% Secured Non Convertible UPFC
Bonds in form of promissory notes.
UTTAR PRADESH FINANCIAL
CORPORATION
100
8.3% Secured Redeemable Non-
Convertible UPFC Bonds.
UTTAR PRADESH FINANCIAL
CORPORATION
100.00
7.92% Secured Redeemable Non-
Convertible UPFC Bonds.
UTTAR PRADESH FINANCIAL
CORPORATION
100.00
6.75% Secured Redeemable Non-
Convertible UPFC Bonds.
UTTAR PRADESH FINANCIAL
CORPORATION
100.00
8.35% Secured Non Convertible UPFC
bonds 2011- IV 10 years in the form of
UTTAR PRADESH FINANCIAL
CORPORATION
100.00
Reset rate Secured Non-Convertible
Debenture. Date of Maturity
V HOTELS LIMITED RR NCD 13AG13
FVRS1LAC
100000
Secured non convertible zero coupon
debentures.Date of Final
VENUS SUGAR LTD
NCD 01MY09 FV RS 100
100.00
10.75% Secured Redeemable Non
Convertible Debentures in the form of
VICEROY HOTELS
10.75 NCD 31MR14 FVRS10LAC
1000000
12.00% Secured Redeemable Non-
Convetible Bonds Series VI. Letter of
VIDC SR-6
12 LOA 05NV08 FV RS 1 LAC
1,00,000
11.00% Secured Redeemable Non
Convertible Bonds . Series VIII. Option
VIDC SR-8 OPT-A
11 LOA 19MY10 FV RS 1 LAC
100,000.00
12.25% Secured Redeemable Non-
Convetible Bonds Series VI. Letter of
VIDC SR-6
12.25 LOA 05NV11 FV RS 1 LAC
1,00,000
12.25% + 525 bps over BR Secured
Redeemable Non-Convetible Bonds
VIDC SR-6
BR LOA 05NV13 FV RS 1 LAC
1,00,000
11.25% Secured Non Convertible Bonds
. Series VII Option B. Letter of
VIDC SR-7 OPT-B
11.25 LOA 15JN13 FV RS 1 LAC
100,000.00
12.50% Secured Redeemable Non-
Convetible Bonds Series VI. Letter of
VIDC SR-6
12.5 LOA 05NV13 FV RS 1 LAC
1,00,000
11.25% Secured Redeemable Non
Convertible Bonds . Series VIII. Option
VIDC SR-8 OPT-B
11.25 LOA 19MY13 FV RS 1 LAC
100,000.00
11 % Unsesecured Non-convertible
Redeemable VRS Bonds. Date of
VIJAYA BANK VRS
11 BD 01JU07 FV RS 10000
10000
Zero Coupon Unsecured Optionally
Convertible Debenture. Final Date of
VINTAGE CARDS
OCD 31JL09 FVRS10
10
16.00% Secured Redeemable Non
Convertible Debentures.Date of
VISHWAMITRI GREENLANDS PVT LTD
16 NCD 01NV08 FVRS1LAC
100000
16.00% Secured Redeemable Non
Convertible Debentures.Date of
VISHWAMITRI GREENLANDS PVT LTD
16 NCD 24NV08 FVRS1LAC
100000
11.00% Redeemable Non-Convertible
SLR Bonds in the Form of Promossory
WB FIN CORP SLR
11 BD 11NV02
100
11.00% Redeemable Non-Convertible
SLR Bonds in the Form of Promossory
WB FIN CORP SLR
11 BD 11FB03
100
12.30% Redeemable Non-Convertible
SLR Bonds in the Form of Promossory
WB FIN CORP SLR
12.3 BD 19MR08 FV RS 100
100
6.75% Redeemable Non-Convertible
SLR Bonds in the Form of Promossory
WB FIN CORP SLR
6.75 BD 28MR13 FV RS 100
100.00
8.50% Unsecured Redeemable Non
Convertible Non SLR Bonds. (Series IX)
WEST BENGAL FIN CORP
8.5 BD 18AP14 FVRS1LAC
100000
8.25% Unsecured Government
Guaranteed Taxable Infrastructure
WB IDFC TX
8.25 LOA 27MY14 FV RS 1 LAC
100,000.00
11.35% Unsecured Government
Guaranteed Taxable Infrastructure
WB IDFC TX
11.35 LOA 19MR10 FV RS 1 LAC
100,000.00
11.85% Unsecured Government
Guaranteed Taxable Infrastructure
WB IDFC TX
11.85 LOA 31OT12 FV RS 1 LAC
100,000.00
12.60% Unsecured Government
Guaranteed Taxable Infrastructure
WB IDFC TX
12.6 LOA 20MY14 FV RS 1 LAC
Issue Price: 100,000.00
12.00% Secured Redeemable Non-
Convertible Debentures. Date of Final
WEST.INDIA SHIP
12 NCD 28OT03
60
17.50% Secured Redeemable NCD.,
Date of Final Redemption: 07/01/2004
ZUARI CEMENT
17.5 NCD 07JN04
100
8.00% Unsecured Redeemable Non
Convertible Bond. Date of Maturity:
ZUARI CEMENT
8 BD 25NV08 FVRS147.3
147.3
Face Value (per security) Issue Date/Date of Allotment Redemption
10000000 5/26/2007 11/25/2010
30000000 5/12/2008 6/30/2012
1000000 5/10/2010 5/10/2013
1000000 12/16/2008 12/15/2013
100 10/15/1999 4/15/2005
100000 6/23/2008 9/23/2009
100000 1/3/2011 2/28/2013
100.00 1/6/2003 1/6/2008
100.000 1/4/2004 1/4/2009
1,00,000 3/30/2002 3/30/2012
1000 2/5/2008 11/30/2013
75000 6/18/2001 4/1/2007
100 7/7/2000 1/6/2002
100 9/26/2006 12/22/2006
1000000 9/20/2007 9/16/2008
1000000 9/20/2007 11/17/2008
1000000 12/10/2007 4/11/2009
1000000 3/12/2007 5/29/2009
1,00,00,000 6/6/2001 5/12/2002
1000000 5/1/2005 5/4/2014
5,000,000.00 4/17/2001 3/31/2004
1,00,000 11/22/2000 11/21/2007
1,00,000 1/15/2001 1/14/2008
1,00,000 4/1/2001 3/1/2008
1,00,000 4/3/2001 3/3/2008
1,00,000 3/17/2001 3/16/2008
1,00,000 3/30/2001 3/29/2008
1,00,000 5/7/2001 4/7/2008
1,00,000 5/19/2001 5/18/2008
1,00,000 10/27/2001 10/26/2008
1,00,000 11/24/2001 11/23/2008
1,00,000 11/24/2001 11/23/2008
1,00,000 12/1/2002 11/1/2009
100000 2/28/2003 2/27/2010
100000 4/1/2003 3/1/2010
100000 6/2/2003 5/2/2010
1,00,000 6/12/2000 5/12/2010
1,00,000 6/12/2000 5/12/2010
1,00,000 6/12/2000 5/12/2010
100,000.00 6/30/2003 6/29/2010
1,00,000 9/28/2000 9/27/2010
1,00,000 11/22/2000 11/21/2010
1,00,000 1/15/2001 1/14/2011
1,00,000 4/3/2001 3/3/2011
1,00,000 4/3/2001 3/3/2011
1,00,000 3/30/2001 3/29/2011
1,00,000 5/7/2001 4/7/2011
1,00,000 4/28/2001 4/27/2011
1,00,000 5/19/2001 5/18/2011
1,00,000 7/6/2001 6/6/2011
1,00,000 9/14/2001 9/13/2011
1,00,000 10/27/2001 10/26/2011
1,00,000 11/24/2001 11/23/2011
1,00,000 6/12/2000 5/12/2012
1,00,000 12/1/2002 11/1/2012
1,00,000 11/22/2000 11/21/2012
1,00,000 11/22/2000 11/21/2012
1,00,000 1/15/2001 1/14/2013
1,00,000 1/15/2001 1/14/2013
1,00,000 1/30/2001 1/29/2013
1,00,000 1/30/2001 1/29/2013
1,00,000 4/1/2001 3/1/2013
1,00,000 4/3/2001 3/3/2013
1,00,000 4/3/2001 3/3/2013
1,00,000 4/3/2001 3/3/2013
1,00,000 3/17/2001 3/16/2013
1,00,000 3/30/2001 3/29/2013
100,000.00 5/8/2003 4/8/2013
100,000.00 4/22/2003 4/21/2013
100000 6/2/2003 5/2/2013
100,000.00 6/30/2003 6/29/2013
1,00,000 9/14/2001 9/13/2013
1,00,000 10/27/2001 10/26/2013
1,000,000.00 3/22/2004 3/22/2014
100 2/1/1990 2/1/2010
100 12/20/2001 12/20/2011
100000 2/16/2004 2/15/2011
100000 2/16/2004 2/15/2014
1,00,000 8/4/2000 1/7/2005
10000 12/4/2013 4/17/2014
1000000 10/6/2011 6/9/2013
100.000 3/1/2001 3/1/2006
10000000 3/10/2001 12/21/2001
10000000 1/21/2002 3/20/2002
10000000 6/5/2000 6/5/2002
10000000 7/2/2002 8/3/2002
10000000 1/21/2002 8/4/2002
10000000 4/16/2008 12/16/2008
10000000 4/16/2008 1/16/2009
10000000 4/16/2008 2/16/2009
10000000 4/16/2008 3/16/2009
10000000 4/16/2008 4/15/2009
1000000 9/11/2001 3/31/2014
25 12/1/2008 1/11/2009
1000 2/5/2008 11/30/2013
1000000 4/7/2012 4/7/2014
10 4/6/2009 1/28/2014
10 9/15/2009 3/25/2014
10 10/8/2010 3/25/2014
100000 3/26/2012 6/25/2013
500 9/2/2007 2/9/2010
1000000 3/16/2012 4/29/2014
10000000 8/6/2011 6/2/2014
10000000 1/19/2007 4/17/2007
10000000 10/8/2007 10/24/2007
10000000 10/8/2007 10/26/2007
10000000 4/15/2008 7/2/2008
10000000 10/26/2009 1/12/2010
10000000 10/26/2009 1/20/2010
100000 1/13/1999 12/1/2006
100.00 4/21/2003 4/21/2006
1000000 3/8/2007 1/28/2008
1000000 9/20/2007 9/16/2008
1000000 9/20/2007 11/17/2008
1000000 1/25/2008 1/30/2009
1,000,000.000 2/1/2004 2/7/2014
1000000 4/3/2011 4/12/2014
1000000 2/9/2008 12/2/2009
1000000 8/31/2009 11/30/2012
100000 9/8/2010 1/8/2014
10000000 7/26/2005 10/21/2005
10000000 8/22/2005 11/18/2005
10000000 9/22/2005 12/20/2005
10000000 11/29/2005 2/24/2006
100 1/27/2012 3/31/2014
1000000 12/24/2008 12/24/2013
79.120 3/12/2012 3/6/2014
1000000 3/26/2007 3/26/2014
100 10/1/2009 12/23/2009
100 12/21/2009 3/18/2010
100 1/8/2010 3/26/2010
100 2/11/2010 3/30/2010
10000000 3/18/2009 6/15/2009
10000000 3/18/2009 6/15/2009
10000000 6/12/2009 9/9/2009
100 3/20/2002 3/19/2003
1000 4/2/2009 7/1/2009
1000000 3/8/2012 4/8/2014
100 4/22/2008 12/31/2011
100 1/17/2008 3/31/2012
100 9/14/2007 6/30/2011
100 12/18/2000 12/18/2003
170 3/15/2010 3/22/2013
10,000,000.00 10/2/2002 1/15/2007
10,000,000.00 8/30/2002 11/30/2012
1,000,000.000 1/21/2004 1/21/2009
1,000,000.000 1/21/2004 1/21/2014
5,00,000 3/28/2001 6/28/2006
5,00,000 9/28/2001 4/28/2007
71 11/26/2001 1/10/2004
10000000 8/9/2010 8/13/2013
1000000 3/31/2005 12/31/2012
1000000 3/9/2012 3/9/2014
5000000 7/28/2006 7/30/2009
5000000 9/25/2006 9/25/2009
100000 9/1/2009 4/9/2010
1000000 12/7/2007 7/6/2010
100000 2/25/2011 2/25/2013
100000 2/14/2011 5/14/2013
100000 1/7/2011 1/7/2014
100000 7/5/2008 11/6/2009
100000 8/8/2008 11/9/2009
100000 9/7/2008 2/9/2010
100000 8/8/2008 10/8/2010
100000 6/5/2008 8/5/2011
100000 1/4/2010 9/29/2011
1000 7/15/2008 11/30/2013
1000000 11/28/2006 11/27/2007
1000000 3/31/2011 3/31/2013
100.000 10/31/2003 10/31/2011
100 11/8/2000 1/10/2003
100000 3/30/2011 3/30/2014
500000 8/29/2012 1/12/2014
100000 1/16/2007 1/15/2011
1000 3/31/1998 3/31/2003
41.67 8/18/1999 5/18/2004
1000000 6/28/2011 6/26/2012
1000000 6/28/2005 6/29/2012
1000000 9/21/2011 9/19/2012
1000000 12/17/2007 12/17/2012
10000000 11/14/2008 11/14/2013
1000000 12/17/2007 12/17/2013
100000 9/7/2010 1/7/2014
1000000 12/3/2009 3/12/2014
1000000 12/3/2009 3/12/2014
1000000 4/8/2009 4/8/2014
1000000 4/8/2009 4/8/2014
100000 3/2/2011 3/6/2014
1000000 5/11/2007 1/25/2008
1000000 2/15/2001 1/14/2007
1000000 3/18/2002 3/17/2007
10000 1/16/2008 7/16/2011
10000 1/20/2010 7/16/2011
5 3/24/2011 3/24/2014
100000 5/6/2008 1/5/2010
100000 3/4/2008 7/4/2011
66667 7/30/1998 7/29/2004
500000 8/25/2009 9/28/2009
500000 7/23/2010 10/20/2010
500000 6/15/2010 12/7/2010
500000 10/11/2010 1/9/2011
1000000 3/5/2010 9/5/2011
1000000 3/5/2010 3/5/2012
100000 4/28/2010 7/27/2012
1000000 3/5/2010 9/5/2012
100000 7/26/2010 10/26/2013
100000 8/31/2012 1/12/2014
100000 4/3/2013 3/6/2014
100000 4/3/2013 3/6/2014
100000 10/10/2012 3/10/2014
100000 4/10/2013 3/11/2014
100000 4/2/2011 4/8/2014
100000 8/12/2010 6/6/2014
100000 6/5/2011 6/6/2014
100000 11/3/2013 6/6/2014
500000 2/6/2008 8/29/2008
500000 11/25/2009 2/22/2010
1000000 4/27/2009 4/26/2011
100 3/2/2007 1/21/2014
1,00,000 7/31/2000 7/30/2002
100000 8/20/2013 5/20/2014
1,00,00,000 11/20/2001 2/15/2002
1,00,00,000 11/22/2001 2/19/2002
1,00,00,000 11/27/2001 2/22/2002
1,00,00,000 11/29/2001 2/26/2002
10000000 11/19/2004 11/15/2005
1000000 3/16/2009 1/31/2012
1000000 3/23/2009 1/31/2012
100 4/8/2008 3/31/2012
1000000 6/16/2008 6/8/2011
10000000 9/17/2010 9/20/2013
10000000 1/31/2011 12/30/2013
100000 10/12/2009 10/12/2013
100000 10/31/2009 10/31/2013
1000000 3/24/2009 3/24/2014
100000 10/12/2009 4/12/2014
100000 10/31/2009 5/1/2014
100 2/17/2000 3/15/2012
105 4/21/2003 12/31/2006
105 4/21/2003 12/31/2009
1000000 8/6/2010 7/6/2013
10000000 3/26/2007 6/22/2007
100 3/21/2000 1/15/2013
10000000 10/7/2008 3/27/2009
1000000 2/17/2012 2/17/2014
5000000 10/1/2008 3/31/2010
1,00,000 11/28/2001 11/24/2004
1,00,000 11/28/2001 11/26/2004
100000 6/12/2004 6/12/2005
100000 1/6/2005 8/29/2005
100000 8/16/2005 11/11/2005
100000 8/16/2005 11/11/2005
100000 8/23/2005 11/18/2005
1000 4/15/2008 4/14/2013
1000 2/5/2008 5/1/2013
100 12/26/2008 12/25/2013
1000000 2/24/2009 5/12/2010
10000000 4/9/2010 7/7/2010
10000000 4/12/2010 7/9/2010
10000000 5/3/2010 7/30/2010
100000 2/19/2013 2/6/2014
100000 11/23/2012 2/22/2014
100000 1/12/2010 1/12/2014
100,00,000 7/23/2002 7/23/2003
100,00,000 7/16/2002 7/16/2009
10000000 8/18/2008 11/14/2008
10000000 8/21/2008 11/18/2008
1,00,000 6/22/2000 9/15/2007
1,00,000 3/29/2001 8/11/2008
1,00,000 6/22/2000 9/15/2010
100,000.00 12/12/2001 1/15/2013
100,000.00 5/18/2003 5/18/2013
1,00,000 3/29/2001 8/11/2013
10000000 2/15/2011 5/31/2013
1,00,000 1/4/1998 1/4/2008
1,00,000 1/2/1999 1/2/2009
1000000 2/3/2010 2/3/2013
1000000 2/15/2010 2/15/2013
1000000 2/3/2010 2/3/2014
1000000 2/15/2010 2/15/2014
1,00,000 11/19/2000 11/18/2010
1,00,000 11/21/2002 11/21/2009
1,00,000 1/31/2003 11/21/2009
100000 3/21/2003 6/21/2010
100000 3/21/2003 6/21/2013
1000000 5/30/2009 5/30/2013
1000000 5/30/2009 5/30/2014
30000 2/16/2012 8/16/2013
80000 3/17/1997 3/31/2011
100 10/2/1992 10/2/2012
1,00,000 2/28/2000 2/28/2007
1,00,000 12/18/1989 12/12/2009
100 11/30/2010 11/30/2013
1,000,000.000 1/5/2004 1/5/2014
1,00,000 6/24/1999 6/23/2006
100 6/30/2000 4/15/2005
1000000 4/19/2010 4/19/2013
1000000 4/20/2010 4/20/2013
100 1/17/1990 1/17/2010
100 6/27/1990 6/27/2010
100 6/27/2000 6/27/2010
100 11/14/1990 11/14/2010
100 2/13/1991 2/13/2011
100 4/9/1991 4/9/2011
100 6/28/2001 6/28/2011
100 7/2/2001 7/2/2011
100 12/19/2001 12/19/2011
100 2/20/2002 2/20/2012
100 3/20/2002 3/20/2012
100 7/24/2002 7/24/2012
100 8/1/1992 8/1/2012
100 3/24/2003 3/24/2013
100 11/3/2003 11/3/2013
5,00,00,000 9/21/2001 12/21/2004
2500000 4/30/2004 4/30/2014
1,00,000 1/9/2000 1/9/2007
100,000.00 7/31/2001 7/30/2004
100,000.00 1/7/2002 6/30/2005
6.00 2/7/2003 1/1/2005
1000000 12/19/2008 12/19/2013
5,00,000 6/3/2002 6/3/2012
1,000,000.00 3/31/2004 3/31/2014
1000000 3/10/2012 3/10/2014
1000000 5/10/2012 5/10/2014
100000 3/29/2000 3/29/2007
1000000 3/31/2003 3/31/2013
100000 10/17/1998 1/1/2009
13197479.32 4/20/2010 4/24/2013
5,000.00 3/4/2003 3/4/2006
6,200.00 3/4/2003 3/8/2006
5,000.00 4/30/2003 4/30/2006
5,000.00 3/4/2003 3/4/2008
7,050.00 3/4/2003 3/8/2008
100000 3/17/2001 3/17/2008
5,000.00 4/30/2003 4/30/2008
7,050.00 4/30/2003 8/30/2008
100000 11/15/2001 11/15/2009
5,000.00 3/4/2003 3/4/2010
5000 4/30/2005 4/30/2010
5000 4/30/2005 4/30/2010
6630 4/30/2005 4/30/2010
5000 8/4/2005 8/4/2010
5000 8/4/2005 8/4/2010
6700 8/4/2005 8/4/2010
5000 11/3/2005 11/3/2010
6700 11/3/2005 11/3/2010
5000 11/3/2005 11/3/2010
100000 12/15/2001 12/15/2010
1000000 9/28/2005 4/28/2011
1000000 12/30/2005 4/30/2011
100,000.00 6/6/2001 6/6/2011
100000 2/7/2001 7/2/2011
5000 11/3/2005 11/3/2012
10000 10/11/2007 2/10/2013
10000 10/11/2007 2/10/2013
200000 2/24/2003 2/24/2013
1000000 6/29/2005 4/29/2013
5000 4/23/2002 4/23/2005
6625 4/23/2002 8/23/2005
5000 4/23/2002 4/23/2007
5000 4/23/2002 4/23/2008
8850 4/23/2002 10/23/2008
5000 4/23/2002 4/23/2009
10000 4/23/2002 12/23/2009
5000 2/26/2003 2/26/2006
6250 2/26/2003 6/26/2006
6,025.000 9/10/2003 9/2/2007
5000 2/26/2003 2/26/2008
7250 2/26/2003 6/26/2008
5,000.000 9/10/2003 9/10/2006
5,000.000 12/15/2003 12/15/2006
5,000.000 5/2/2004 5/2/2007
6,025.000 5/2/2004 5/8/2007
6,050.000 12/15/2003 6/15/2007
5,000.000 12/15/2003 12/15/2008
5,000.000 5/2/2004 5/2/2009
6,700.000 5/2/2004 5/8/2009
6,750.000 12/15/2003 6/15/2009
5,000.000 9/10/2003 9/10/2010
100,000.000 9/10/2001 9/10/2011
100,000.000 4/24/2001 4/24/2013
100,000.000 1/28/2002 4/28/2009
1,00,000 6/29/2001 6/29/2011
1,00,000 8/31/2001 8/31/2011
5000 9/27/2001 9/27/2004
5000 12/11/2001 12/11/2004
5000 12/24/2001 12/24/2004
1,00,000 1/11/2000 1/11/2005
5000 2/19/2002 2/19/2005
5000 3/27/2002 3/27/2005
6660 12/24/2001 4/24/2005
6660 2/19/2002 6/19/2005
6660 3/27/2002 7/27/2005
6660 12/11/2001 12/3/2005
5000 3/27/2002 3/27/2007
9000 9/27/2001 3/27/2008
5000 3/27/2002 3/27/2008
1000 7/6/1988 6/23/2008
9000 12/24/2001 6/24/2008
9000 1/23/2002 7/23/2008
9000 2/19/2002 8/19/2008
8950 3/27/2002 9/27/2008
9000 12/11/2001 12/5/2008
5000 12/24/2001 12/24/2008
10000 9/27/2001 12/27/2008
5000 2/19/2002 2/19/2009
5000 3/27/2002 3/27/2009
10000 1/23/2002 5/23/2009
10000 3/27/2002 9/27/2009
5000 4/28/2002
5000 4/25/2003
7025 6/24/2003
5000 10/5/2003
1,00,000 11/7/2003
5000 12/13/2003
5000 1/11/2004
5000 1/19/2004
7000 2/5/2004
5000 3/22/2001 3/22/2004
5000 4/26/2001 4/26/2004
7000 5/19/2004
7000 3/22/2001 7/22/2004
6750 4/26/2001 8/26/2004
1,00,000 11/7/2005
1,00,000 11/7/2005
5000 1/19/2006
5000 3/3/2006
5000 4/26/2001 4/26/2006
10000 7/19/2007
16000 7/1/2009
16000 8/11/2009
15000 1/5/2011
1,00,000 2/26/2011
1,00,000 2/26/2011
5000 2/28/2011
15000 4/19/2011
14400 6/1/2001 6/1/2011
100000 4/10/2000 4/10/2003
25000 7/8/1998 7/8/2005
10000 12/12/1998 12/12/2005
100000 6/1/2000 6/4/2007
100000 3/26/2002 3/26/2012
1000000 3/26/2009 3/26/2014
1000 1/28/1993 1/28/2008
1000 2/28/1989 2/28/2009
1000 9/19/1989 9/19/2009
100000 4/30/2009 4/30/2014
100000 5/31/2001 5/31/2014
100000 5/31/2009 5/31/2014
1000 12/24/2013 12/27/2013
100000 4/6/2010 4/10/2012
100000 3/10/2010 9/10/2012
37,89,935.09 3/31/1999 12/31/2007
100000 1/22/2009 1/22/2014
100000 3/20/2009 3/20/2014
100 1/17/2000 1/17/2005
100 4/28/2000 4/28/2005
1000030.16 1/25/2010 10/15/2013
1000030.16 1/25/2010 4/15/2014
1000 1/7/2008 11/30/2013
1000 1/22/2007 11/30/2013
1000000 1/12/2011 1/12/2014
1000000 11/26/2012 5/26/2014
1000 3/9/2005 9/2/2009
1000 1/19/2006 1/18/2010
1000 8/3/2006 3/7/2010
1000 10/20/2005 10/19/2009
1000 10/21/2005 10/20/2009
1000 1/21/2006 1/20/2010
1000 2/17/2006 2/16/2010
1000000 2/18/2011 2/18/2014
1000000 2/21/2011 2/21/2014
100 8/24/2001 2/22/2004
264000 11/20/2002 11/20/2007
10,00,000 9/13/2001 9/13/2004
10,00,000 8/14/2001 8/14/2006
1,000,000.00 3/26/2004 3/26/2011
1000000 9/14/2004 9/14/2011
1,000,000.00 3/26/2004 3/26/2012
1000 12/15/2001 12/15/2008
1000 1/17/2003 1/17/2013
1,000.000 10/22/2003 10/22/2013
100000 2/21/2007 11/22/2011
100 5/28/2009 5/20/2013
1,000,000.00 6/30/2004 4/30/2014
1000 7/10/1992 7/10/2007
1000 6/21/1988 6/21/2008
1000 1/17/1989 1/17/2009
1000 3/14/1989 3/14/2009
1000 6/13/1989 6/13/2009
1000 9/26/1989 9/26/2009
1000 3/14/1990 3/14/2010
1000 5/7/1990 5/7/2010
1000 9/1/1990 9/1/2010
1000 12/8/1991 12/8/2011
1000 12/16/1991 12/16/2011
1000 11/3/1992 11/3/2012
1,00,000 7/30/1999 7/30/2002
1,00,000 10/17/1997 10/17/2002
1,00,000 2/24/1998 2/24/2003
1,00,000 3/19/1998 3/19/2003
1,00,000 3/25/1998 3/25/2003
1,00,000 3/27/1998 3/27/2003
100,000.00 2/7/1999 2/7/2004
1,00,000 4/7/2001 4/7/2004
1,00,000 5/7/2001 5/7/2004
1,00,000 5/7/2001 5/7/2004
1,00,000 6/6/2001 6/6/2004
1,00,000 6/7/2001 6/7/2004
100,000.00 6/7/1999 6/7/2004
1,00,000 6/27/2001 6/27/2004
100,000.00 7/31/1999 7/31/2004
100,000.000 8/5/2001 8/5/2004
100,000.00 8/7/1999 8/7/2004
1,00,000 9/23/1997 9/23/2004
1,00,000 12/7/2001 12/7/2004
100,000.000 12/29/1997 12/29/2004
100,000.00 2/1/1998 2/1/2005
100000 3/8/2000 3/8/2005
1,00,000 3/18/1998 3/18/2005
5000 4/30/2002 4/30/2005
5000 5/2/2002 5/2/2005
1,00,000 5/8/2002 5/8/2005
1,00,000 5/8/2002 5/8/2005
1,00,000 5/9/2002 5/9/2005
1,00,000 5/10/2002 5/10/2005
1,00,000 5/11/2002 5/11/2005
1,00,000 5/12/2002 5/12/2005
100000 5/13/2000 5/13/2005
100,000.00 5/23/2000 5/23/2005
100,000.00 6/19/2000 6/19/2005
100000 7/21/2000 7/21/2005
100,000.00 7/25/2000 7/25/2005
1,00,000 8/11/2002 8/11/2005
100,000.00 10/14/2000 10/14/2005
100,000.00 11/11/1998 11/11/2005
5000 11/25/2002 11/25/2005
1,00,000 12/6/1998 12/6/2005
5000 1/17/2003 1/17/2006
100,000.000 2/7/2003 2/7/2006
100,000.000 3/5/2001 3/5/2006
100000 3/31/2003 3/31/2006
100000 3/31/2003 3/31/2006
100000 3/31/2003 3/31/2006
5000 4/3/2003 4/3/2006
6390 4/3/2003 4/9/2006
100,000.00 4/9/2003 4/9/2006
100,000.00 4/9/2003 4/9/2006
100,000.00 4/9/2003 4/9/2006
5000 4/25/2003 4/25/2006
100,000.00 4/30/2003 4/30/2006
1,00,000 5/2/2003 5/2/2006
1,00,000 5/2/2003 5/2/2006
100000 5/3/2003 5/3/2006
100000 5/3/2003 5/3/2006
100000 5/6/2003 5/6/2006
100,000.000 5/11/2003 5/11/2006
100,000.000 5/11/2003 5/11/2006
100,000.000 5/12/2003 5/12/2006
100,000.000 5/12/2003 5/12/2006
100,000.000 5/12/2003 5/12/2006
6600 11/25/2002 5/25/2006
1,00,000 6/6/2001 6/6/2006
100,000.000 6/11/2003 6/11/2006
100,000.00 7/7/2003 7/7/2006
6550 1/17/2003 7/17/2006
100,000.00 7/23/2003 7/23/2006
100000 7/24/1999 7/24/2006
100,000.00 8/9/1999 8/9/2006
100,000.00 8/18/2003 8/18/2006
100,000.00 8/26/1999 8/26/2006
1,00,000 8/30/1999 8/30/2006
100000 8/30/1999 8/30/2006
100,000.000 9/10/2003 9/10/2006
100,000.000 9/10/2003 9/10/2006
100,000.000 9/10/2003 9/10/2006
100,000.00 9/22/2003 9/22/2006
100,000.00 9/22/2003 9/22/2006
100,000.00 9/25/1999 9/25/2006
1,00,000 10/2/2003 10/2/2006
6350 4/25/2003 10/25/2006
100,000.00 12/5/1999 12/5/2006
1,00,000 12/12/2001 12/12/2006
100000 12/14/2001 12/14/2006
1,000.000 12/15/2003 12/15/2006
100000 12/23/1999 12/23/2006
5,000.00 4/20/2004 4/20/2007
5000 4/30/2002 4/30/2007
5000 5/2/2002 5/2/2007
5,000.000 5/3/2004 5/3/2007
6,030.000 5/3/2004 5/9/2007
1,00,000 5/11/2002 5/11/2007
1,00,000 5/12/2002 5/12/2007
1,000.000 12/15/2003 6/15/2007
100,000.00 7/4/2002 7/4/2007
1,00,000 8/11/2002 8/11/2007
100000 10/1/2000 10/1/2007
6,030.00 4/20/2004 10/20/2007
100,000.00 11/15/2000 11/15/2007
5000 11/25/2002 11/25/2007
5,000.000 12/1/2004 12/1/2007
6,080.000 12/1/2004 12/7/2007
5000 12/9/2002 12/9/2007
5000 1/17/2003 1/17/2008
7450 1/17/2003 1/17/2008
5000 2/25/2005 2/25/2008
100,000.00 3/24/2003 3/24/2008
100000 3/31/2003 3/31/2008
5000 4/3/2003 4/3/2008
100,000.00 4/5/2001 4/5/2008
7450 4/3/2003 4/9/2008
100,000.00 4/9/2003 4/9/2008
1,00,000 4/10/2001 4/10/2008
5000 4/25/2003 4/25/2008
100000 5/3/2003 5/3/2008
100,000.00 5/8/2003 5/8/2008
100,000.00 6/15/2001 6/15/2008
100,000.00 7/6/2001 7/6/2008
100,000.00 7/7/2003 7/7/2008
6030 2/25/2005 8/25/2008
100,000.00 9/4/2001 9/4/2008
100,000.00 9/7/2003 9/7/2008
100,000.000 9/10/2003 9/10/2008
7350 4/25/2003 10/25/2008
5000 11/25/2002 11/25/2008
1,00,000 12/2/2003 12/2/2008
5000 3/15/2002 3/15/2009
9600 3/15/2002 3/15/2009
5,000.00 4/20/2004 4/20/2009
6,580.00 4/20/2004 4/20/2009
5000 4/30/2002 4/30/2009
5000 5/2/2002 5/2/2009
5000 5/2/2002 5/2/2009
5,000.000 5/3/2004 5/3/2009
6,615.000 5/3/2004 5/3/2009
1,00,000 5/12/2002 5/12/2009
100,000.00 5/14/2002 5/14/2009
100,000.00 6/20/2002 6/20/2009
100,000.000 7/17/2002 7/17/2009
1,00,000 8/11/2002 8/11/2009
1,00,000 9/12/2002 9/12/2009
100,000.00 11/7/2002 11/8/2009
6,700.000 12/1/2004 12/1/2009
5000 12/9/2002 12/9/2009
5000 2/19/2003 2/19/2010
5000 2/25/2005 2/25/2010
100000 3/31/2003 3/31/2010
5000 4/3/2003 4/3/2010
5000 4/20/2005 4/20/2010
5000 4/20/2005 4/20/2010
5000 4/25/2003 4/25/2010
100,000.00 5/8/2003 5/8/2010
10000 11/25/2002 5/25/2010
100,000.00 8/18/2003 8/18/2010
10000 12/9/2002 12/2/2010
5,000.00 4/20/2004 4/20/2011
1000000 9/29/2004 9/29/2011
100000 11/24/2001 11/24/2011
100,000.00 12/12/2001 12/12/2011
100,000.00 1/7/2002 1/7/2012
5000 2/25/2005 2/25/2012
5000 3/15/2002 3/15/2012
5000 3/15/2002 3/15/2012
1000000 4/1/2005 4/1/2012
5000 5/2/2002 5/2/2012
5000 5/2/2002 5/2/2012
1000000 5/13/2005 5/13/2012
1,00,000 8/11/2002 8/11/2012
5000 2/19/2003 2/19/2013
100000 3/31/2003 3/31/2013
100,000.00 5/8/2003 5/8/2013
1,00,000 10/2/2003 10/2/2013
5000 2/11/2006
5000 2/11/2006
5000 3/27/2003
10000 3/30/2001 3/30/2004
5000 5/5/2004
10000 3/30/2001 7/30/2004
5000 9/11/2004
5000 1/5/2006
5000 3/30/2001 3/30/2006
5000 4/5/2006
10000 5/5/2007
10000 3/30/2001 10/30/2007
5000 9/11/2013
100000 1/11/2000 1/11/2005
100000 10/23/1998 10/23/2005
100000 1/29/1999 1/29/2006
100000 5/17/2001 5/17/2006
100000 6/18/1999 6/18/2006
100000 7/15/2003 7/15/2006
100000 7/26/1999 7/26/2006
100000 9/4/1999 9/4/2006
100000 12/6/1999 12/6/2006
100000 12/11/1999 12/11/2006
100000 12/24/1999 12/24/2006
100000 1/20/2000 1/20/2007
100000 5/18/2001 5/18/2008
100000 5/26/2001 5/26/2008
100000 8/6/2001 6/8/2008
100000 8/20/2001 8/20/2008
100000 11/27/2001 11/27/2008
100000 7/13/2002 7/13/2009
100000 8/25/2003 8/25/2010
1000000 9/27/2005 4/27/2011
100000 11/27/2001 11/27/2011
100000 4/2/2002 2/4/2012
1000000 7/20/2005 7/20/2012
1000000 11/28/2005 11/28/2012
1000000 8/30/2006 8/30/2013
Rs.1,00,000 1/5/2002 1/5/2007
Rs.1,00,000 1/11/2002 1/11/2007
Rs.1,00,000 1/8/2002 1/8/2009
Rs.1,00,000 1/8/2002 1/8/2009
Rs.1,00,000 1/9/2002 1/9/2009
Rs.1,00,000 1/11/2002 1/11/2009
Rs.1,00,000 1/9/2002 1/9/2012
Rs.1,00,000 1/10/2002 1/10/2012
Rs.1,00,000 1/5/2002 1/5/2014
Rs.1,00,000 1/8/1998 1/8/2002
Rs.1,00,000 1/1/2000 1/1/2003
Rs.1,00,000 1/7/1998 1/7/2003
1,00,000 1/10/2000 1/10/2003
Rs.1,00,000 3/30/1998 3/30/2003
Rs.1,00,000 1/10/2001 1/10/2004
Rs.1,00,000 1/10/1999 1/10/2004
Rs.1,00,000 3/31/2001 3/31/2004
Rs.1,00,000 3/31/2001 3/31/2004
Rs.1,00,000 1/1/2002 1/1/2005
1,00,000 1/3/2000 1/3/2005
1,00,000 1/5/2000 1/5/2005
Rs.1,00,000 1/5/2000 1/5/2005
Rs.1,00,000 1/10/1998 1/10/2005
1,00,000 1/5/1999 1/5/2006
1,00,000 1/7/1999 1/7/2006
Rs.1,00,000 1/8/1999 1/8/2006
100,000.000 1/8/2003 1/8/2006
Rs.1,00,000 1/10/1999 1/10/2006
100,000.000 1/10/2003 1/10/2006
Rs.1,00,000 1/12/1999 1/12/2006
Rs.1,00,000 1/1/2000 1/1/2007
1,00,000 1/3/2000 1/3/2007
Rs.1,00,000 1/4/2000 1/4/2007
1,00,000 1/6/2000 1/6/2007
100,000.00 1/6/2003 1/6/2008
100,000.000 1/9/2003 1/9/2008
100,000.000 1/10/2003 1/10/2008
Rs.1,00,000 3/31/2002 3/31/2008
1,00,000 3/31/1999 3/31/2009
Rs.1,00,000 3/31/2000 3/31/2010
Rs.1,00,000 1/5/2001 1/5/2011
1,00,000 1/1/2002 1/1/2012
Rs.1,00,000 1/3/2001 1/3/2012
100,000.00 1/5/2003 1/5/2013
100,000.000 1/9/2003 1/9/2013
1,00,000 1/9/2002 1/9/2014
1,000.00 8/22/2002 8/22/2005
1,000.00 7/5/2003 7/5/2013
1,000.00 7/7/2003 7/7/2013
1000 7/17/2003 7/17/2013
1000 3/30/2007 3/30/2014
100 4/28/2000 4/15/2005
100000 7/21/2004 7/20/2011
20,00,000 7/18/2001 7/17/2011
1,000,000.00 3/31/2004 3/31/2009
1000000 12/19/2008 12/18/2013
48 12/23/1994 1/7/2007
10000 1/4/1999 1/10/2008
10000 1/10/1999 1/10/2008
10000 1/4/1999 1/4/2009
10000000 5/12/2006 1/5/2007
10000000 9/25/2007 10/25/2007
10000000 9/25/2007 10/25/2007
1000000 7/15/2009 1/15/2013
1000000 1/24/2011 3/7/2014
5000000 9/3/2011 3/31/2014
10000000 4/10/2004 12/31/2004
10000000 7/6/2005 2/9/2005
10000000 6/16/2005 9/13/2005
10000000 7/21/2005 10/18/2005
10000000 7/29/2005 10/26/2005
10000000 9/15/2005 12/13/2005
1000000 10/15/2008 7/14/2009
70 10/27/1997 1/4/2004
10 12/30/2009 6/30/2011
10 12/30/2009 6/30/2011
200 2/13/2010 8/13/2011
10 2/13/2010 8/13/2011
10 2/13/2010 8/13/2011
200 2/13/2010 8/13/2011
200 3/26/2010 9/26/2011
10 3/26/2010 9/26/2011
10 3/26/2010 9/26/2011
200 3/26/2010 9/26/2011
1000000 3/8/2004 2/8/2014
10000000 2/24/2010 3/11/2010
10000000 3/12/2010 3/23/2010
1000000 11/29/2010 3/31/2014
100 5/14/2001 1/10/2012
100 8/22/2000 9/15/2012
100 8/22/2000 9/15/2012
100 3/27/2000 9/15/2012
100 6/22/2000 9/15/2012
1000 7/15/2008 11/30/2013
120 2/15/2011 5/14/2012
100000 1/29/2010 7/28/2011
100000 3/31/2002 3/31/2009
1,00,000 12/30/1999 12/31/2009
100000 11/16/2010 1/14/2014
100000 12/15/2010 2/4/2014
1000000 10/12/2012 2/28/2014
100000 12/15/2010 3/4/2014
100000 2/17/2011 3/6/2014
100000 1/17/2011 5/5/2014
100 11/2/1988 11/2/2003
100 6/21/1988 6/21/2008
100,000.00 5/31/2003 5/31/2010
100,000.000 1/8/2003 1/8/2010
100,000.00 10/15/2002 10/15/2012
100 3/30/2007 3/30/2012
10,00,000 11/29/1999 11/30/2002
10,00,000 12/22/1999 12/21/2002
10,00,000 8/9/2000 7/9/2003
10,00,000 7/1/2003 6/7/2004
100,000.000 10/7/2003 9/7/2004
1,00,000 12/3/2001 8/31/2008
1,00,000 12/3/2001 8/31/2011
1000 1/3/1994 1/3/2004
1000 9/1/1997 9/1/2007
1000000 2/8/2004 2/8/2014
1000000 12/8/2008 10/17/2011
1000000 9/18/2008 11/29/2011
500000 1/21/2011 4/21/2014
1000000 8/1/2013 3/7/2014
2500000 7/25/2006 7/24/2009
500000 10/15/2010 2/14/2014
1000000 3/7/2012 3/7/2014
1000000 10/25/2011 4/11/2014
1000000 8/21/2007 8/20/2010
1000000 6/17/2008 9/6/2011
1000 4/14/2008 4/6/2009
1000 7/31/2008 7/16/2009
13 2/15/2003 8/14/2005
1,000,000.00 3/31/2004 3/31/2014
100000 12/15/1999 12/15/2006
5000 5/17/2002 5/17/2009
10,00,00,000 5/17/2001 5/17/2002
67 5/31/1996 5/31/2003
67 6/29/1996 6/29/2003
67 7/18/1996 7/18/2003
66.66 8/7/1996 8/7/2003
100000 6/20/2012 1/8/2014
10,000,000.00 5/4/2004 2/7/2004
10,000,000.00 4/21/2004 7/19/2004
10000000 10/9/2004 8/12/2004
10000000 9/21/2004 12/17/2004
10000000 10/29/2004 1/25/2005
10000000 7/26/2005 10/21/2005
10000000 7/27/2005 10/24/2005
10000000 7/27/2005 10/24/2005
10000000 12/21/2005 3/20/2006
10000000 12/21/2005 3/20/2006
10000000 12/28/2005 3/27/2006
10000000 12/28/2005 3/27/2006
10000000 1/17/2006 4/14/2006
10000000 1/20/2006 4/19/2006
10000000 1/24/2006 4/21/2006
10000000 1/23/2006 4/21/2006
10000000 1/25/2006 4/24/2006
10000000 7/2/2005 5/5/2006
10000000 3/21/2006 6/16/2006
10000000 3/29/2006 6/26/2006
10000000 10/4/2006 7/7/2006
10000000 4/18/2006 7/14/2006
10000000 6/20/2006 9/15/2006
10000000 7/14/2006 10/11/2006
10000000 4/13/2006 11/7/2006
10000000 11/9/2006 12/8/2006
10000000 9/18/2006 12/15/2006
10000000 9/20/2006 12/18/2006
10000000 3/10/2006 12/28/2006
10000000 9/10/2006 1/5/2007
10000000 1/11/2006 1/29/2007
10000000 12/14/2006 3/13/2007
10000000 1/24/2007 4/23/2007
10000000 1/31/2007 4/30/2007
10000000 5/7/2007 10/1/2007
10000000 11/4/2008 7/9/2008
10000000 6/17/2008 7/18/2008
1000 3/10/2010 3/8/2013
1000 3/10/2010 3/8/2013
1000000 5/12/2011 4/11/2014
1000000 5/31/2011 5/31/2014
1000000 4/27/2012 4/28/2014
1000000 4/5/2012 4/17/2014
101 3/27/2007 3/26/2014
1,00,000 1/28/2000 1/29/2008
1,00,00,000 10/31/2002 10/31/2007
3874000000 6/26/2008 6/25/2013
17217777.78 6/26/2008 6/25/2013
10,000,000.00 7/6/2001 7/6/2003
10,000,000.00 9/8/2000 9/8/2003
10,000,000.00 10/8/2000 9/8/2003
10,000,000.00 7/6/2001 7/6/2004
1000000 5/6/2012 5/6/2014
100000 12/31/2010 12/24/2013
100000 3/22/2011 12/24/2013
100000 5/18/2011 12/24/2013
10000 7/29/2000 10/29/2007
100000 12/5/2011 8/9/2013
1000000 4/3/2009 6/3/2014
100000 10/4/2002 9/4/2009
100,000.00 2/27/2003 3/5/2010
1,00,000 11/15/2001 5/31/2012
100000 6/15/1999 10/15/2006
100000 1/12/2002 11/30/2008
100000 1/12/2002 6/30/2013
100000 1/12/2002 8/31/2013
100000 1/12/2002 8/31/2013
100000 1/12/2002 11/30/2013
100,000.000 10/29/2003 1/29/2004
1,00,000 2/14/1998 2/14/2008
100000 12/31/2001 12/31/2008
1,00,000 11/18/2000 11/18/2012
1,00,000 10/23/1997 10/23/2007
1,00,000 7/6/2000 7/6/2010
1,00,000 12/24/2001 12/19/2011
1,00,000 2/20/2002 2/20/2012
100000 10/15/1999 10/12/2009
1,00,000 1/9/1999 1/10/2004
1,00,000 1/9/1999 1/9/2009
1,00,000 2/26/2001 2/26/2011
1,000,000.00 3/26/2004 3/26/2014
100,000.00 2/14/2003 7/15/2013
1000000 5/2/13 5/3/2013
1000000 7/12/2011 5/12/2014
100 5/17/2001 1/15/2003
10000000 12/20/2007 1/14/2008
1000 8/9/2011 10/12/2012
1000 8/9/2011 9/8/2013
1000000 12/3/2013 3/9/2014
1000000 12/3/2013 4/21/2014
1000000 9/2/2010 3/2/2012
100000 5/27/2011 5/27/2014
100000 5/27/2011 5/27/2014
100000 5/27/2011 5/27/2014
10 9/20/2008 12/31/2012
500000 2/28/2013 4/29/2014
100 4/3/2002 3/3/2003
100 6/21/2001 6/21/2003
100 7/8/2002 10/30/2003
100 3/8/2001 3/8/2004
1000000 5/27/2011 8/27/2013
1000000 1/8/2012 1/8/2014
1000 9/14/2011 9/13/2013
1000 1/11/2012 1/11/2014
1000 1/18/2012 1/18/2014
1000 4/18/2012 4/18/2014
1000000 3/31/2011 8/31/2011
1000000 4/2/2009 2/4/2014
100.000 5/25/2004 10/5/2009
1,00,000 10/5/1999 6/30/2006
Rs 1000/- 3/26/1999 3/25/2005
1,000.00 7/10/1992 7/10/2007
10,000.00 1/10/2003 1/10/2008
1000000 1/22/2007 1/22/2010
10000 3/31/2005 3/31/2010
10000 3/31/2005 3/31/2010
10000 6/30/2005 6/30/2010
10000 6/30/2005 6/30/2010
10000 7/31/2005 7/31/2010
10000 7/31/2005 7/31/2010
10000 8/31/2005 8/31/2010
10000 9/30/2005 9/30/2010
10000 3/31/2006 3/31/2011
1000000 1/22/2007 1/22/2012
1000 7/31/2008 7/31/2013
1000 7/31/2008 7/31/2013
1000 3/31/2009 3/31/2014
1000 3/31/2009 3/31/2014
1000 3/31/2009 3/31/2014
1000 3/31/2009 3/31/2014
1000000 4/11/2011 4/11/2014
5,00,000 1/7/1998 1/7/2005
5,00,000 4/30/1999 3/31/2006
10000 8/31/2006 8/31/2009
10000 3/31/2008 3/30/2011
10000 6/30/2008 6/30/2011
10000 8/31/2008 8/31/2011
10000 9/30/2008 9/30/2011
10000 10/31/2008 10/31/2011
10000 11/30/2008 11/30/2011
10000 12/31/2008 12/31/2011
10000 1/31/2009 1/31/2012
10000 2/28/2009 2/28/2012
10000 3/31/2009 3/31/2012
10000 12/31/2009 12/31/2012
10000 3/31/2010 3/31/2013
10000 4/30/2010 4/30/2013
10000 5/31/2010 5/31/2013
10000 7/31/2010 7/31/2013
10000 9/30/2010 9/30/2013
10000 10/31/2010 10/31/2013
10000 11/30/2010 11/30/2013
10000 12/31/2010 12/31/2013
10000 3/31/2011 3/31/2014
10000 5/31/2011 5/31/2014
10,000.00 1/31/2004 1/31/2009
10000 9/30/2004 9/30/2009
10000 11/30/2004 11/30/2009
10000 12/31/2004 12/31/2009
10000 12/31/2004 12/31/2009
10000 12/31/2004 12/31/2009
10000 2/28/2003 2/28/2010
100000 3/25/2003 3/25/2010
10000 3/31/2003 3/31/2010
10,000.00 4/30/2003 4/30/2010
10000 7/15/2005 7/15/2010
10000 7/15/2005 7/15/2010
10000 8/31/2005 8/31/2010
10,000.000 9/30/2003 9/30/2010
10,000.000 9/30/2003 9/30/2010
10000 9/30/2005 9/30/2010
10000 9/30/2005 9/30/2010
10000 7/31/2004 7/31/2011
10000 9/30/2004 9/30/2011
10000 10/31/2004 10/31/2011
10000 10/31/2004 10/31/2011
10000 11/30/2004 11/30/2011
10000 12/31/2004 12/31/2011
10000 12/31/2004 12/31/2011
10000 1/31/2005 1/31/2012
10000 1/31/2005 1/31/2012
10000 2/28/2005 2/28/2012
10000 2/28/2005 2/28/2012
10000 3/31/2005 3/31/2012
10000 3/31/2005 3/31/2012
10000 4/30/2005 4/30/2012
10000 4/30/2005 4/30/2012
10000 4/30/2005 4/30/2012
10000 4/30/2005 4/30/2012
10000 5/15/2005 5/15/2012
10000 5/15/2005 5/15/2012
10000 5/31/2005 5/31/2012
10000 5/31/2005 5/31/2012
10000 6/15/2005 6/15/2012
10000 6/15/2005 6/15/2012
10000 6/30/2005 6/30/2012
10000 6/30/2005 6/30/2012
10000 7/15/2005 7/15/2012
10000 7/15/2005 7/15/2012
10000 7/31/2005 7/31/2012
10000 7/31/2005 7/31/2012
10000 10/31/2005 10/31/2012
10000 3/31/2006 3/31/2013
10,000.00 6/30/2004 6/30/2009
10,000.00 4/30/2004 4/30/2011
1,00,000 1/1/2002 12/31/2006
100000 1/1/2003 3/31/2005
500000 8/12/2004 6/30/2011
100000 8/6/2010 5/27/2014
5000 3/31/2008 11/19/2012
5000 3/31/2008 11/19/2013
10000000 5/26/2003 5/26/2007
10000000 5/26/2003 5/26/2008
100000 3/12/2010 3/3/2014
1000000 7/1/2003 7/1/2010
51198631 6/16/2008 4/22/2009
10000000 6/16/2008 4/22/2009
1006053.31 2/3/2009 10/18/2013
1000000 8/26/2009 5/31/2014
100000 2/2/2006 2/8/2014
500000 12/28/2007 6/4/2014
500000 1/31/2008 6/4/2014
1,00,000 3/31/2001 3/31/2006
1,00,000 3/30/2001 3/30/2008
1,00,000 11/13/1997 11/13/2007
1,00,000 2/20/2002 2/20/2012
100 3/27/2009 3/26/2014
1000000 11/8/2007 3/31/2012
10,00,000 10/22/2002 4/22/2008
100000 1/12/2010 1/12/2013
100000 1/12/2010 1/12/2014
100000 1/13/2011 1/13/2014
100000 9/1/2010 3/1/2014
100000 3/3/2011 3/3/2014
100000 4/26/2010 4/26/2014
10000000 7/16/2010 10/15/2013
10,00,000 12/31/2002 12/31/2007
1000000 9/20/2006 9/30/2011
90 7/17/1993 3/31/2010
10000 2/15/2005 2/15/2010
10000 2/15/2005 2/15/2010
10000 3/31/2005 3/31/2010
10000 3/31/2005 3/31/2010
1000000 9/6/2008 6/9/2013
1000000 2/11/2004 2/11/2014
10,00,000 3/10/2002 3/10/2014
100000 4/20/2011 3/31/2014
100000 9/10/2009 3/10/2014
100000 1/7/2005 6/30/2012
10 7/9/2007 9/6/2010
10 7/9/2007 9/6/2010
10 7/9/2007 9/6/2010
10 7/9/2007 11/6/2011
100.00 7/25/2002 7/25/2012
100.00 11/3/2003 11/3/2013
100000 6/30/2000 6/30/2007
1,00,000 1/22/2000 1/22/2007
100000 11/2/2009 7/10/2009
100000 11/2/2009 7/24/2009
11884821.92 12/27/2007 6/19/2009
100000 11/11/2009 2/11/2013
100000 10/7/2010 2/7/2014
14443431.63 2/26/2009 5/30/2012
11547747.18 12/8/2009 12/24/2013
100000 8/6/2010 12/7/2013
100000 12/21/2009 12/20/2013
1000000 2/29/2012 1/7/2014
100000 5/31/2012 1/9/2014
100000 7/31/2012 2/4/2014
100000 11/30/2012 2/4/2014
100000 2/29/2012 2/6/2014
100000 2/29/2012 2/6/2014
1000000 3/19/2013 4/18/2014
1000000 3/25/2013 4/24/2014
100000 2/8/2012 5/11/2014
100000 5/6/13 6/5/2014
1000000 6/6/2011 6/6/2014
1000000 7/12/2012 6/6/2014
1000000 9/30/2013 1/10/2014
5,00,000 9/12/1997 8/12/2004
1000000 4/11/2008
10000 1/1/2002 1/31/2007
10000 1/3/2002 3/31/2007
10000 1/3/2002 3/31/2007
5000 1/28/2002 3/31/2007
5000 1/7/2002 7/31/2007
10000 1/8/2002 8/31/2007
5000 1/8/2002 8/31/2007
5000 1/9/2002 9/30/2007
5000 1/12/2002 12/31/2007
10000 1/3/2003 3/31/2008
5000 3/31/2005 3/31/2008
10,000.000 1/10/2003 10/31/2008
10,000.000 1/12/2003 12/31/2008
5,000.000 1/1/2004 1/31/2009
5,000.00 1/3/2004 3/31/2009
10000 1/8/2004 8/31/2009
1000000 9/27/2002 9/27/2009
10000 1/10/2004 10/31/2009
10000 1/31/2007 1/31/2010
10000 2/28/2007 2/28/2010
5000 3/31/2005 3/31/2010
10000 3/31/2007 3/31/2010
10000 7/31/2007 7/31/2010
10000 8/31/2007 8/31/2010
10000 9/30/2007 9/30/2010
10000 10/31/2007 10/31/2010
10000 11/30/2005 11/30/2010
10000 12/27/1990 12/27/2010
10000 12/31/2007 12/31/2010
10000 1/31/2008 1/31/2011
10000 2/29/2008 2/28/2011
10000 3/31/2008 3/31/2011
10000 5/12/1991 5/12/2011
10000 6/30/2008 6/30/2011
10000 7/31/2006 7/31/2011
1000000 8/14/2008 8/14/2011
10000 8/31/2008 8/31/2011
10000 10/31/2008 10/31/2011
10000 11/30/2008 11/30/2011
10000 12/22/2004 12/31/2011
10000 12/31/2008 12/31/2011
10000 1/31/2009 1/31/2012
10000 1/2/2005 2/28/2012
10000 3/31/2009 3/31/2012
10000 5/31/2009 5/31/2012
10000 8/31/2009 8/31/2012
10000 10/31/2009 10/31/2012
10000 11/30/2009 11/30/2012
10000 1/31/2010 1/31/2013
10000 2/28/2010 2/28/2013
10000 3/31/2010 3/31/2013
1000000 7/24/2008 7/24/2013
10000 7/31/2010 7/31/2013
1000000 8/14/2008 8/14/2013
10000 8/31/2010 8/31/2013
1000000 9/30/2008 9/30/2013
10000 12/31/2010 12/31/2013
10000 2/28/2011 2/28/2014
10000 3/31/2011 3/31/2014
10000 4/30/2011 4/30/2014
10000 5/31/2011 5/31/2014
1000000 6/2/2009 6/2/2014
100 6/27/2007 6/26/2011
1000000 3/23/2009 3/23/2014
100 3/18/1998 1/10/2005
100 11/28/2001 2/24/2002
50000 3/31/1999 5/20/2006
50000 5/31/2000 5/31/2007
1,00,000 9/30/2002 9/30/2007
10000 11/20/2002 10/21/2007
100000 3/15/2001 4/16/2008
1,00,000 3/13/2002 3/13/2009
1,00,000 9/30/2002 9/30/2009
10000 11/20/2002 10/21/2009
1,000,000.000 1/27/2004 1/27/2011
1,00,000 3/13/2002 3/13/2012
100 8/21/2002 1/1/2011
1000 7/15/2008 11/30/2013
1000 7/15/2008 11/30/2013
1000000 11/15/2005 11/15/2010
1000000 11/15/2005 11/15/2010
1000000 2/11/2011 8/10/2012
100 6/23/1997 1/4/2003
100 2/8/1996 1/10/2003
100 12/19/2001 1/19/2003
66.67 9/17/1998 9/17/2003
66.67 1/15/1999 1/15/2004
66.67 6/21/1999 6/21/2004
100 8/30/2001 3/31/2010
1000000 12/12/2011 1/12/2014
1000000 2/14/2012 2/6/2014
1000000 5/12/2011 1/12/2014
1000000 9/21/2007 9/21/2010
1000000 2/12/2011 2/12/2014
100000 1/12/2001 1/12/2002
1000000 1/21/2010 1/28/2013
10000 8/31/2002 8/31/2005
10000 8/31/2002 8/31/2005
10000 8/31/2002 8/31/2005
10,000,000.00 9/28/2002 9/28/2005
10000 10/31/2002 10/31/2005
10000 10/31/2002 10/31/2005
10000 10/31/2002 10/31/2005
10000 11/30/2002 11/30/2005
10000 11/30/2002 11/30/2005
10000 12/31/2002 12/31/2005
10000 12/31/2002 12/31/2005
10000 12/31/2002 12/31/2005
10000 1/31/2003 1/31/2006
10000 1/31/2003 1/31/2006
10000 1/31/2003 1/31/2006
10000 1/31/2003 1/31/2006
10000 1/31/2003 1/31/2006
10000 1/31/2003 1/31/2006
10,000.000 1/31/2003 1/31/2006
10,000.000 1/31/2003 1/31/2006
10000 2/28/2003 2/28/2006
10,000.000 2/28/2003 2/28/2006
10,000.000 2/28/2003 2/28/2006
10,000,000.00 3/27/2003 3/27/2006
10000 3/31/2003 3/31/2006
10000 3/31/2003 3/31/2006
10,000.00 4/30/2003 4/30/2006
10,000.00 4/30/2003 4/30/2006
10,000.00 4/30/2003 4/30/2006
10,000.00 5/31/2003 5/31/2006
10,000.00 5/31/2003 5/31/2006
10,000.00 5/31/2003 5/31/2006
10,000.00 6/30/2003 6/30/2006
10,000.00 6/30/2003 6/30/2006
10,000.00 6/30/2003 6/30/2006
10,000.00 6/30/2003 6/30/2006
10,000.000 7/31/2003 7/31/2006
10,000.000 7/31/2003 7/31/2006
10,000.000 7/31/2003 7/31/2006
10,000.000 9/30/2003 9/30/2006
10,000.000 9/30/2003 9/30/2006
10,000.000 12/31/2003 12/31/2006
10,000.000 12/31/2003 12/31/2006
10000 2/29/2004 2/28/2007
10000 2/29/2004 2/28/2007
10000 4/30/2004 4/30/2007
10000 8/31/2002 8/31/2007
10000 8/31/2002 8/31/2007
10000 8/31/2002 8/31/2007
10000 8/31/2002 8/31/2007
1000 9/16/1992 9/16/2007
10000 9/30/2002 9/30/2007
10,000.000 9/30/2002 9/30/2007
10000 10/31/2002 10/31/2007
10000 10/31/2002 10/31/2007
1,000.00 10/31/2002 10/31/2007
10000 11/30/2002 11/30/2007
10000 11/30/2002 11/30/2007
10000 11/30/2002 11/30/2007
10000 11/30/2002 11/30/2007
10000 12/31/2002 12/31/2007
10000 12/31/2002 12/31/2007
10000 12/31/2002 12/31/2007
10000 1/31/2003 1/31/2008
10000 1/31/2003 1/31/2008
10000 1/31/2003 1/31/2008
10000 1/31/2003 1/31/2008
10000 1/31/2003 1/31/2008
10000 1/31/2003 1/31/2008
10,000.000 1/31/2003 1/31/2008
10,000.000 1/31/2003 1/31/2008
10000 2/28/2003 2/28/2008
10000 3/31/2003 3/31/2008
10,000.00 4/30/2003 4/30/2008
10,000.00 6/30/2003 6/30/2008
10,000.00 6/30/2003 6/30/2008
10,000.00 6/30/2003 6/30/2008
10,000.000 7/31/2003 7/31/2008
10,000.000 7/31/2003 7/31/2008
10,000.000 7/31/2003 7/31/2008
10,000.000 7/31/2003 7/31/2008
10,000.000 8/31/2003 8/31/2008
10,000.000 9/30/2003 9/30/2008
10,000.000 9/30/2003 9/30/2008
10,000.000 10/31/2003 10/31/2008
10,000.000 10/31/2003 10/31/2008
10,000.000 11/30/2003 11/30/2008
10,000.000 11/30/2003 11/30/2008
10,000.000 12/31/2003 12/31/2008
10,000.000 12/31/2003 12/31/2008
10,000.00 1/31/2004 1/31/2009
10,000.00 1/31/2004 1/31/2009
10000 2/29/2004 2/28/2009
10000 2/29/2004 2/28/2009
10000 3/31/2004 3/31/2009
10000 3/31/2004 3/31/2009
10000 3/31/2006 3/31/2009
10000 12/31/2004 12/31/2009
10000 12/31/2004 12/31/2009
10000 12/31/2004 12/31/2009
10000 12/31/2004 12/31/2009
10000 2/28/2005 2/28/2010
10000 2/28/2005 2/28/2010
10000 2/28/2006 2/28/2011
10000 2/28/2006 2/28/2011
10000 2/28/2006 2/28/2011
10000 5/31/2005 5/31/2012
10000 5/31/2005 5/31/2012
100000000 3/12/2010 9/12/2012
100 8/28/2000 3/31/2009
50,00,000 1/8/1998 1/8/2003
1000000 4/7/2008 7/3/2013
1000000 4/7/2008 7/3/2013
1000000 11/7/2008 7/10/2013
1000000 5/16/2006 3/31/2013
1000000 3/8/2012 3/8/2014
1000000 1/12/2011 4/30/2014
100000 10/12/2007 3/7/2008
100000 12/1/2008 4/10/2008
100000 1/25/2008 4/23/2008
100000 1/29/2008 4/25/2008
100000 1/2/2008 4/30/2008
100000 2/19/2008 5/18/2008
100000 3/14/2008 6/11/2008
100000 3/14/2008 6/11/2008
100000 3/19/2008 6/16/2008
100000 3/19/2008 6/16/2008
100000 3/24/2008 6/20/2008
100000 10/4/2008 7/8/2008
100000 11/4/2008 7/9/2008
100000 4/15/2008 7/11/2008
100000 4/24/2008 7/22/2008
100000 4/24/2008 7/22/2008
100000 5/5/2008 8/1/2008
100000 6/13/2008 9/10/2008
100000 7/30/2008 10/27/2008
100000 8/26/2008 11/23/2008
100000 2/13/2009 5/13/2009
100000 5/25/2009 6/22/2009
100000 5/8/2009 8/5/2009
100000 6/11/2009 9/8/2009
100000 8/18/2009 11/13/2009
100000 8/21/2009 11/18/2009
100000 8/26/2009 11/23/2009
100000 8/26/2009 11/23/2009
100000 9/1/2009 11/27/2009
100000 9/1/2009 11/27/2009
100000 9/2/2009 11/30/2009
100000 9/14/2009 12/11/2009
100000 9/15/2009 12/11/2009
100000 10/7/2009 1/4/2010
100000 10/7/2009 1/4/2010
100000 10/8/2009 1/5/2010
100000 10/8/2009 1/5/2010
100000 11/5/2009 2/2/2010
100000 11/12/2009 2/9/2010
100000 12/4/2009 3/3/2010
100000 12/7/2009 3/5/2010
100000 12/14/2009 3/12/2010
100000 2/2/2010 4/30/2010
100000 2/3/2010 5/3/2010
100000 2/5/2010 5/5/2010
100000 2/18/2010 5/18/2010
100000 2/26/2010 5/26/2010
100000 3/2/2010 5/28/2010
100000 3/3/2010 5/31/2010
100000 3/4/2010 6/1/2010
100000 4/6/2010 7/2/2010
100000 4/7/2010 7/5/2010
100000 4/9/2010 7/7/2010
100000 4/16/2010 7/14/2010
100000 4/19/2010 7/15/2010
100000 4/21/2010 7/19/2010
100000 5/3/2010 7/30/2010
100000 5/4/2010 7/30/2010
1000000 3/23/2010 9/15/2011
100 8/25/2012
1000000 9/23/2011 9/23/2013
1000000 2/21/2005 5/21/2014
500,000.000 4/15/2000 4/15/2010
5,00,000 1/8/2001 1/8/2011
5,00,000 12/3/2001 12/3/2011
10 6/8/2002 5/8/2008
1000000 2/8/2012 1/8/2014
1000000 12/29/2011 1/12/2014
1000000 5/12/2011 4/12/2014
1000000 1/8/2012 1/8/2014
1000000 1/10/2012 1/10/2014
1000000 10/28/2011 2/11/2014
1000000 10/28/2011 5/9/2014
1000000 7/29/2011 5/29/2014
1000000 7/29/2011 5/29/2014
1000000 3/6/2011 6/3/2014
1000000 6/6/2011 6/6/2014
1000000 6/6/2011 6/6/2014
100 4/30/1999 1/7/2012
1000000 9/29/2004 5/29/2014
100,000.00 6/17/2003 6/17/2011
1,00,000 10/1/2000 9/1/2007
1,00,000 2/9/1999 12/15/2006
1,00,000 6/16/2000 10/15/2008
100,000.000 12/14/2001 11/15/2009
1,00,000 2/9/1999 9/15/2010
1000 6/3/2009 5/3/2014
1000 6/3/2012 5/3/2014
1000 6/3/2012 5/3/2014
1000 6/9/2012 5/3/2014
1000000 8/23/2010 8/23/2013
1000000 12/26/2011 1/12/2014
100000 6/3/2009 3/5/2014
1000 6/3/2009 3/5/2014
1000 6/3/2009 3/5/2014
1000000 10/31/2011 4/11/2014
150 12/29/2006 12/29/2012
100 6/12/2001 5/12/2007
1000000 11/30/2010 11/30/2013
1000000 1/17/2012 4/25/2014
1000000 7/6/2012 6/6/2014
50000 4/8/2012 4/8/2014
50000 4/8/2012 4/8/2014
150
(Paid-up value Rs.75/-)
2/14/2003 2/13/2009
150.000 2/14/2003 2/13/2009
50000000 11/21/2008 2/18/2009
50000000 6/12/2009 9/9/2009
1,000,000.00 9/3/2004 9/6/2010
270 2/15/2001
1,00,000 1/1/2001 1/1/2011
3,75,000 12/22/1997 5/25/2004
2,50,000 12/22/1997 5/25/2004
5,00,000 1/31/2000 1/30/2006
100 8/5/2008 5/8/2011
1,00,000 12/31/1999 1/7/2005
1,00,000 1/11/1999 10/31/2006
1,00,000 3/22/2000 3/21/2007
1,00,000 2/15/2001 2/14/2008
1,00,000 3/31/2001 3/30/2008
1,00,000 3/30/2002 3/29/2009
1,00,000 11/1/2002 10/1/2009
100000 10/2/2000 10/7/2005
100000 2/17/2001 7/17/2006
1000 3/25/1998 3/25/2008
1000 11/2/1998 11/2/2008
1000 3/25/1998 3/25/2011
1,00,000 3/13/1999 12/6/2006
1,00,000 11/28/2002 8/2/2010
662.3 12/27/2010 12/26/2013
250 12/5/2006 12/5/2011
1,00,00,000 8/5/2000 9/5/2004
100000 4/4/1998 3/4/2005
100000 3/30/1998 3/29/2005
100000 3/31/1998 3/30/2005
100000 3/24/1999 3/23/2006
100000 10/25/1999 10/24/2006
100000 3/27/2000 3/26/2007
100000 11/7/2002 10/7/2009
100000 8/4/2002 7/4/2012
100000 2/8/2002 1/8/2014
100000 4/16/2002 4/15/2014
10000000 4/9/2006 12/1/2006
10000000 2/5/2008 7/30/2008
500 7/7/2005 7/7/2010
1000000 6/15/2009 6/14/2010
1000000 11/10/2009 11/5/2010
1000000 3/29/2010 3/29/2014
1000000 1/19/2005 4/30/2014
1,00,00,000 12/22/1999 12/22/2006
1000000 10/18/2007 12/15/2010
1000000 12/20/2007 6/15/2011
1000000 1/17/2008 8/16/2011
100 4/23/2008 3/15/2012
1000000 1/24/2011 1/21/2014
1000000 4/2/2011 2/4/2014
1000000 1/3/2011 3/1/2014
1000000 3/30/2011 3/1/2014
1000000 4/20/2011 4/20/2014
1000000 11/5/2011 5/11/2014
1,000,000.000 1/15/2004 10/15/2009
100 8/12/1995 6/12/2005
100,000.00 7/15/2003 7/15/2007
100 8/2/1989 8/2/2009
100 1/22/1990 1/18/2010
100 6/29/1990 6/27/2010
100 11/19/1990 11/14/2010
100 2/17/2001 7/2/2011
100.00 2/25/2002 2/20/2012
100.00 7/30/2002 7/25/2012
100.00 3/31/2003 3/26/2013
100.00 5/1/2001 12/20/2011
100000 4/1/2012 8/13/2013
100.00 8/31/2001 1/5/2009
1000000 3/21/2007 3/31/2014
1,00,000 3/30/2001 5/11/2008
100,000.00 6/3/2003 5/19/2010
1,00,000 3/30/2001 5/11/2011
1,00,000 3/30/2001 5/11/2011
100,000.00 10/12/2001 1/15/2013
1,00,000 3/30/2001 5/11/2013
100,000.00 6/3/2003 5/19/2013
10000 1/2/2001 1/6/2007
10 1/30/2008 7/31/2009
100000 6/2/2008 11/1/2008
100000 7/2/2008 11/24/2008
100 7/24/1987 11/11/2002
100 1/3/1998 11/2/2003
100 3/19/1998 3/19/2008
100.00 3/28/2003 3/28/2013
100000 4/18/2007 4/18/2014
100,000.00 5/28/2004 5/27/2014
100,000.00 3/20/2003 3/19/2010
100,000.00 1/11/2002 10/31/2012
Face Value: 100,000.00 5/20/2002 5/20/2014
40 10/28/1995 10/28/2003
33.34 7/1/1997 7/1/2004
147.3 11/27/2007 11/25/2008
Coupon Rate Frequency of the Interest Payment
with specified dates
Put/
Call Option with specified dates
9.00% Monthly on 31st of each month Put:Exercisable only on happening of
certain event mentioned in the
Zero Coupon NA Put: N.A.
Call: N.A.
11.40% Quarterly on 10th August,10th
November,10th February & 10th May
Put: N.A.
Call: N.A.
12.30% Monthly on 16th of every month & on
maturity
Put: N.A.
Call: N.A.
17.00% Quarterly
31st March
N.A.
Nifty Linked (Refer Term Sheet) On maturity Put: N.A.
Call: N.A.
12.00% ON 29/02/2012, 31/08/2012 & ON
MATURITY
Put: NA
Call:option to the company to redeem
6.75% Half Yearly, 1st June & 1st Dec Put & Call: N.A.
6.60% Half yearly, 1st Oct & 1st April Put & Call: N.A.
9.00% Half Yearly. 15th March & 15th
September
At the end of 5th year from the date
of allotment I.e. 30th March, 2007
15% AT THE TIME OF CONVERSION OF CCD Put: NA
Call: NA
9.50% Quarterly, 1st April, 1st July, 1st
October and 1st January
Put: N.A.
Call: N.A.
16.00% Quarterly-6th January,6th April,6th
July,6th October
None
7.75% On maturity i.e.22/12/2006 Put: N.A.
Call: N.A.
15.50% Quarterly on 30th September;31st
December;31st March ; 30th June & on
Put:Daily with 30days prior notice
15.50% Quarterly on 30th September;31st
December;31st March ; 30th June & on
Put:Daily with 30days prior notice
11.50% On maturity Put:Daily with 30days prior notice
Call:Daily with 30days prior notice
11.25% On maturity Put: N.A.
Call:Daily with 30days prior notice
11.25% Quarterly
31st March,
N.A.
7.25% Annually, On 5th January & Last
payment on 05/04/14
Put: N.A.
Call: N.A.
12.50% Quarterly, 30th June, 30th Sept, 31st
Dec & 31st March
Put: N.A.
Call: N.A
13.10% On maturity-21-Nov-07
(cumulative interest)
N.A.
13.10% On maturity-14-Jan-08
(cumulative interest)
N.A.
13.10% On maturity-03-Jan-08
(cumulative interest)
N.A.
13.10% On maturity-3 Mar-08
(cumulative interest)
N.A.
12.30% Half Yearly - 1st April & Ist October 38792
12.30% Half Yearly - 1st April & Ist October 38805
12.00% Half Yearly - On 1st July & Ist January 38902
12.00% Half Yearly - On 1st July & Ist January 38855
12.00% Annually-01st November Put & call-26th October, 2006
11.60% Annually-01st January Put & call-23rd November, 2006
11.60% Annually-01st January Put & call-23rd November, 2006
11.60% Annually-01st January Put & call-11th January, 2007
10.70% Annually, 1st April Put & Call:27th February, 2008
10.95% Annually-01st February Put & call-3rd January, 2008
10.95% Annually-01st February Put & call-5th February, 2008
13.30% Half Yearly - On 1stT July & Ist January 39421
13.30% On maturity-05-Dec-10
(cumulative interest)
N.A.
13.30% On maturity-05-Dec-10
(cumulative interest)
N.A.
10.45% Annually, 1st July Put & Call:29th June, 2008
13.30% Half Yearly - 1st April & Ist October 39352
13.30% Half Yearly - On 1s July & Ist January 39407
13.30% Half Yearly - On 1st July & Ist January 39461
13.30% On maturity-03-Mar-11
(cumulative interest)
N.A.
13.30% On maturity-03-Mar-11
(cumulative interest)
N.A.
12.60% Half Yearly - 1st April & Ist October 39536
12.30% Half Yearly - On 1st July & Ist January 39633
12.60% Half Yearly - 1st April & Ist October 39565
12.30% Half Yearly - On 1st July & Ist January 39586
12.30% Half Yearly - On 1st July & Ist January 39605
12.30% Annually-01st November Put & call-13th September, 2008
12.30% Annually-01st November Put & call-26th October, 2008
11.80% Annually-01st January Put & call-23rd November, 2008
13.50% On maturity-05-Dec-12
(cumulative interest)
N.A.
11.80% Annually-01st January Put & call-11th January, 2009
13.50% Half Yearly - On 1stT July & Ist January 40503
13.50% On maturity-21-Nov-12
(cumulative interest)
N.A.
13.50% Half Yearly - On 1st July & Ist January 40557
13.50% On maturity-14-Jan-13
(cumulative interest)
N.A.
13.50% On maturity-29-Jan-13
(cumulative interest)
N.A.
13.50% On maturity-29-Jan-13
(cumulative interest)
N.A.
13.50% On maturity-03-Jan-13
(cumulative interest)
N.A.
13.50% On maturity-03-Mar-13
(cumulative interest)
N.A.
13.50% Half Yearly - On 1st July & Ist January 40605
13.50% On maturity-03-Mar-13
(cumulative interest)
N.A.
12.80% Half Yearly - 1st April & Ist October 36966
12.80% Half Yearly - 1st April & Ist October 40631
10.65% Annually, 1st September Put & Call:4th August, 2010
10.90% Annually, 1st May Put:21st April, 2010
Call:21st April, 2010
11.15% Annually-01st February Put & call-5th February, 2010
10.65% Annually, 1st September Put & Call:29th June, 2010
12.50% Annually-01st November Put & call-13th September, 2011
12.50% Annually-01st November Put & call-26th October, 2011
8.40% Annually, 31st March Put & Call:22nd March, 2011
11.50% Half Yearly
2nd July & 2nd January
N.A.
8.35% Half Yearly
20th June & 20th December
N.A.
8.00% Annually, 1st January Put & Call:15th February, 2009
8.20% Annually, 1st January Put:15th February, 2011
Call:15th February, 2011
14.00% Half Yearly
30 June & 31 December
N.A.
19% 8TH JULY 2013, 8TH OCTOBER 2013,
8TH JANUARY 2014 AND 8TH APRIL
Put: NA
Call:ANYTIME AFTER 9TH JULY 2013
13.25% Quarterly on 30th June, 30th
September, 31st December, 31st
Put: NA
Call: NA
14.50% Half Yearly- 30th June & 31st
December
Put & Call: N.A.
9.00% Bullet along with redemption-21st
December,2001
N.A.
9.00% On Maturity
20th March, 2002
N.A.
12.00% On maturity
06th May, 2002
N.A.
8.50% On Maturity
8th March, 2002
N.A.
9.00% On Maturity
8th April, 2002
N.A.
9.90% On maturity Put: N.A.
Call: N.A.
9.90% On maturity Put: N.A.
Call: N.A.
9.90% On maturity Put: N.A.
Call: N.A.
9.90% On maturity Put: N.A.
Call: N.A.
9.90% On maturity Put: N.A.
Call: N.A.
Reset rate (currently 12%) 15th of every Month Put: NA
Call: NA
8.00% On maturity Put: N.A.
Call: N.A.
15% AT THE TIME OF CONVERSION OF CCD Put: NA
Call: NA
20% 04/01/2013, 04/07/2013, 04/01/2014
AND 04/07/2014
Put: NA
Call:12 MONTHS FROM THE DATE OF
ZERO COUPON NA Put: NA
Call: NA
ZERO COUPON NA Put: NA
Call: NA
ZERO COUPON NA Put: NA
Call: NA
17% 31/03/2012, 30/09/2012, 31/12/2012,
31/03/2013, 25/06/2013
Put: NA
Call:AT THE END OF 12 MONTHS i.e.
6.00% Annually on 9th February Put: N.A.
Call: N.A.
ZERO COUPON NA Put: NA
Call: NA
10.45% Annually on 08th June Put: NA
Call: NA
Mibor + 20bps On maturity or on exercise of put/call
option,whichever is earlier
Put:Daily
Call:Daily
Mibor + 40bps On maturity Put:Daily
Call:Daily
Mibor + 50bps On maturity Put:Daily
Call:Daily
NSE Mibor +100bps On maturity Put:Daily
Call:Daily
Mibor + 50bps (Daily Compounding) On maturity Put:Daily
Call:Daily
Mibor + 75bps (Daily Compounding) On Maturity Put:Daily
Call:Daily
18.00% Half Yearly on 01st October and 1st
April
Put: N.A.
Call: N.A.
10.00% Half Yearly, 31st March & 30th Sept Put & Call:30th June, 2004 & 30th
June, 2005
13.25% Monthly on
31/08/2007;28/09/2007;31/10/2007;3
Put: N.A.
Call:Daily with 30 days prior notice
15.50% Quarterly on 30th September ; 31st
December;31st March & 30th June
Put: N.A.
Call:Daily with 30 days prior notice
15.50% Quarterly on 30th September;31st
December;31st March & 30th June
Put: N.A.
Call:Daily with 30 days prior notice
10.50% On maturity Put: N.A.
Call:Daily with 30 days prior notice
5.85% Annually, 1st January Put & Call: N.A.
INDEX LINKED NA Put: NA
Call: NA
Index Linked (As per Term Sheet) On maturity Put: N.A.
Call: N.A.
Index Linked On maturity Put: N.A.
Call: N.A.
INDEX LINKED On maturity Put: N.A.
Call: N.A.
Overnight NSE Mibor +20 bps On Maturity (ie on 21-10-05} Put:May be exercised by either party
with notice given or before 10.30 hrs
Overnight NSE MIBOR +10bps On Maturity (ie on 18-11-05} Put:May be exercised by either party
with notice given before 17.00hrs on
Overnight NSE Mibor +20bps On Maturity (ie on 20-12-2005} Put:May be exercised by either party,
with notice given before 10.00 hrs on
Overnight NSE Mibor +40bps On Maturity (ie on 24-2-2006) Put:May be exercised by either part,
with notice given before 14.30 hrs on
30% MONTHLY - LAST DAY OF EVERY
MONTH
Put: NA
Call: NA
12.45% Quarterly on 24th March ; 24th June ;
24th September & 24th December
Put: N.A.
Call: N.A.
1% MONTHLY BASIS ON THE30TH OF EVERY
MONTH
Put: NA
Call: NA
10.20% Annually on 26th March Put: N.A.
Call: N.A.
NSE O/N Mibor + 50bps (Daily
Compounding)
On maturity Put:Daily
Call:Daily
NSE O/N Mibor + 15bps (Daily
Compounding)
On maturity Put:Daily
NSE O/N Mibor + 10bps (Daily
Compounding)
On maturity Put:Daily
NSE O/N Mibor minus 40bps (Daily
Compounding)
On maturity Put:Daily
7.50% On maturity Put:Communication in writing should
be reached latest by 2.30 pm on
Mibor + 1.00% On maturity Put:Communication in writing should
be reached latest by 10.30 am on
7.00% On maturity Put:Communication in writing should
be reached latest by 2.30 pm on
9.00% Quarterly
19th June
Put/Call : 20th June, 20th Sept &
20th Dec, 2002
11.00% On 30/04/2009; 02/06/2009 &
01/07/2009
Put: N.A.
Call: N.A.
9.95% ANNUAL 03/08/2013, 04/08/2014 Put: NA
Call: NA
12.00% Quarterly from 30/06/2009 to
30/09/2011 & on maturity
Put: N.A.
Call: N.A.
12.00% Quarterly from 30/06/2009 to
31/12/2011 & on maturity
Put: N.A.
Call: N.A.
Reset Rate (Refer Remark) Semi annually on 30th September &
31st March
Put:exercisable upto 30/06/2011
Call: N.A.
10.90% Halfyearly-18th June & 18th December Call - 18/12/2001
put/call- 18/12/2002
8.25% Annually on 15th March Put: N.A.
Call: N.A.
11.5% Annually - 31st January Put & Call: N.A.
10% Annually 30th November Put & Call: N.A.
6.00% Annually, 21st January Put & Call: N.A.
6.00% Annually, 21st January Put & Call: N.A.
11.00% Annually-28th March None
9.80% Annually-28th September None
12.00% Cumultative interest payable On
maturity-01st October,2004
Put - any date before the maturity
date
16.50% Quarterly on 13th November, 13th
February, 13th May, 13th August
Put: N.A.
Call: N.A.
5.45% Semi Annually 30th June & 31st
December
Put: N.A.
Call: N.A.
RESET RATE PAYABLE ANNUALLY AND ON MATURITY
(03/09/2013 AND 03/09/2014)
Put: NA
Call:27/08/2013 (i.e. 5 DAYS PRIOR TO
Index Linked Rate (Refer to Remark) On Maturity Put: N.A.
Call: N.A.
Share Linked Rate (Refer Remark) On maturity Put: N.A.
Call:One business day's prior written
Index Linked (As per Term Sheet) On maturity Put: N.A.
Call: N.A.
Share Linked (As per Term Sheet) On maturity or on exercise of call
option
Put: N.A.
Call:With one business day' prior
NIFTY LINKED ON MATURITY Put: NA
Call: NA
NIFTY LINKED ON MATURITY Put: NA
Call: NA
NIFTY LINKED ON MATURITY Put: NA
Call: NA
Index Linked (As per Term Sheet) On maturity Put: N.A.
Call: N.A.
Index Linked (As per Term Sheet) On maturity

Put: N.A.
Call: N.A.
Index Linked (As per Term Sheet) On maturity Put: N.A.
Call: N.A.
Index Linked (As per Term Sheet) On maturity Put: N.A.
Call: N.A.
Index Linked (As per Term Sheet) On maturity Put: N.A.
Call: N.A.
Nifty Linked On maturity Put: N.A.
Call: N.A.
15% AT THE TIME OF CONVERSION OF CCD Put: NA
Call: NA
Mibor + 400bps (Floor :9.20% & Cap :
9.30%)
On 29/05/2007 & 27/11/2007 Put: N.A.
Call: N.A.
14.00% 15th of every month Put:between 01/10/2012 to
31/03/2014
14% Interest to be appropriated against
fees / medical check up cost of the
Put & Call: N.A.
12.00% Annually
1st October
Put/Call : 1st October, 2002
11.75% Annually on 30th March Put: NA
Call: NA
STOCK LINKED ON MATURITY Put: NA
Call: NA
22.00% Semi Annually on 10th June & 10th
December
Put: N.A.
Call: N.A.
10.50% Half Yearly
30th Sept & 31st Mar
N.A.
14.00% Half Yearly, 18th Feb & 18th August N.A.
11.25% ON MATURITY Put: NA
Call: NA
8% (8.30% annualised) Monthly commencing from 29/7/2005
to 29/6/2012
Put: N.A.
Call: N.A.
11.50% ON MATURITY Put: NA
Call: NA
10.00% Annually on 17th December Put: N.A.
Call: N.A.
12.00% Semi annually on 14th May & 14th
November
Put:14/11/2011
Call:14/11/2011
10.00% Annually on 17th December Put: N.A.
Call: N.A.
NIFTY LINKED On Maturity Put: N.A.
Call: N.A.
Nifty Linked On maturity Put: N.A.
Call: N.A.
Nifty Linked On maturity Put: N.A.
Call: N.A.
Nifty Linked On maturity Put: N.A.
Call: N.A.
Nifty Linked On maturity Put: N.A.
Call: N.A.
NIFTY LINKED ON MATURITY Put: NA
Call: NA
NSE O/N Mibor + 15bps (Daily
Compounding)
On maturity Put:Daily to be exercised latest by 14
Hrs.
160 Bps above the G-Sec rate by CRISIL
as on 01st March.
Annually
1st March
N.A.
10.50% Annually
15th February
N.A.
6.00% Monthly by 1st of every month Put:Any time after 16/07/2010 or prior
to filing of the draft initial public
14.00% Semi Anuualy on 20th July & 20th Jan
& on Maturity
Put: N.A.
Call: N.A.
9.25% Annually on 24th March Put: NA
Call: NA
Nifty Linked (Refer Termsheet) On maturity Put: N.A.
Call: N.A.
Nifty Linked (Refer Termsheet) On maturity Put: N.A.
Call: N.A.
14.25% Half Yearly on 1st March and 1st
September
N.A.
4.50% On maturity Put: N.A.
Call: N.A.
6.50% On Maturity Put:Daily from 29th July with 1 day
prior notice till 3.00pm
7.60% On Maturity Put: N.A.
Call: N.A.
7.25% On Maturity Put: N.A.
Call: N.A.
7.64% Semi annually on 5th September & 5th
March
Put: N.A.
Call: N.A.
7.64% Semi annually on 5th September & 5th
March
Put: N.A.
Call: N.A.
Nifty Linked On maturity Put: N.A.
Call:None , Except in case of early
7.64% Semi annually on 5th September & 5th
March
Put: N.A.
Call: N.A.
NIFTY LINKED On Maturity Put: N.A.
Call:None, except inthe case of early
NIFTY LINKED 01/12/2014 Put: NA
Call:IN CASE OF EARLY REDEMPTION
NIFTY LINKED 03/06/2014 Put: NA
Call:IN THE CASE OF EARLY
NIFTY LINKED 03/06/2014 Put: NA
Call:IN THE CASE OF EARLY
NIFTY LINKED 03/10/2014 Put: NA
Call:IN CASE OF EARLY REDEMPTION
12% 03/11/2014 Put: NA
Call:IN CASE OF EARLY REDEMPTION
COMMODITY LINKED (GOLD) ON MATURITY Put: NA
Call:None,except in the case of early
NIFTY LINKED On Maturity Put: N.A.
Call:None, Except in the case of early
NIFTY LINKED ON MATURITY Put: NA
Call:None, except in the case of early
13.93% 06/06/2014 Put: NA
Call:IN THE CASE OF EARLY
NSE MIBOR + 10bps On maturity or on exercise of put/call
option,whichever is earlier
Put:Daily with 1 day prior notice till
3.00 p.m.
4.60% On maturity Put: N.A.
Call: N.A.
9.25% Semi annually on 26th October & 26th
April
Put: N.A.
Call: N.A.
12.78% Quarterly on 21st August, 21st
November, 21st February, 21st May
Put: N.A.
Call: N.A.
11.00% Semi-annually on 1st March and 1st
September
Put / Call At the end of first year
from the date of allotment i.e.
22% QUARTERLY 20/11/2013, 20/02/2014,
20/05/2014
Put: NA
Call: NA
NSE Mibor + 60 bps On maturity-15th February,2002 Put/Call - Daily(by previous working
day at 2 p.m.)
NSE Mibor + 60 bps On maturity
(19th February,2002)
Put/Call - Daily (On previous working
day by 2 p.m.)
NSE MIBOR + 55 bps On maturity
(22nd February,2002)
Put/Call - Daily (On previous working
day by 2 p.m.)
NSE MIBOR + 55 bps On maturity-26th February,2002 Put/Call - Daily (On previous working
day by 2 p.m.)
6.15% On Maturity 15.11.2005 Put: N.A.
Call: N.A.
MIBOR+15% (Floor of 15.90% p.a and
cap of 16% p.a).
Annually on 25th February Put:Daily, Notice of atleast one
Business Day is Required
MIBOR+15% (Floor of 15.90% p.a and
cap of 16%p.a)
Annually on 25th February Put:Daily,Notice of atleast one
business Day is required
11.75% Quarterly on 30th June,30th
September,31st December & 31st
Put: N.A.
Call: N.A.
10.75% Semi annually on 30th June & 31st
December
Put: N.A.
Call: N.A.
12.50% Quarterly on 15th December, 15th
March, 15th June,15th
Put:At the end of 18 months
i.e.20/03/2012
14.00% Quarterly on 1st January, 1st April,1st
July, 1st October & on Maturity
Put:at the end of 12 month.
e.g.31/01/2012
11.15% Annually on 11th October Put: N.A.
Call: N.A.
11.15% Annually on 31st October Put: N.A.
Call: N.A.
13.00% Quarterly on 24th June, 24th
September,24th December & 24th
Put: N.A.
Call: N.A.
11.15% Annually on 11th October Put: N.A.
Call: N.A.
11.15% Annually on 31st October Put: N.A.
Call: N.A.
17.00% Quarterly
15th April
N.A
6% pa Interest From 21/4/03 to 31/12/05
cumulative on 31/12/05; for
Put: N.A.
Call: N.A.
6% pa From 21/4/03 to 31/12/05 cumulative
will be pd on 31/12/05; Subsequently
Put: N.A.
Call: N.A.
NA NA Put: N.A.
Call: N.A.
NSE Mibor + 400bps (Daily
Compounding)
On maturity or at the time of
exercising the option.
Put:Daily to be exercised latest by
14.30 hrs on the previous working day
Zero Coupon NA Put: N.A.
Call: N.A.
Mibor + 800bps (Floor : 11.70% and Cap
: 11.75%)
On maturity Put: N.A.
Call: N.A.
ZERO COUPON NA Put: NA
Call: NA
Zero Coupon NA Put: N.A.
Call: N.A.
10.30% Annually-28th November N.A.
10.30% Annually-28th November N.A.
Mibor +95bps On Maturity (ie 06 December 05) Put: N.A.
Call: N.A.
5.75% On Maturity (ie 29-8-2005} Put: N.A.
Call: N.A.
5.74% p.a. On Maturity (ie on 11-11-2005} Put: N.A.
Call: N.A.
5.70% p.a. On Maturity (ie on 11-11-2005} Put: N.A.
Call: N.A.
5.65% On Maturity Put: N.A.
Call: N.A.
0.0001% Interest accured is payable on last
business day of each calender year
Put: NA
Call:with indiabulls real estate ltd to
0.0001% Interest accured is payable on last
business day of each calender year
Put: NA
Call:with indiabulls real estate ltd to
NA NA Put: NA
Call: NA
9.95% Annually on 24th February & on
maturity
Put: N.A.
Call: N.A.
Mibor - 40bps On maturity or on exercise of put/call
option,whichever is earlier
Put:Daily
Call:Daily
Mibor + 10bps On maturity or on exercise of put/call
option,whichever is earlier
Put:Daily
Call:Daily
Mibor + 25bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
18% MONTHLY - LAST DAY OF EACH MONTH Put: NA
Call:ISSUER HAS AN OPTION TO PREPAY
18% MONTHLY LAST DAY OF EACH MONTH Put: NA
Call:ISSUER HAS AN OPTION TO PREPAY
11.50% Anually on 31st January & on Maturity Put: N.A.
Call: N.A.
GE Capital 30 day floating Reset Rate Monthly
from 29th Aug,2002 to 29th July,2003
Put/Call : Monthly
from 23rd Aug to 23rd June
Floating Rate (1 Year INBMK) Half Yearly
16th January & 16th July
Put/Call : 16th July, 2006
Mibor + 25bps On maturity Put:Daily
Call:Daily
Mibor + 10bps On maturity Put:Daily
Call:Daily
13.00% Annually
16th Sept
Put/Call : 15th Sept, 2005
12.00% Annually
8th Nov
Put/Call :8th Nov, 2006
13.25% Annually
16th Sept
Put/Call : 15th Sept, 2007
11.25% Annually - 15th January Put & Call:15th January, 2010
11.25% Annually, 18th May Put & Call:18th May, 2010
RIMOR+ : 4.50% Annually
8th Nov
Put/Call :8th Nov, 2011
11.25% Quarterly on 28th April, 29th July,
28th October, 31st January Aand
Put: NA
Call: NA
15.00% Half Yearly
20th November& 20th May
Put Option : At the expiry of 6 years
from the date of allotment
15.00% Half Yearly
20th July & 20th January
Put Option : At the expiry of 6 years
from the date of allotment
8.00% Quarterly on 3rd May, 3rd Aug, 3rd Nov
& 3rd Feb
Put: N.A.
Call:Annually on 3rd of February
Reset Rate Quarterly on 15th May, 15th Aug, 15th
Nov & 15th Feb
Put: N.A.
Call:Annually on 15th of February
800.00% Quarterly on 3rd May, 3rd Aug, 3rd Nov
& 3rd Feb
Put: N.A.
Call:Annually on 3rd of February
Reset Rate Quarterly on 15th May, 15th Aug, 15th
Nov & 15th Feb
Put: N.A.
Call:Annually on 15th of February
14.25% Annually
1st March
Put /call- 18th Nov, 2007
11.25% Annually
21st November
N.A.
11.25% Annually
21st November
N.A.
11.00% Annually, 21st June Put & call-15th March, 2008 & 1st
May,2008
11.25% Annually, 21st June Put & call-15th March, 2011 & 1st May,
2011
12.50% Semi annually on 30th June & 31st
December
Put: N.A.
Call: N.A.
12.50% Semi annually on 30th June & 31st
December
Put: N.A.
Call: N.A.
ZERO COUPON NA Put: NA
Call: NA
8.00% Annually-31st March N.A.
12.00% Half Yearly
30th Sept & 31st March
N.A.
13.00% Half Yearly
28th February & 31st August
N.A
11.50% Half Yearly
12th June & 12th Dec
N.A
0.00% Annually on 31st March Put: N.A.
Call: N.A.
5.13% Annually, 1st May Put & Call :
01/05/2006
15.25% Semi Annually-
31st March & 30th September
Put & call-End of 5th year from the
date of allotment
15.50% On maturity
15th April, 2005
N.A.
Reset Rate (Refer remark) Quarterly on 30th June,30th
September,31st December & 31st
Put: N.A.
Call: N.A.
Reset Rate (Refer remark) Quarterly on 30th June,30th
September,31st December & 31st
Put: N.A.
Call: N.A.
11.50% Half Yearly 17th July and 17th Jan Put: N.A.
Call: N.A.
11.50% Half Yearly 27th Dec and 27th June Put: N.A.
Call: N.A.
11.33% Half yearly 27th Dec and 27th June Put: N.A.
Call: N.A.
11.50% Half Yearly 14th May and 14th Nov Put: N.A.
Call: N.A.
11.50% Half Yearly 13th August and 13th Feb Put: N.A.
Call: N.A.
11.50% Half Yearly 04th March and 04th
September
Put: N.A.
Call: N.A.
9.90% Half yearly 28th Dec and 28th June Put: N.A.
Call: N.A.
10.82% Half Yearly 07th Aug and 07th Feb Put: N.A.
Call: N.A.
8.35% Half Yearly 19th June and 19th Dec Put: N.A.
Call: N.A.
8.30% Half Yearly 20th Aug and 20th Feb Put: N.A.
Call: N.A.
8.00% Half Yearly 20th Sept and 20th March Put: N.A.
Call: N.A.
7.92% Half Yearly 24th Jan and 24th July Put: N.A.
Call: N.A.
12.00% Half Yearly 08th July and 08th Jan Put: N.A.
Call: N.A.
6.75% Half Yearly 24th Sept and 24th March Put: N.A.
Call: N.A.
6.50% Half Yearly 11th Sept and 11th March Put: N.A.
Call: N.A.
10.50% Quarterly-
21st December
NA
7.48% Half Yearly on 1st Nov and 01st May Put:At the end of 8th year from the
date of allotment
12.60% Half Yearly
1st March & 1st Sept
Put & Call: At the end for 60 months
13.50% Annually, 31st July Put & Call:31st Jan, 2003
13.50% Annually, 1st July Put & Call:1st January, 2004
9.00% 1st July, 2004 & 1st January, 2005 Put & Call : N.A.
12.50% Quarterly on 19th March; June ;
September & December
Put: N.A.
Call: N.A.
9.25% Annually
10th May
N.A.
5.15% Annually, 01st October Put & Call: N.A.
9.25% ANNUALLY - 03/10/2013 & 03/10/2014 Put: NA
Call: NA
9.2% ANNUALLY 05/10/2013 AND
05/10/2014
Put: NA
Call: NA
7.99% Haly yearly 31st March /30th
September
N.A.
7.90% Annually, 10th October N.A.
17.50% Quarterly on 1st Jan,1st April, 1st
July,&1st Oct
N.A.
8.88% Yield Bullet Redemption Put: N.A.
Call: N.A.
6.75% Annually, 1st May Put: N.A.
Call-N.A.
N.A. N.A. Put: N.A.
Call-N.A.
6.75% Annually- 01st May Put & Call: N.A.
6.75% Annually, 1st May Put: N.A.
Call-N.A.
N.A. N.A. Put: N.A.
Call-N.A.
11.10% Annually on 23rd April Put: N.A.
Call: N.A.
6.75% Annually- 01st May Put & Call: N.A.
N.A. N.A. Put & Call: N.A.
10.15% pa Annually November 07th Put: N.A.
Call: N.A.
6.75% Annually, 1st May Put: N.A.
Call-N.A.
5.80% Annually , 1st May Put: N.A.
Call: N.A.
6.75% Annually, 1st May Put: N.A.
Call: N.A.
NA NA Put: N.A.
Call: N.A.
6.00% Annually on 1st May Put: N.A.
Call: N.A.
6.75% Annually, 1st May Put: N.A.
Call: N.A.
NA NA Put: N.A.
Call: N.A.
6.00% Annually 15th March Put: N.A.
Call: N.A.
NA na Put: N.A.
Call: N.A.
6.75% Annually 15th March Put: N.A.
Call: N.A.
10.05% Annually on 06th February Put: N.A.
Call: N.A.
7.20% p.a. Annually September 28th Put: N.A.
Call: N.A.
7.10% Semi Annually, 30th June and 31st Dec Put: N.A.
Call: N.A.
10.95% Annually, 20th June Put & Call: N.A.
10.90% Annually on 23rd July Put: N.A.
Call:On 23/07/2008 & every year
7.00% Annually 15th March Put: N.A.
Call: N.A.
9.80% Annually on 11th November Put: N.A.
Call: N.A.
9.39% Monthly on last day of every month Put: N.A.
Call: N.A.
Zero Coupon On maturity, 24th February, 2013 Put & Call: N.A.
7.35% p.a. Annually June 29 Put: N.A.
Call: N.A.
8.75% Annually - 01st June N.A.
N.A. N.A. N.A.
9.00% Annually-01st June N.A.
9.00% Annually - 01st June N.A.
N.A. N.A. N.A.
9.25% Annually-01st June N.A.
N.A. N.A. N.A.
7.00% Annually, 1st March N.A.
N.A. N.A. N.A.
N.A. N.A. Put & Call: N.A.
7.25% Annually, 1st March N.A.
N.A. N.A. N.A.
5.75% Annually
1st November
Put & Call: N.A.
5.60% Annually 15th December Put & Call: N.A.
5.50% Annually, 1st March Put & Call: N.A.
NA N.A. Put & Call: N.A.
NA NA Put & Call: N.A.
5.60% Annually 15th December Put & Call: N.A.
5.50% Annually, 1st March Put & Call: N.A.
NA N.A. Put & Call: N.A.
NA NA Put & Call: N.A.
6.00% Annually
1st November
Put & Call: N.A.
10.55% Annually, 7th November Put & Call: N.A.
11.65% Annually, 23rd July Put & Call: N.A.
10.05% Annually, 6th February Put & Call : N.A.
11.00% Annually
24th July
N.A
10.75% Annually
7th November
N.A
9.00% Annually-31st October None
9.00% Annually-30th November, 2002 None
9.00% Annually-
1st February
None
10.00% Annually-07th November Put & Call-07thNovember,2001 &
thereafter on 07th November
9.00% Annually-
1st March
None
9.00% Annually-
1st May
None
Zero N.A. None
Zero N.A. None
Zero N.A. None
N.A. N.A. None
9.25% Annually-
1st May
None
N.A. N.A. None
9.25% None
11.50% Half Yearly-
23rd June & 23rd December
N.A.
Zero N.A. None
N.A. N.A. None
Zero N.A. None
Zero N.A. None
N.A. N.A. None
10.00% Annually-
1st February
None
N.A. N.A. None
10.00% Annually
1st March
None
9.50% Annually-
1st May
None
N.A. N.A. None
Zero N.A. None
12.50% Annually on 31st July N.A.
10.50% Annually on 31st May N.A.
N.A. N.A. N.A.
10.50% Annually on 31st August N.A.
11.70% Annually on 07th November starting
2001.
N.A.
10.50% Annually on 30th November N.A.
13.75% Annually on 30th June N.A.
10.50% Annually on 28th February starting
2002.
N.A.
N.A. N.A. N.A.
10.50% Annually on 28th February. N.A.
9.50% Annually on 31st May. N.A.
N.A. N.A. N.A.
N.A. N.A. N.A.
N.A. N.A. N.A.
11.50% Annually on 07th November starting
2001.
Put/Call On Nov 07, 2001 and every
year thereafter on November 07 till
11.90% Annually on 07th November starting
2001.
N.A.
11.50% Annually on 28th /29th February
starting 2002
N.A.
14.00% Annually on 31st July N.A.
10.00% Annually on 31st May. N.A.
N.A. N.A. N.A.
N.A. N.A. N.A.
N.A. N.A. N.A.
N.A. N.A. N.A.
11.70% Annually on 26th February N.A.
11.70% Annually on 26th February N.A.
N.A. N.A. N.A.
N.A. N.A. N.A.
N.A. N.A. N.A.
11.40% ANNUALLY-4th October Put& call-
04/10/2001
14.00% ANNUALLY - 7th August N.A.
14.00% ANNUALLY-12th December N.A.
12.30% ANNUALLY-6th January N.A.
10.00% Annually on 1st February Put: NA
Call: NA
9.25% Annually on 26th March Put: N.A.
Call: N.A.
13.00% Half yearly on 28th January and 28th
July
N.A.
11.50% Half yearly on 28th Feb and 28th
August
N.A.
11.50% Half yearly on 19th Sept and 19th
March
N.A.
9.75% Annually on 30th April

Put: N.A.
Call: N.A.
6.00% Annually , 31st May Put & Call: N.A.
9.75% Annually on 31st May Put: N.A.
Call: N.A.
11.52% MONTHLY ON 27TH EVERY MONTH
STARTING FROM 27.01.2014 TILL
Put: NA
Call: NA
Index Linked On maturity Put: N.A.
Call: N.A.
Index Linked (Minimum Coupon =
16.5%)
On maturity Put: N.A.
Call: N.A.
14.25% Monthly-every 30th/31st
Next interest payment- 31st May, 2002
N.A
6.85% Annually on 22nd January Put: N.A.
Call: N.A.
6.85% Annually on 20th March Put: N.A.
Call: N.A.
12.30% Half Yearly -
30th June & 30th December
Put & call- on 15-Jan-03(At par at 15
days notcie)
11.50% Half Yearly -
30th June & 30th December
Put & call- on 25-Apr--03(At par at 15
days notcie)
0.00% XIRR Bullet Redemption Put: N.A.
Call: N.A.
0.00% XIRR Bullet Redemption Put: N.A.
Call: N.A.
15% AT THE TIME OF CONVERSION OF CCD Put: NA
Call: NA
15% AT THE TIME OF CONVERSION OF OCD Put: NA
Call: NA
9.50% Annually on 01st December & on
Maturity
Put: NA
Call: NA
10.5% PAYABLE ON 26/11/2013, 26/05/2014 Put: NA
Call: NA
15.00% Qtrly at the end of each quarter or
company may elect the int pymt
Put: N.A.
Call: N.A.
15.00% Qtrly at the end of each quarter or
company may elect the int pymt
Put: N.A.
Call: N.A.
15.00% Qtrly at the end of each quarter or
company may elect the int pymt
Put: N.A.
Call: N.A.
15.00% Quarterly at the end of each quarter
or company may elect the interest
Put: N.A.
Call: N.A.
15.00% Quarterly at the end of each quarter
or company may elect the interest
Put: N.A.
Call: N.A.
15.00% Quarterly at the end of each quarter
or company may elect the interest
Put: N.A.
Call: N.A.
15.00% Quarterly at the end of each quarter
or company may elect the interest
Put: N.A.
Call: N.A.
12.25% Quarterly on 18th May, 18th August,
18th November, 18th February
Put: NA
Call: NA
12.25% Quarterly on 21st May, 21st August,
21st November, 21st February
Put: NA
Call: NA
10.60% Annurally on 22nd February None
6.60% Annually 20th November Put: N.A.
Call: N.A.
10.45% Annually-15th October & on maturity
for last interest
Call - can be exercised at the end of
10th year from the date of allotment
9.25% Half Yearly - 15th April & 15th October N.A.
5.99% Half Yearly, 15th October & 15th April Put & Call: N.A.
6.85% Half Yearly, 15th Oct & 15th April Put & Call: N.A.
5.99% Half Yearly, 15th October & 15th April Put & Call: N.A.
8.75% Half Yearly
15th June & 15th December
Put/Call : 15th Dec, 2006
6.00% Annually
17th January
Put/Call : At the end of 7th Year from
the date of allotment
5.50% Annually, 22nd October Put & Call:At the end of 7th year from
the date of allotment ie. 22nd
10.50% Monthly on last date of every month Put: N.A.
Call: N.A.
14.00% Payable on 10th day of every month Put: N.A.
Call: N.A.
7.00% Annually, 1st July Put & Call: N.A.
13.00% Half Yearly
7th April & 7th October
N.A.
11.50% Half Yearly
21st June & 21st Dec
N.A.
11.50% Half Yearly
17th Jan & 17th July
N.A.
11.50% Half Yearly
14th March & 14th Sept
N.A.
11.50% Half Yearly
13th June & 13th Dec
N.A.
11.50% Half Yearly
26th March & 26th Sept
N.A.
11.50% Half Yearly
14th March & 14th Sept
N.A.
11.50% Half Yearly
5th Jan & 5th July
N.A.
11.50% Half Yearly
09th Jan & 9th July
N.A.
11.50% Half Yearly
12th February & 12th August
N.A.
12.00% Half Yearly
16th June & 16th Dec
N.A.
12.00% Half Yearly
11th March & 11th Sept
N.A.
12.20% Annually 01stMay N.A.
12.25% Semi Annually- 01stFebruary & 01st
August
N.A.
14.80% Annually 01stFebruary N.A.
14.75% Semi Annually-01st Februay &
01stAugust
N.A.
14.00% Half Yearly
1st Feb & 1st August
N.A.
14.00% Half Yearly
1st Feb & 1st August
N.A.
12.50% Annually, 1st May Put & Call: N.A.
9.50% N.A. Put & Call-04th July, 2002
N.A. N.A. Put & Call-05th July, 2002
N.A. N.A. Put & Call-05th July, 2002
10.00% Annually 06th June Put & call- 06th June, 2002
9.40% Annually 01st May Put & call-06th October, 2002
12.50% Annually, 1st May Put & Call: N.A.
9.60% Annually 27thJune Put & call-27th June, 2002
12.70% Annually, 1st May Put & Call: N.A.
10.30% Discounted Option Put & Call: N.A.
12.40% Annually, 1st May Put & Call: N.A.
13.25% Annually
1st August
N.A.
9.20% N.A. Put & call-12th July, 2002
12.90% Annually,1st November Put & Call: N.A.
12.90% Annually, 1st November Put & Call: N.A.
10.70% Annually, 1st August Put & Call: N.A.
14.75% Annually 01stAugust N.A.
9.00% Annually
30th April
N.A
9.00% Annually-5th February N.A
9.00% Annually-05th August Put & call-05th August, 2003
9.25% Annually-05th August N.A.
9.00% Annually
5th Sept
N.A.
8.75% Annually
5th October
N.A.
9.00% Annually -
5th Nov
N.A.
8.25% Annually -
5th Dec
N.A.
10.60% Annually, 01st May Put: N.A.
Call: N.A.
10.70% Annually, 1st May Put & Call: N.A.
10.70% Annually,1st May Put & Call: N.A.
11.00% Annually -01st MAY N.A.
10.70% Annually, 1st May Put & Call: N.A.
8.50% Annually
8th November
N.A.
12.00% Annually, 1st August Put & Call: N.A.
14.00% Annually, 1st November Put & Call: N.A.
8.25% Annually
25th November
N.A
13.50% Semi Annually- 01st May & 01st
November
Put & Call-12th June, 2003
8.00% Annually
17th January
N.A
6.50% Annually, 2nd July Put & Call:2nd July, 2004 & 2nd July,
2005
10.75% Annually, 1st May Put & Call: N.A.
6.75% Annually, 31st March Put & call-31st March, 2004
6.75% Annually, 31st March N.A.
7.00% Annually, 31st March Put & call-
31st March, 2004
7.25% Annually, 4th March N.A.
N.A. N.A. N.A.
5.50% Annually, 4th September Put & Call:4th September, 2004
5.50% Annually, 4th September Put & Call:4th September, 2005
6.00% Annually, 4th September Put & Call: N.A.
7.00% Annually, 25th April Put & Call: N.A.
7.25% Annually, 30th April Put & Call:30th April, 2004
7.25% Annually
5th February
Put/Call : 5th February
7.50% Annually
5th February
N.A.
6.75% Annually, 5th March Put & call-5th March, 2004
6.75% Annually, 5th March N.A.
7.00% Annually, 5th June Put & Call:5th June, 2005
5.40% Annually 5th November Put & Call : 5th November 2005
5.90% Annually 5th November Put & Call: N.A.
5.25% Annually, 5th December Put & Call : 5th December, 2004
5.40% Annually, 5th December Put & Call:5th December, 2005
5.75% Annually, 5th December Put & Call : N.A.
YTM
8.25%
On maturity
25th May, 2006
N.A
10.15% Annually 06th June Put & call- 06th June, 2002
5.25% Annually 6th November Put & Call :6th November 2004
6.85% Annually, 7th July Put & Call:7th July, 2005
YTM
8.02%
On maturity
17th July, 2006
N.A
6.75% Annually, 23rd July Put & Call: N.A.
12.75% Annually 01st May Put: N.A.
Call: N.A.
12.40% Annually, 1st August Put & Call: N.A.
6.25% Annually, 18th August Put & Call:18th August, 2005
12.50% Annually, 1st August Put & Call: N.A.
12.60% Annually 01stAugust N.A.
12.50% Annually 01st August Put: N.A.
Call: N.A.
5.40% Annually, 9th October Put & Call:9th October, 2004
5.40% Annually, 9th October Put & Call:9th October, 2005
5.90% Annually, 9th October Put & Call: N.A.
5.4% Annually 22nd September Put & Call:22nd Sep 2004
5.4% Annually 22nd September Put & Call:22nd Sep 2005
12.35% Annually, 1st August Put & Call: N.A.
7.00% Annually
10th February
Put/Call :
10th February, 2004
N.A. On maturity, 25th Oct, 2006 Put & Call: N.A.
12.75% Annually, 1st May Put & Call: N.A.
9.75 Annually
1st November
N.A.
9.75% Annually 1st November Put & Call: N.A.
5.75% Annually 15th December Put & Call: N.A.
11.90% Annually, 1st Nov N.A.
5.50% Annually, 20th April Put & Call: N.A.
9.50% Annually
30th April
N.A
Rs. 8000 on maturity N.A. N.A
5.50% Annually, 5th March Put & Call: N.A.
YTM 5.50% On maturity, 5th September, 2007 Put & Call: N.A.
9.25% Annually -
5th Nov
N.A.
8.75% Annually -
5th Dec
N.A.
5.74 YTM % On Maturity
15th June, 2007
Put & Call: N.A.
9.00% Annually, 1st February Put & Call: N.A.
9.00% Annually
8th November
N.A.
12.00% Annually, 1st November Put & Call: N.A.
YTM : 5.50% On Maturity Put & Call: N.A.
12.00% Annually, 1st November Put & Call: N.A.
9.40% Annually
25th November
N.A
5.75% Annually, 12th January Put & Call: N.A.
YTM 5.75% On maturity, 12th July, 2007 Put & Call: N.A.
9.50% Annually
12th Sept
N.A
8.25% Annually
17th January
N.A
YTM
8.30%
On maturity
17th July, 2008
N.A
5.50% Annually , Feb 25 Put: N.A.
Call: N.A.
7.60% Annually, 24th March Put & Call: N.A.
7.00% Annually, 31st March N.A.
7.50% Annually, 4th March N.A.
11.00% Annually, 1st May Put & Call: N.A.
N.A. N.A. N.A.
6.25% Annually, 4th September Put & Call: N.A.
10.25% Annually 01st August N.A.
7.25% Annually, 25th April Put & Call: N.A.
7.00% Annually, 5th March N.A.
6.75% Annually, 5th August Put & Call: N.A.
10.60% Annually, 1st May Put & Call: N.A.
11.00% Annually, 1st May Put & Call: N.A.
7.50% Annually, 7th July Put & Call: N.A.
5.50% On maturity Put: N.A.
Call: N.A.
10.50% Annually, 1st February Put & Call: N.A.
7.00% Annually, 9th July Put & Call: N.A.
6.15% Annually, 9th October Put & Call: N.A.
N.A. On maturity, 25th Oct, 2008 Put & Call: N.A.
8.50% Annually
25th November
N.A
7.50% Annually
12th February
N.A.
9.75% Annually
15th March
N.A
N.A. On Maturity
15th Mar, 2009
N.A
5.65% Annually 20th April Put & Call: N.A.
YTM : 5.64% On Maturity Put & Call: N.A.
9.75% Annually
30th April
N.A
10.00% Annually-5th February N.A
9.60% Annually-5th February N.A
5.75% Annually, 5th March Put & Call: N.A.
YTM 5.75% On maturity, 5th March, 2009 Put & Call: N.A.
9.00% Annually -
5th Dec
N.A.
9.65% Annually, 1st May Put & Call: N.A.
10.00% Annually, 1st May Put & Call: N.A.
10.00% Annually, 1st May Put & Call: N.A.
9.25% Annually
8th November
N.A.
8.75% Annually
9th December
N.A.
10.00% Annually, 1st May Put & Call: N.A.
YTM 6.02% On maturity, 12th Jan, 2009 Put & Call: N.A.
9.75% Annually
12th Sept
N.A
8.71% Monthly, 19th of every month Put & Call: N.A.
5.75% Annually, Feb 25 Put: N.A.
Call: N.A.
7.25% Annually, 31st March N.A.
7.75% Annually, 4th March N.A.
5.80% Annually Put: N.A.
Call: N.A.
5.80% On Maturity (ie 20/04/2010} Put: N.A.
Call: N.A.
7.40% Annually, 25th April Put & Call: N.A.
7.00% Annually, 5th August Put & Call: N.A.
YTM
9.68%
On maturity
25th May, 2010
N.A
7.00% Annually, 18th August Put & Call: N.A.
N.A. N.A. N.A
5.80% Quarterly 20th July, 20th October ,
20th January & 20th April
Put & Call: N.A.
7.00% Annually, 29th Sept Put & Call: N.A.
11.00% 1st Nov Put:24/11/2008
Call:24/11/2008
11.00% Annually, 1st November Put & Call:12th December, 2008
10.15% Annually, 1st May Put & Call: N.A.
6.00% Annually, Feb 25 Put: N.A.
Call: N.A.
9.75% 15th of every month N.A
N.A. Redemption in 96 equal monthly
instalments of Rs.455 per 5 bonds
N.A
7.10% Annually,04th January Put: N.A.
Call: N.A.
10.5% Annually-5th February Call - on or after 5th February, 2009
10.00% Monthly-5th Call - on or after 5th February, 2009
7.15% Annually, On 13th May Put: N.A.
Call: N.A.
9.50% Annually
8th November
N.A.
9.01% Monthly, 19th of every month Put & Call: N.A.
7.50% Annually, 31st March N.A.
7.25% Annually, 5th August Put & Call: N.A.
8.00% Annually
10th February
N.A.
14.00% Annually on 11th Feb Put The investors have the option of
encashing the bond at face value at
13.50% Semi-annually on 11th Feb & 11th
August.
Put The investors have the option of
encashing the bond at face value at
10.25% Cumulative interest payment at the
time of redemption
N.A.
10.50% Annually on 30th March N.A.
N.A. Cumulative interest payment at the
time of redemption
N.A.
N.A. Cumulative interest payment at the
time of redemption
N.A.
12.50% Annually on 11th Sept. N.A.
11.50% Annually on 5th January N.A.
11.00% Annually on 30th March N.A.
14.00% Annually on 05th April. Put The bondholders can exercise the
option at the face value at the end of
N.A. N.A. N.A.
N.A. N.A. N.A.
Included in annuity N.A. N.A.
11.80% Annually, 01st November Put: N.A.
Call: N.A.
14.00% Annually 01st August Put: N.A.
Call: N.A.
14.00% Annually 01st November Put: N.A.
Call: N.A.
10.75% Annually 01st May Put: N.A.
Call: N.A.
12.50% Annually 1st November Put: N.A.
Call: N.A.
6.75% Annually on 15th July Put: N.A.
Call: N.A.
12.65% Annually, 1st May Put: N.A.
Call: N.A.
14.00% Annually 01st February Put: N.A.
Call: N.A.
12.75% Annually 01st August Put: N.A.
Call: N.A.
12.25% Annually 01st May Put: N.A.
Call: N.A.
12.00% Annually, 01st November Put: N.A.
Call: N.A.
11.90% Annually, 01st November Put: N.A.
Call: N.A.
11.00% Annually on 1st May Put: N.A.
Call: N.A.
11.00% Annually 01st May Put: N.A.
Call: N.A.
10.60% Annually on 1st May Put: N.A.
Call: N.A.
10.25% Annually on 1st August Put: N.A.
Call: N.A.
11.00% Annually 01st November Put: N.A.
Call: N.A.
10.00% Annually on 1st May Put: N.A.
Call: N.A.
6.75% Annually on 25th August Put: N.A.
Call: N.A.
7.15% Anually September 27th Put: N.A.
Call: N.A.
11.00% Annually 01st November Put: N.A.
Call: N.A.
10.75% Annually on 1st February Put: N.A.
Call:04/02/2009
7.30% Annually , On 20th July Put: N.A.
Call: N.A.
7.50% Annually, On 28th November Put: N.A.
Call: N.A.
8.70% Annually on August 30th Put: N.A.
Call: N.A.
9.50% Annually
1st May
NA
9.30% Annually
1st November
NA
10.10% Annually
1st Aug
NA
10.20% Annually
1st Aug
NA
10.10% Annually
1st Sept
NA
9.60% Annually
1st November
NA
10.20% Annually
1st Sept
NA
9.80% Annually
1st October
NA
10.20% Annually
1st May
NA
01.08.1999: 12.25%
01.08.2000: 12.75%
Annually, 1st Aug NA
1210.00% Annually, 1st Jan NA
13.50% Annually, 1st July NA
12.00% Annually
1st Oct
At the end of every year
01st Oct
14.50% Annually, 30th March NA
8.85% Annually, 1st October At the end of one year 01/10/02
1250.00% Annually, 1st Oct NA
10.90% Annually, 31st Mar At the end of 2nd year. 31-03-2003
10.70% Annually, 31st Mar At the end of every year. 31-03-2002,
31-03-2003
8.85% Annually, 1st January At the end of 1 year 01/01/03
1200.00% Annually, 1st Mar NA
11.50% Annually
1st May
N.A.
1210.00% Annually, 1st May NA
14.00% Annually, 1st Oct NA
1325.00% Annually, 1st May NA
1300.00% Annually (1st July of every year) NA
1250.00% Annually, 1st Aug NA
7.30% Annually 1st August Put & Call: N.A.
1240.00% Annually, 1st Oct NA
7.30% Annually, 1st October Put: N.A.
1270.00% Annually, 1st Dec NA
1260.00% Annually, 1st Jan NA
1240.00% Annually, 1st Mar N.A.
1225.00% Annually, 1st Apr NA
12.40% Annually, 1st June N.A.
7.75% Annually, 1st June Put & Call: N.A.
7.60% Annually, 1st September Put & Call: N.A.
7.10% Annually, 1st October Put & Call: N.A.
9.90% Annually,31st March NA
1435.00% Annually, 31st Mar NA
1240.00% Annually, 31st Mar N.A.
11.30% Annually, 1st May NA
10.25% Annually
1st January
N.A
12.00% Annually, 1st Mar NA
8.75% Annually, 1st May N.A.
8.20% Annually, 1st September Put & Call: N.A.
10.40% Annually
1st September
N.A
8.90% Half Yearly, 15th May & 15th Nov Put & Call: N.A.
7.10% Annually, 15th January Put & Call: N.A.
6.50% Annually, 15th Jan Put & Call: N.A.
6.30% Annually on 15th January Put: N.A.
Call: N.A.
10.50% Annually on 15th July Put: N.A.
Call: N.A.
15.50% Bullet Payment on 15th April, 2005 N.A.
6.00% Annually, 20th July Put & Call: N.A.
10.25%p.a Annually-1st October NA
6.40% Annually, 1st April Put & Call:At the end of 3rd year ie
31st March, 2007
12.15% Quarterly on March 19, June 19,
September 19 & December 19. 1st
Put: N.A.
Call: N.A.
13.75% Half Yearly
31st March & 30th Sept
N.A.
Zero Coupon N.A. N.A.
Zero Coupon N.A. N.A.
Deep Discount Bonds
YTM 6%
N.A. N.A.
7.80% On maturity Put: N.A.
Call: N.A.
9.00% On maturity Put: N.A.
Call:Daily on or after 03/10/2007
10.00% On maturity Put: N.A.
Call:Daily on or after 03/10/2007
11.75% Quarterly on 15th October,15th
January,15th April & 15th July
Put: N.A.
Call: N.A.
5.60% Quarterly on 31st March, 30th June,
30th September,31st December
Put: NA
Call: NA
RESET RATE QUARTERLY ON 31/07/2012,
31/10/2012 AND 31/01/2013 AND
Put: NA
Call: NA
NSE Mibor + 5 bps as per NSE daily 9.40
a.m. fixing and compounded daily
On maturity, 31st December, 2004 or
on exercise of Put/Call Option
Put & Call:May be exercised daily with
one working day
Overnight NSE Mibor+ 20 bps On Maturity {ie on 02-9-2005} or on
exercise of Put/call option
Put:May be exercised daily with one
working day notice
NSE O/N Mibor+50 Bps On Maturity (ie on 13-9-05} or on
exercise of Put/Call option notice
Put:May be exercise daily with one
working day notice
NSE Mibor +45bps On Maturity (ie on 18-10-2005} or on
exercise of Put/Call Option
Put:May be exercised daily with one
working day notice
NSE Mibor+ 50 Bps On Maturity (ie on 26-10-2005} or on
exercise of Put/Call Option
Put:May be exercised daily with one
working day notice
NSE Mibor+50 Bps On Maturity (ie on 13-12-2005} or on
exercise of Put/Call Option
Put:May be exercised daily with one
working day notice
14.25% On 14/07/2009 Put: N.A.
Call: N.A.
16.50% Quarterly
1st April, 1st July,
N.A
Zero Coupon NA Put: N.A.
Call: N.A.
ZERO COUPON NA Put: N.A.
Call: N.A.
Zero Coupon NA Put: N.A.
Call: N.A.
Zero Coupon NA Put: N.A.
Call: N.A.
ZERO COUPON NA Put: N.A.
Call: N.A.
ZERO COUPON NA Put: N.A.
Call: N.A.
Zero Coupon NA Put: N.A.
Call: N.A.
Zero Coupon NA Put: N.A.
Call: N.A.
ZERO COUPON NA Put: N.A.
Call: N.A.
ZERO COUPON NA Put: N.A.
Call: N.A.
6.90% Half Yearly, 1st Jan & 1st July Put & Call: N.A.
4.00% On maturity Put: N.A.
Call:Daily for or after 02/03/2010
6.00% On maturity Put: N.A.
Call:Daily for or after 17/03/2010
9.10% First coupon payment shall be payable
from deemed date of allotment till
Put: N.A.
Call: N.A.
13.76% Quarterly
1st Jan
N.A.
17.50% Quarterly 15th March, 15th June, 15th
Sept, 15th Dec.
N.A.
17.4061% Quarterly
15th March
N.A.
13.76% Quarterly
15th March
N.A.
16.00% Quraterly 15th March, 15th June,
15th Sept, 15th Dec
N.A.
15% AT THE TIME OF CONVERSION OF CCD Put: NA
Call: NA
7.00% Quarterly on 31st March, 30th June,
30th September, & 31st December
Put: NA
Call: NA
8.00% The bonds carry an interest rate of 8%
p.a. on simple interest basis for the
Put: N.A.
Call: N.A.
11.40% Yearly-1st October Both at par at the end of 5th year.
31st March, 2007
14.00% Quarterly
31st March
NA
Gold Linked ( Refer Remark ) On Maturity Put:Available to issuer any time after
allotment on occurance of any of the
Nifty Linked ( Refer Remark ) At Maturity Put: N.A.
Call:Available to issuer any time after
S&P CNX NIFTY LINKED AT MATURITY Put: NA
Call:AVAILABLE TO ISSUER ANY TIME
Gold Linked ( Refer Remark ) At Maturity Put: N.A.
Call:Available to issuer any time after
NIFTY LINKED ON MATURITY Put: Available to issuer any time after
allotment on occurance of any of the
NIFTY LINKED on Maturity Put: NA
Call:available to issuer any time after
11.00% Half Yearly
11th Aug & 11th Feb
N.A
11.50% Half Yearly
21st Dec & 21st June
N.A
11.00% Half Yearly, 30th June & 31st Dec Put & Call:31st May, 2008
10.25% Half Yearly, 30th June & 31st Dec Put & Call:At the end of 5 years ie. 1st
August, 2008
Floating Rate-11.50% for the first year.
The coupon rate is reset every
Half yearly, 16th May & 16th Nov Put & Call:15th October, 2009 with a
notice period of 3 months
13.75% Semi Annually on 30th September &
30th March
Put:30/03/2009
Call:30/03/2009
14.00% Half Yearly N.A.
14.00% Half Yearly N.A.
14.00% Half Yearly N.A.
10.50% Half Yearly
7th July &
N.A.
8.40% On Maturity 9th July 2004 Put & Call: N.A.
12.00% Annually
05th November
Put/Call : 31st August, 2006
12.25% Annually
05th November
Put/Call : 31st August, 2008
10.50% Half Yearly-01st January & 01st July N.A.
10.50% Annually-01st January N.A.
7.00% Annually 1st July Put & Call: N.A.
Nifty Linked (Refer Termsheet) On Maturity or exercise of call option Put: N.A.
Call:To be exercised at any time after
Nifty Linked (Refer Termsheet) On Maturity or exercise of call option Put: N.A.
Call:To be exercised at any time after
NIFTY LINKED ON MATURITY Put: NA
Call: NA
ZERO COUPON NA Put: NA
Call: NA
Nifty Linked Rate (Refer Remark) On maturity or exercise of call option
as may be applicable
Put: N.A.
Call:Option to be exercised by the
S&P CNX NIFTY LINKED ON MATURITY Put: N.A.
Call: N.A.
10.2% ANNUALLY ON 03.07.2013 AND
03.07.2014
Put: NA
Call: NA
ZERO COUPON NA Put: NA
Call: NA
Nifty Linked (Refer Termsheet) On maturity or on exercise of call
option
Put: N.A.
Call:To be exercised by issuer at any
Nifty Linked (Refer Termsheet) On Maturity or exercise of call option
whichever is earlier
Put: N.A.
Call:To be exercised at any time after
MIBOR + 400bps (Floor : 10.15% and
Cap : 10.25%)
On maturity Put: N.A.
Call: N.A.
MIBOR + 400 bps (Floor 13% & Cap
13.05%)
On maturity Put: N.A.
Call: N.A.
12.50% On maturity, 14th August, 2005 N.A.
6.85% Annually, 31st March Put & Call:At the end of 5th Year ie
31st March, 2009, 7th Year ie 31st
13.40% Half Yearly
30th June &
Put/ Call
End of 5 years
11.70% Annually
30th April
Put/Call : 17th May, 2007
12.5% Quarterly
30th Sept
N.A
19.00% Quarterly
31st Mar
N.A.
19.00% Quarterly
31st Mar
N.A.
19.00% Quarterly
31st Mar
N.A.
19.00% Quarterly
31st Mar
N.A.
20% MONTHLY - FROM 01/07/2012 -
01/07/2014
Put: NA
Call: NA
NSE Mibor + 0 bps compounded daily On maturity, 2nd July, 2004 or on or
on exercise of Put/Call Option
Put & Call:Daily
NSE Mibor - 20 bps compounded daily On maturity, 19th July, 2004 or on
exercise of Put/Call Option
Put & Call:Daily
NSE MIBOR - 5 bps compounded daily On maturity, 8th December, 2004 or
on exercise of Put/Call Option
Put & Call:Daily
NSE Mibor + 0bps On maturity, 17th December, 2004 Put & Call : N.A.
NSE MIBOR +10 BPS ON MATURITY, 25-01-2005 Put:DAILY
Call:DAILY
7.00% p.a. On Maturity (ie on 21-10-2005} or on
exercise of put/call option
Put: N.A.
Call: N.A.
7.00% p.a. On Maturity (ie on 24-10-2005} or on
exercise of put/call option
Put: N.A.
Call: N.A.
6.00%p.a. On Maturity (ie on 24-10-2005} or on
exercise of put/call option
Put: N.A.
Call: N.A.
8.50% On Maturity or on excercise of put/call
option
Put:Daily wef from 21st day i.e
10/01/2006
8.50% On Maturity or on excercise of put/call
option
Put:Daily wef 20th Day i.e. 09.01.2006
Call:Daily wef 20th Day i.e. 09.01.2006
NSE Mibor + 175bps On Maturity (ie on 27-3-06) or on
exercise of Put/Call Option
Put:Daily
Call:Daily
NSE Mibor +100bps On Maturity (ie on 27.3.06) or on
exercise of Put/Call Option
Put:Daily
Call:Daily
NSE Mibor +65bps On Maturity (ie on 14-4-06) or on
exercise of Put/Call Option
Put:Daily
Call:Daily
NSE Mibor +115bps On Maturity or on exercise of Put/Call
option
Put:Daily
Call:Daily
8.45% On Maturity or on exercise of Put/Call
option
Put:Daily w.e.f 31.012006
Call:Daily w.e.f 31.012006
7.25% On Maturity or on exercise of Put/Call
option
Put:Daily w.e.f. 24.03.2006
Call:Daily w.e.f. 24.03.2006
8.50% On Maturity or on exercise of Put/Call
option
Put:Daily w.e.f 31.01.2006
Call:Daily w.e.f 31.012006
8.80% On maturity or on exercise of Put/Call
Option
Put:Daily wef 23/02/2006
Call:Daily wef 23/02/2006
NSE Mibor plus 20bps On Maturity or exercise of put/call
option
Put:Daily
Call:Daily
NSE Mibor+65 Bps On Maturity or on excercise of put/call
option which ever is earlier
Put:Daily
Call:Daily
Mibor+25 bps (daily compounding) On Maturity or on excercise of put/call
option
Put:Daily
Call:Daily
Mibor + 20bps (Daily Compounding) On Maturity or exercise of put/call
option
Put:Daily
Call:Daily
NSE Mibor + 75bps (Daily
Compounding)
On Maturity or exercise of Put/Call
option
Put:Daily
Call:Daily
NSE Mibor + 25bps (Daily compounding) On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
Mibor + 15bps (Daily Compounding) At Maturity or exercise of put/call
option
Put:Daily
Call:Daily
NSE Mibor + 25bps On maturity or exercise of put/call
option
Put:Daily
Call:Daily
NSE Mibpr + 150bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
NSE Mibor + 115bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
7.50% On maturity Put: N.A.
Call: N.A.
7.40% On maturity Put: N.A.
Call: N.A.
NSE Mibor + 125bps (Daily
Compounding)
On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
11.25% On maturity or on exercise of put/call
option
Put:Daily from 29-12-2006
Call:Daily from 29-12-2006
NSE Mibor+ 85bps On maturity or on exercise of put/call
option
Put:Daily from 24/01/2007
NSE Mibor+ 85bps On maturity or on exercise of put/call
option
Put:Daily from 31/01/2007
Call:Daily from 31/01/2007
NSE Mibor + 100bps (Daily
Compounding)
On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
NSE Mibor (Daily Compounding) On maturity Put: N.A.
Call: N.A.
9.47% On maturity Put: N.A.
Call: N.A.
8.40% Semi annually on
10/09/2010,10/03/2011,09/09/2011,0
Put: N.A.
Call: N.A.
8.50% Annually on
10/03/2011,09/03/2012,08/03/2013
Put: N.A.
Call: N.A.
10.25% Annually on 04/12/2012, 05/12/2013 &
on Maturity
Put: NA
Call: NA
NSE MIBOR (daily Compounding) +
245bps
Semi annually on
30/11/2011,31/05/2012,30/11/2012,3
Put: NA
Call: NA
10.06% ANNUALLY ON 29.04.2013 &
28.04.2014
Put: NA
Call: NA
10.56% 17/04/2013, 17/04/2014 Put: NA
Call: NA
1.00% Semi Annually on 27th March & 27th
September
Put:26/03/2010
Call:26/03/2010
13.00% Halfyearly
January 28 and 28 july
Call : 28/01/04 &
28/01/06
7.95% Half Yearly
30th April & 31st October
N.A.
3.52% Annually on 25th June Put:25/06/2011, 25/06/2012 &
25/06/2013
3.52% Annually on 25th June Put:25/06/2011, 25/06/2012 &
25/06/2013
11.06% Annually, 7th June Put & Call: N.A.
13.00% Annually, 9th August Put & Call: N.A.
13.25% Annually, 10th August Put & Call: N.A.
11.16% Annually, 7th June Put & Call: N.A.
9.95% ANNUALLY PAYABLE ON 5TH JUNE Put: NA
Call: NA
17% Quarterly on 15th February,15th May,
15th August, 15th November
Put: NA
Call: NA
18% Quarterly on 15th February,15th May,
15th August, 15th November
Put: NA
Call: NA
19.00% Quarterly on 15th February , 15th May,
15th August, 15th November
Put: NA
Call: NA
13.00% Half Yearly
29th July &
N.A.
NIFTY INDEX LINKED ON MATURITY Put: NA
Call: NA
13.00% Annually on 3rd March & on maturity Put: N.A.
Call: N.A.
11.00% Annually
10th April
Put/Call :
9th April, 2007
11.00% Annually, 3rd May Put & Call:3rd May, 2008
11.50% Annually
31st July
N.A.
13.50% Half Yearly, 31st March & 30th Sept Put:15th October, 2002
Call:15th October, 2002
13.00% Annually, 31st January Put:30.11.2006
Call:30.11.2006
Benchmark + M.U (mark up) Annually, 8th Nov (as announced by
RBI (Mark up would be 550 bps over
Put:30.06.2011
Call:30.06.2011
13.50% Annually, 31st January Put:31.08.2011
Call:31.08.2011
Bench Mark + M.U. Reset for Int period would be 8th
Nov(as announced by RBI) Markup
Put:31.08.2011
Call:31.08.2011
12.50% Annually, 31st January Put:30.11.2011
Call:30.11.2011
Zero Coupon N.A. Put & Call:On or before 29th March,
2005
11.50% On maturity(cumulative ) N.A
11.50% Annually-30th September At the end of 5 years from
deemed date of allotment ie 31-Dec-
13.50% Annually
15th October
40500
12.30% Half Yearly
23rd April & Oct.
N.A.
10.52% Half Yearly
7th June & Dec.
N.A.
8.35% Half Yearly
19th June &
N.A
8.30% Half Yearly
20th August &
N.A
13.20% Half yearly, 10th June & 10th
December
Put: N.A.
Call: N.A.
13.65% Annually - 01st September N.A.
14.15% Annually-
01st September
N.A.
13.50% Annually - 26th February N.A.
Zero Coupon N.A. Put & Call: N.A.
11.25% Anually 16th July Put & Call:15th July 2010
9% ON MATURITY i.e. 04/05/2015 Put: NA
Call: NA
10.00% Annually on 07/12/2012,09/12/2013 &
05/12/2014
Put:07/12/2012
Call: NA
12.65% Quarterly
15th July
Call : 16th May, 2006
9.05% On maturity Put: N.A.
Call: N.A.
Zero Coupon NA Put: NA
Call: NA
12.2% Semi annually on
08/03/2012,08/09/2012,08/03/2013 &
Put: NA
Call: NA
ZERO COUPON NA Put: NA
Call: NA
ZERO COUPON NA Put: NA
Call: NA
10.65% Quarterly on 2nd December,2nd
March,2nd June & 2nd September
Put:02/03/2011,02/06/2011,02/09/20
11 & 02/12/2011
12.25% Annually on 27th May & on maturity Put: NA
Call: NA
12.50% Semi annually on 27th November &
27th May
Put: NA
Call: NA
12.00% Annually on 27th May & on maturity Put: NA
Call: NA
Zero Coupon NA Put: N.A.
Call:On or before 31/12/2012
20% 01/03/2014, 29/04/2014 Put: NA
Call: NA
12.50% Quarterly
30th June
Available to Company and to the Bank
03rd September, 2002
13.00% Quarterly-
30th June,
N.A.
11.50% Quarterly
30th Sept
Put/Call :
30th Oct, 2002
13.00% Quarterly
30th Sept
Put/Call : Available to the Company
and to the Bank
Linked to the performance of a basket
of shares
ON MATURITY Put: NA
Call:Call option exercised
10.6% ANNUALLY ON 1st AUGUST EVERY YEAR
TILL THE DATE OF REDEMPTION
Put:PUT OPTION AT THE END OF 1ST
YEAR FROM THE DATE OF ALLOTMENT
12.00% Annually on 13th September Put: NA
Call: NA
11.5% ANNUAL i.e. 01/04/13, 01/04/14,
01/11/14
Put: NA
Call: NA
13% ANNUALLY ON 18TH JANUARY Put: NA
Call: NA
13% ANNUALLY ON 18TH APRIL & ON
MATURITY
Put: NA
Call: NA
13.00% Annually on 31st March & on Maturity Put: NA
Call: NA
11.95% Quarterly on 04th May, 04th
August,04th November & 04th
Put: N.A.
Call: N.A.
10% Quarterly, 30th June, 2004, 30th Sept,
31st Dec & 31st March
Put & Call: N.A.
14.75% Half Yearly
31st March & 30th Sept
N.A.
14.50% Half yearly starting 25th Sept 1999 N.A.
13.00% Half Yearly, 01st August & 01st
February
Put & Call: N.A.
5% Annually
1st October
Put/Call: N.A.
8.30% Annually on 22nd January Put:22/01/2008 (to be exercised on or
before 22/12/2007)
5.33% Semi Annually, 1st April and 1st
October
Put:31/03/2008
Call:31/03/2008
5.40% At the time of Redemption or on
Put/call option Date
Put:31/03/2008
Call:31/03/2008
5.20% Annually 01st April Put:30th June 2008
Call:30th June 2008
5.13% Semi Annually 01st April & 01st
October
Put:30th June 2008
Call:30th June 2008
5.20% Annually 01st April Put:31st July 2008
Call:31st July 2008
5.13% Semi Annually 01st April & 01st
October
Put:31st July 2008
Call:31st July 2008
5.42% Semi Annually 01st April & 01st
October
Put:31st August, 2010
Call:31st August, 2010
5.42% Semi Annually 01st April & 01st
October
Put:30th September, 2008
Call:30th September, 2008
5.50% Annually on 1st April Put:31st March,2009
Call:31st March,2009
8.50% Annually on 22nd January Put:22/01/2010 (to be exercised on or
before 22/12/2009)
8.25% Annually on 31st July Put: N.A.
Call: N.A.
8.75% On maturity Put: N.A.
Call: N.A.
8.50% On maturity Put: N.A.
Call: N.A.
9.00% On maturity Put: N.A.
Call: N.A.
9.50% Annually on 31st July Put: N.A.
Call: N.A.
9.50% On maturity Put: N.A.
Call: N.A.
9.65% Annually on 4th November Put: NA
Call: NA
10.50% Half Yearly
31st March & 30th Sept
Put/Call : 1st July, 2003
13.50% Annually
31st March
Put/Call : 31st Mar, 2004
5.50% Annually on 1st April and on maturity Put: N.A.
Call: N.A.
5.50% Annually on 1st April and on maturity Put: N.A.
Call: N.A.
5.75% Annually on 31st March Put: N.A.
Call: N.A.
5.75% Annually on 31st march Put: N.A.
Call: N.A.
5.75% Annually on 31st march Put: N.A.
Call: N.A.
5.75% Annually on 31st march Put: N.A.
Call: N.A.
5.75% (6.25% w.e.f. 01/11/2008) Annually on 31st march Put: N.A.
Call: N.A.
6.25% Annually on 31st March Put: N.A.
Call: N.A.
6.25% Annually on 31st March Put: N.A.
Call: N.A.
6.25% Annually on 31st March Put: N.A.
Call: N.A.
6.25% Annually on 31st March Put: N.A.
Call: N.A.
6.25% Annually on 31st March Put: N.A.
Call: N.A.
6.25% Annually on 31st March Put: N.A.
Call: N.A.
6.00% Annualy On 31 March Put: N.A.
Call: N.A.
6.00% Annualy On 31 March Put: N.A.
Call: N.A.
6.00% Annualy on 31st March Put: N.A.
Call: N.A.
6.00% Annualy on 31st March Put: N.A.
Call: N.A.
6.00% Annualy on 31st March Put: N.A.
Call: N.A.
6.00% Annualy on 31st March Put: N.A.
Call: N.A.
6.00% Annualy on 31st March Put: N.A.
Call: N.A.
6.00% Annualy on 31st March Put: N.A.
Call: N.A.
6% Annually on 1st April Put: NA
Call: NA
5.10% On maturity - 31st January, 2009 or on
exercise of Put/Call option
Put & Call:31st January, 2007
5.10% ANNUALLY, ON 1ST APRIL Put:30TH SEPTEMBER 2007
Call:30TH SEPTEMBER 2007
5.10% Annually on 1st April Put:Yes 30th November 2007
Call:Yes 30th November 2007
5.35% Annually on 1st April Put:Yes 31st Dec 2007
Call:Yes 31st Dec 2007
5.45% Annually on 1st April Put:Yes 31st Dec 07
Call:Yes 31st Dec 07
5.45% On Maturity 31.12.2009 Put:31st Dec 2007
Call:31st Dec 2007
5.50% Annually, 1st April Put & Call:28th February, 2006
5.25% Annually, 25th March Put & Call:25th March, 2008
5.50% Annually, 1st April Put & Call:31st March, 2006
5.50% Annually, 1st April Put & Call:30th April, 2006
5.25% Annually on 01st April Put:15th July, 2008
Call:15th July, 2008
5.25% On Maturity (ie on 15-7-2010} Put:15th July 2008
Call:15th July 2008
5.50% On Maturity (ie on 31-8-2010} Put:31st August 2008
Call:31st August 2008
5.25% On maturity,30th Sept, 2010 or on
exercise of put/call option whichever
Put & Call:30th September, 2008
5.25% Annually, 1st April Put & Call:30th September, 2008
5.50% Annually on 01st April Put:30th September, 2008
Call:30th September, 2008
5.50% On Maturity (ie on 30-9-2010} Put:30th September 2008
Call:30th September 2008
5.25% On maturity, 31st July, 2011 Put & Call:31st July, 2009
5.25% ON MATURITY 30TH SEPT 2011 Put:30TH SEPT 2009
Call:30TH SEPT 2009
5.25% Annually on 1st April Put:31st October 2009
Call:31st October 2009
5.25% At time of redemption Put:31st October 2009
Call:31st October 2009
5.25% On Maturity (ie 30th November 2011) Put:Yes 30th November 2009
Call:Yes 30th November 2009
5.50% Annually 01st April Put:31st Dec 2009
Call:31st Dec 2009
5.50% On Maturity (ie 31-12-2011} Put:31st Dec 2009
Call:31st Dec 2009
5.50% Annually on 01st April Put:Yes 31st January 2010
Call:Yes 31st January 2010
5.50% On Maturity (on 31st January 2012} Put:Yes 31st January 2010
Call:Yes 31st January 2010
5.50% Annually 01st April Put:28th February 2010
Call:28th February 2010
5.50% On Maturity (ie 28th February 2012} Put:28th Feb 2010
Call:28th Feb 2010
5.50% Annually on 01st April Put:31st March, 2010
Call:31st March, 2010
5.50% On Maturity (ie 31/03/2012} Put:31st March 2010
Call:31st March 2010
5.50% Annually on 01st APril Put:30th April, 2010
Call:30th April, 2010
5.50% On Maturity (ie 30th April, 2012} Put:30th April, 2010
Call:30th April, 2010
5.35% Annually on 1st April Put:30th April 2010
Call:30th April 2010
5.35% On Maturity (ie 30th April 2012} Put:30th April 2010
Call:30th April 2010
5.35% Annually on 01st April Put:15th May, 2010
Call:15th May, 2010
5.35% On Maturity (ie 15/05/2012} Put:15th May, 2010
Call:15th May, 2010
5.35% Annually on 01st April Put:31st May, 2010
Call:31st May, 2010
5.35% On Maturity (ie 31-5-2012} Put:31st May, 2010
Call:31st May, 2010
5.35% Annually, 1st April Put:15th June 2010
Call:15th June 2010
5.35% On redemption Put:15th Jun 2010
Call:15th Jun 2010
5.35% Annually on 01st April Put:30th June 2010
Call:30th June 2010
5.35% On Maturity (ie on 30th June 2012} Put:30th June 2010
Call:30th June 2010
5.35% Annually on 01st April Put:15th July 2010
Call:15th July 2010
5.35% On Maturity (ie on 15-7-2012} Put:15th July 2010
Call:15th July 2010
5.35% Annually on 01st April Put:31st July 2010
Call:31st July 2010
5.35% On Maturity (ie on 31-7-2012} Put:31st July 2010
Call:31st July 2010
5.60% On Maturity, 31/10/2012 Put:31/10/2010
Call:30/10/2010
5.60% Annually on 1st April Put:31/03/2011
Call:31/03/2011
5.10% On maturity, 30th June, 2009 Put & Call:30th June, 2007
5.25% On Maturity 30th April 2011 Put & Call : 30th April 2009
9.50% Annually - 01st January N.A.
15.75% Half Yearly, 30th June & 31st Dec Put & call-
31st March, 2003
10.00% Half Yearly 01st January & 01st July Put:30-6-2008
Call:30-6-2008
NA NA Put: N.A.
Call:As on 07/06/2011 ( At least 20%
4.00% Semi annually on 15th September &
15th March
Put: N.A.
Call: N.A.
Zero Coupon NA Put: N.A.
Call: N.A.
6.50% Annually, 26th May Put: N.A.
Call: N.A.
6.50% Anually, 26th May Put: N.A.
Call: N.A.
EQUITY LINKED On Maturity Put: N.A.
Call: N.A.
7.90% Annually
7th January
Put/Call : 7th January, 2008
11.00% Yield As per payout schedule Put: N.A.
Call: N.A.
11.00% Yield Bullet Redemption Put: N.A.
Call: N.A.
Zero Coupon Bullet Redemption Put: N.A.
Call: N.A.
11.50% Quarterly on 2nd September;2nd
December;2nd March & 2nd June & on
Put: N.A.
Call: N.A.
7.71% Semi annually, 30th June and 31st
December
Put: N.A.
Call:Issuer may redeem the
9.37% Semi Annually on 04th June and 04th
December
Put: N.A.
Call:No prepayment is permitted in
9.06% Semi Annually on 04th June and 04th
December
Put: N.A.
Call:No prepayment is permitted in
10.75% Annually on 1st January N.A.
10.00% Annually on 01st January Put / Call- On 30.03.2006
10.40% Half Yearly
13th May & 13th Nov
N.A.
8.20% Annually
01st January
Put/Call
20th February, 2007,
NA NA Put: NA
Call: NA
13.32% Quarterly on 30th June,30th
September, 31st December & 31st
Put: N.A.
Call: N.A.
7.15% Annually
22nd October
N.A.
10.20% Quarterly on 1st March, 1st June, 1st
September & 1st December & on
Put: N.A.
Call: N.A.
10.20% Quarterly on 1st March, 1st June, 1st
September & 1st December & on
Put: N.A.
Call: N.A.
11.00% Quarterly on 31st March, 30th June,
30th September, 31st December
Put: NA
Call: NA
9.75% Semi annually on 1st March & 1st
September
Put: N.A.
Call: N.A.
10.75% Semi-Annually on 31st March & 30th
September
Put: NA
Call: NA
9.55% Semi annually on 30th September &
31st March & on maturity
Put: N.A.
Call: N.A.
13.25% Monthly Put: N.A.
Call: N.A.
8.60% Quarterly
31st Mar
N.A.
Reset Rate (Refer remark) Quarterly on 31st December,31st
March,30th June & 30th September
Put: N.A.
Call: N.A.
16.00% Half Yearly on 31st March & 30th
September
N.A
6.00% Annually, 15th Feb Put:15.02.2008
Call:15.02.2008
6.00 % (Cumulative) On Maturity , Matuirty Value 13,382 Put:15.02.2008
Call:15.02.2008
6.00% Annually,31st March Put:31.03.2008
Call:31.03.2008
Cumulative bond Maturity val Rs
13,382
NA Put:31.03.2008
Call:31.03.2008
9.60% Annually on 09th June & on maturity Put: N.A.
Call: N.A.
7.00% Annually, 02nd November Put & Call:02nd November, 2011
8.21% Annually
3rd October
N.A
20% QUARTERLY 30TH JUNE,30TH
SEPTEMBER,31ST DECEMBER & 31ST
Put: NA
Call: NA
10.00% Yearly on10th September Put: N.A.
Call: N.A.
7.70% Annually on 30th June Put:30.6.2010
Call:30.6.2010
Reset Rate (Refer remark) Annually on 31st March from April 01,
2009
Put: N.A.
Call: N.A.
Reset Rate (Refer remark) Annually on 31st March from April 01,
2009
Put: N.A.
Call: N.A.
Reset Rate (Refer remark) Annually on 31st March from April 01,
2009
Put: N.A.
Call: N.A.
Reset Rate (Refer remark) Annually on 31st March from April 01,
2009
Put: N.A.
Call: N.A.
7.92% Half Yearly, 25th Jan & 25th July Put & Call: N.A.
6.50% Half Yearly, 11th Sept & 11th March Put & Call: N.A.
12.25% Half Yearly
28th Dec& 28th June
Put: On 30/06/2005
Call: On 30/06/2005
13.15% Annually
1st April
N.A.
11.50% On maturity Put: N.A.
Call: N.A.
11.50% On maturity Put: N.A.
Call: N.A.
12.75% Yield As per payout schedule Put: N.A.
Call: N.A.
Nifty Linked On maturity Put: N.A.
Call: N.A.
NIFTY INDEX LINKED On Maturity Put: N.A.
Call: N.A.
13.50% Yield As per payout schedule Put: N.A.
Call: N.A.
9.20% Yield As per payout schedule Put: N.A.
Call: N.A.
11.75% Semi annually on 30th September &
31st March
Put: N.A.
Call: N.A.
11.75% Semi annually on 30th September &
31st March
Put: N.A.
Call: N.A.
10.50% ANNUALLY ON 28TH FEBRUARY & ON
MATURITY
Put: NA
Call: NA
NIFTY LINKED ON MATURITY Put: NA
Call: NA
NIFTY LINKED ON MATURITY Put: NA
Call: NA
NIFTY LINKED ON MATURITY Put: NA
Call: NA
NIFTY LINKED ON MATURITY Put: NA
Call: NA
NIFTY LINKED ON MATURITY Put: NA
Call: NA
NIFTY LINKED ON MATURITY Put: NA
Call: NA
NIFTY LINKED ON MATURITY Put: NA
Call: NA
NIFTY LINKED ON MATURITY Put: NA
Call: NA
NIFTY LINKED AT MATURITY Put: NA
Call: NA
10.75% Annually on 6th June Put: NA
Call: NA
10.3% ANNUALLY ON 07/12/2013 AND ON
MATURITY i.e. 06/06/2014
Put: NA
Call: NA
13.6% ON MATURITY Put: NA
Call: NA
10.25% Semi Annually-
1st January & 1st July
N.A.
12.00% Quarterly on every 15th April 15th
July, 15th October and 15th January.
N.A.
8.70% On maturity-
(cumulative interest -8.70% on
Daily -Any time after allotment
8.00% Annually - 30th April Any time after allotment
8.70% Annually - 30th April Daily
Any time after allotment
9.00% - Valid for 36 months from the
date of alotment. New coupon rate to
Annually
31st March
N.A.
9.00% - Valid for 36 months from the
date of alotment. New coupon rate to
Annually
31st March
Put - At the end of 36 months
from deemed date of allotment
7.50% Annually
30th April
Put- At par at any time before 5 years
after allotment
8.00% Annually
31st March
Put- At par at any time before 5 years
after allotment
8.00% Annually - 31st March Put - at par at the end of 36 months
7.50% Annually
31st March
Put- At par at the end of 36 months
from the date of allotment
6.10% Annually
31st March
Put Option : At par at the end of 36
months from the date of allotment
6.00% Annually, 31st March Put: N.A.
Call: N.A.
Reset Rate (5.15% for 1st 36 months) Annually, 31st March Put & Call:At the end of 36 months
from the date of allotment
Reset Rate(5.15% for 1st 36 months) Annually, 31st March Put:At par at the end of 36th month
from the date of allotment
Reset Rate (5.60% for 1st 36 months)
Subsequently a new coupon rate shall
Annually, 31st March Put:At par at the end of 36th month
from the date of allotment
Reset Rate (5.60% for 1st 36 months)
Subsequently a new coupon rate shall
Annually, 31st March Put:At par at the end of 36th month
from the date of allotment
Reset Rate (5.15% for 1st 36 months)
Subsequently a new coupon rate shall
Annually, 31st March Put:At the end of 36 months from the
date of allotment
6.90% Annually
31st March
Put/Call : At the end of 5 years 27th
Sept, 2007
5.15% Annually 31st March every year Put:PUT option at the end of 36
months from the date of allotment
5.25% Annually on 30th June Put: N.A.
Call: N.A.
5.25% Annually on 30th June Put: N.A.
Call: N.A.
6.25% Annually, 31st March Put: N.A.
Call: N.A.
5.25% Annually on 30th June Put: N.A.
Call: N.A.
5.50% Annually on 30th June Put: N.A.
Call: N.A.
5.50% Annually on 30th June Put: N.A.
Call: N.A.
5.50% Annually on 30th June Put: N.A.
Call: N.A.
5.50% Annually on 30th June Put: N.A.
Call: N.A.
5.50% Annually on 31st March Put:31-11-2008
Call:31-11-2008
11.5% Half Yearly
27th June & 27th December
N.A
5.50% Annually on 30th June Put: N.A.
Call: N.A.
5.50% Annually on 30th June Put: N.A.
Call: N.A.
5.50% Annually on 30th June Put: N.A.
Call: N.A.
5.50% Annually on 30th June Put: N.A.
Call: N.A.
12.00% Half Yearly
5th June & 5th December
N.A
5.75% Annually on 30th June Put: N.A.
Call: N.A.
5.50% Annually on 30th June Put:At the end of three year from the
date of allotment i.e. 31-07-09
10.95% Annually on 14th August Put: N.A.
Call: N.A.
5.75% Annually on 30th June Put: N.A.
Call: N.A.
5.75% Annually on 30th June Put: N.A.
Call: N.A.
5.75% Annually on 30th June Put: N.A.
Call: N.A.
Reset Rate( 5.60 % for 1to 60 months) Annually 31st March Put:31-12-2009
Call:31-12-2009
5.75% Annually on 30th June Put: N.A.
Call: N.A.
5.75% Annually on 30th June Put: N.A.
Call: N.A.
Reset Rate (5.60% for 1 to 60 Month) Annually 31st March Put:28-2-2010
Call:28-2-2010
5.75% Annually on 30th June Put: N.A.
Call: N.A.
6.25% Annually on 30th June Put: N.A.
Call: N.A.
6.25% Annually on 30th June Put: N.A.
Call: N.A.
6.25% Annually on 30th June Put: N.A.
Call: N.A.
6.25% Annually on 30th June Put: N.A.
Call: N.A.
6.25% Annually on 30th June Put: N.A.
Call: N.A.
6.25% Annually on 30th June Put: N.A.
Call: N.A.
6.25% Annually on 30th June Put: N.A.
Call: N.A.
10.75% Annually on 24th July Put: N.A.
Call: N.A.
6.00% Annualy on 30th June Put: N.A.
Call: N.A.
10.90% Annually on 14th August Put: N.A.
Call: N.A.
6.00% Annualy on 30th June Put: N.A.
Call: N.A.
10.90% Annually on 30th September Put: N.A.
Call: N.A.
6.00% Annualy on 30th June Put: N.A.
Call: N.A.
6.00% Annualy on 30th June Put: N.A.
Call: N.A.
6.00% Annualy on 30th June Put: N.A.
Call: N.A.
6% Annually on 30th June Put: NA
Call: NA
6% Annually on 30th June Put: NA
Call: NA
7.70% Annually on 2nd June Put: N.A.
Call: N.A.
Reset Rate (Refer remark) Annually on 26th June Put: N.A.
Call: N.A.
12.50% Quarterly on 23rd June, 23rd
September,23rd December & 23rd
Put: N.A.
Call: N.A.
18.00% Quarterly
1st July
N.A.
8.10% On Maturity
(24th February, 2002)
3 Working days notice period and to be
exercised after a minimum period of
13.00% Yearly
1st May
20th May, 2004
12.35% Annually
1st June
Put/Call : 31st May, 2005
9.20% Annually -
14th October
N.A.
9.20% Annually
14th October
N.A.
12.50% Annually
1st July
N.A
11.25% Annually-1st December N.A.
9.50% Annually -
14th October
N.A.
9.50% Annually
14th October
N.A.
8.50% Annually, 27th January Put & Call: N.A.
11.50% Annually-1st December N.A.
15.25% Quarterly
1st Jan
N.A.
15% AT THE TIME OF CONVERSION OF CCD Put: NA
Call: NA
15% AT THE TIME OF CONVERSION OF CCD Put: NA
Call: NA
1 yr INBMK +250bps (Refer Remark) Semi Annually 15th May & 15th
November
Put:At the end of third year from the
date of allotment ie 15-11-08
9.00% Quarterly 15th Feb, 15th May, 15th
Aug & 15th Nov
Put:At the end of third year from the
date of allotment ie 15-11-08
6% ( YTM OF 11.57% annualized ) Monthly at the end of each month Put: NA
Call: NA
18.00% from 23rd June, 97 to 31st
May, 2001
Quarterly
31st Mar
N.A.
20.00% from 2nd August, 96 to 31st
May, 2001
Quarterly
31st Mar
N.A.
11.50% 29th March, 2002, 01st July, 2002, 01st
Oct, 2002, 01st Jan, 2003 & 17th Jan,
N.A.
16.50% Quarterly
31st March, 30th June
N.A.
16.50% Quarterly
31st March, 30th June
N.A.
15.50% Quarterly
31st March, 30th June
N.A.
7.00% quarterly-31st March,30th June,30th
September & 31st December
None
ZERO COUPON NA Put: NA
Call: NA
ZERO COUPON NA Put: NA
Call: NA
NA NA Put: NA
Call: NA
10.20% Annually on 21st September Put:21/09/2009
Call:21/09/2009
10.42% Annually on 01st December & on
Maturity
Put: NA
Call: NA
8.50% On maturity
(01st December, 2002)
On 28th February, 2002
Zero Coupon NA Put: N.A.
Call: N.A.
7.25% Annually
1st April
N.A.
7.50% On maturity
31st August, 2005
N.A.
7.25% On maturity
31st August, 2005
N.A.
6.00% Annually, 28th September Put & Call:28th September, 2003
7.00% Annually
1st April
N.A.
7.25% On maturity
31st October, 2005
N.A.
7.00% On maturity
31st October, 2005
N.A.
7.00% On maturity
30th November, 2005
N.A.
6.50% On maturity
30th November, 2005
N.A.
6.25% Annually
1st April
N.A.
6.50% On maturity
31st December, 2005
N.A.
6.25% On maturity
31st December, 2005
N.A.
5.75% Annually, 1st April N.A.
5.75% On maturity, 31st January, 2006 N.A.
5.50% Annually, 1st April N.A.
5.50% On maturity : 31st January, 2006 N.A.
5.00% Annually, 1st April N.A.
5.00% On maturity, 31st January, 2006 N.A.
6.25% Annually, 1st April Put & Call: N.A.
6.25% On maturity, 31st January, 2006 Put & Call: N.A.
5.00% On maturity, 28th February, 2006 N.A.
5.50% Annually, 1st April Put & Call: N.A.
5.50% On maturity, 28th February, 2006 Put & Call: N.A.
5.70% Annually, 27th March Put & Call:27th April, 2004
5.00% Annually, 1st April Put & Call: N.A.
5.00% On maturity, 31st March, 2006 Put & Call: N.A.
5.00% Annually, 1st April Put & Call: N.A.
5.00% On maturity, 30th April, 2006 Put & Call: N.A.
5.50% One time payment of interest ie. 30th
April, 2004
Put & Call: N.A.
5.25% Annually, 1st June Put & Call: N.A.
5.25% On maturity, 31st May, 2006 Put & Call: N.A.
5.25% One time payment of interest, 31st
May, 2004
Put & Call: N.A.
5.25% Annually, 1st June Put & Call: N.A.
5.25% On maturity, 30th June, 2006 Put & Call: N.A.
5.50% On maturity, 30th June, 2006 Put & Call: N.A.
5.25% One time payment of interest, 30th
June, 2004
Put & Call: N.A.
5.25% Annually, 1st June Put & Call: N.A.
5.25% Maturity, 31st July, 2006 Put & Call: N.A.
5.50% On maturity, 31st July, 2006 Put & Call: N.A.
5.50% On Maturity 30th September 2006 Put & Call: N.A.
5.00% On Maturity 30th September 2006 Put & Call: N.A.
5.00% Annually, 1st June Put & Call: N.A.
5.00% On maturity, 31st December, 2006 Put & Call: N.A.
5.00% Annually, 1st June Put & Call: N.A.
5.00% On maturity, 28th February, 2007 Put & Call: N.A.
5.00% On maturity, 30th April, 2007 Put & Call: N.A.
7.50%(upto 36 months)
New Coupon Rate(applicable after 36
Annually
1st April
Both Bondholder & SIDBI will have the
Put/Call option at the end of 3rd year
7.25%(upto 36 months)
New Coupon Rate(applicable after 36
Annually
1st April
Both Bondholder & SIDBI will have the
Put/Call option at the end of 3rd year
7.50%(upto 36 months)
New Coupon Rate(applicable after 36
On maturity
31st August, 2007
Both Bondholder & SIDBI will have the
Put/Call option at the end of 3rd year
7.25%(upto 36 months)
New Coupon Rate(applicable after 36
On maturity
31st August, 2007
Both Bondholder & SIDBI will have the
Put/Call option at the end of 3rd year
13.00% 1 - 370 Half Yearly
Mar-16 & Sep-16
7.25%(upto 36 months)
New Coupon Rate(applicable after 36
On maturity
30th September, 2007
Both Bondholder & SIDBI will have the
Put/Call option at the end of 3rd year
7.50% Annually, 1st April Put & Call:At the end of 3 years ie on
30th Sept, 2005
7.25% On maturity
31st October, 2007
Both Bondholder & SIDBI will have the
Put/Call option at the end of 3rd year
7.00% On maturity
31st October, 2007
Both Bondholder & SIDBI will have the
Put/Call option at the end of 3rd year
7.25% Annually, 1st April Put & Call:At the end of 3 years on
31st October, 2005
7.00% Annually
1st April
Both Bondholder & SIDBI will have the
Put/Call option at the end of 3rd year
6.50% Annually
1st April
Both Bondholder & SIDBI will have the
Put/Call option at the end of 3rd year
7.00% On maturity
30th November, 2007
Both Bondholder & SIDBI will have the
Put/Call option at the end of 3rd year
6.50% On maturity
30th November, 2007
Both Bondholder & SIDBI will have the
Put/Call option at the end of 3rd year
6.50% Annually
1st April
Put & Call : 31st December, 2005
6.50% On maturity
31st December, 2007
Both Bondholder & SIDBI will have the
Put/Call option at the end of 3rd year
6.25% On maturity
31st December, 2007
Both Bondholder & SIDBI will have the
Put/Call option at the end of 3rd year
5.75% Annually, 1st April At the end of 3 years, 31st January,
2006
5.75% On maturity, 31st January, 2008 At the end of 3 years, 31st January,
2006
5.50% Annually, 1st April At the end of 3 years, 31st January,
2006
5.50% On maturity, 31st Jan, 2008 At the end of 3 years, 31st January,
2006
5.00% Annually, 1st April At the end of 3 years, 31st January,
2006
5.00% On maturity, 31st January, 2008 At the end of 3 years, 31st January,
2006
6.25% Annually, 1st April Put & Call:At the end of 3 years ie on
31st Jan, 2006
6.25% On maturity, 31st Jan, 2008 Put & Call:At the end of 3 years ie on
31st Jan, 2006
5.00% Annually, 1st April & on maturity Put & call-
At the end of 3 years, ie 28th
5.00% On maturity, 31st March, 2008 Put & Call:At the end of 3 years, ie on
31st March, 2006
5.00% On maturity, 30th April, 2008 Put & Call:At the end of 3 years ie on
30th April, 2006
5.25% On maturity, 30th June, 2008 Put & Call:At the end of 3 years on
30th June, 2006
5.50% Annually, 1st June Put & Call:At the end of 3 years ie on
30th June, 2006
5.50% On maturity, 30th June, 2008 Put & Call:At the end of 3 year ie on
30th June, 2006
5.25% Annually, 1st June Put & Call:At the end of 3 years, 31st
July, 2006
5.25% On maturity, 31st July, 2008 Put & Call:At the end of 3 years, 31st
July, 2006
5.50% Annually, 1st June Put & Call:At the end of 3 years, 31st
July, 2006
5.50% On maturity, 31st July, 2008 Put & Call:At the end of 3 years, 31st
July, 2006
5.50% On Maturity 31st Aug 2008 Put & Call:At the end of three years -
on 31st Aug 2006
5.50% On Maturity 30th September 2008 Put & Call:At the end of three years -
30th September 2006
5.00% On Maturity 30th September 2008 Put & Call:At the end of three years -
30th September 2006
5.00% On maturity, 31st October, 2008 Put & Call:At the end of 3 years on
31st October, 2006
5.00% Annually, 1st June & on maturity, 31st
October, 2008
Put & Call:At the end of 3 years on
31st October, 2006
5.00% Annually, 1st June Put & Call:At the end of 3 years ie on
30th November, 2006
5.00% On maturity, 30th November, 2008 Put & Call:At the end of 3 years ie on
30th November, 2006
5.00% Annually, 1st June Put & Call:At the end of 3 years ie on
31st Dec, 2006
5.00% On maturity, 31st December, 2008 Put & Call:At the end of 3 year ie on
31st Dec, 2006
5.00% Annually, 1st June Put & Call:At the end of 3 years ie. on
31st January, 2007
5.00% On maturity, 31st January, 2009 Put & Call:At the end of 3 years ie. on
31st January, 2007
5.00% Annually, 1st June Put & Call:At the end of 3 years on
February 28, 2007
5.00% On maturity, 28th February, 2009 Put & Call:At the end of 3 years on
February 28, 2007
5.00% Annually, 1st June Put & Call:At the end of 3 years on
31st March, 2007
5.00% On maturity, 31st March, 2009 Put & Call:At the end of 3 years on
31st March, 2007
5.50% Cumulative on 31st March 2009 Put: N.A.
Call: N.A.
5.25% Annually 01-6-2005, 01-6-2006, 01-6-
2007, 01-6-2008, 01-6-2009, 31-12-
Put:At the end of three years - on
December 31, 2007
5.25% Cumulative -31/12/2009 Put:At the end of three years On
December 31, 2007
5.35% Annually 01/06/2005, 01/06/2006,
01/06/2007, 01/06/2008, 01/06/2009,
Put:At the end of three years -On
December 31, 2007
5.35% Put:At the end of three years on
December 31, 2007
5.40% Annually on 1st June Put:At the end of 3 years -On February
28, 2008
5.40% Cummulative 28.02.2010 Put:At the end of 3 years -On February
28, 2008
5.50% Annually on 01st June and on
28/02/2011
Put:At the end of three years on
February 28 2009
5.50% Cummulative on 28/02/2011 Put:At the end of three years on
February 28, 2009
5.43 % (compounded semi annually) On 28/02/2011 Put:At the end of three year on
February 28 2009
5.30% Annually 01st June & on Maturity ie 31-
5-2012
Put:May 31,2010
Call:May 31, 2010
5.30% Cummulative 31-5-2012 Put:May 31, 2010
Call:May 31, 2010
Zero Coupon (Refer remark) NA Put: N.A.
Call: N.A.
6.00% Quarterly on 01st April;01st July;01st
October & 01st January
Put: N.A.
Call: N.A.
14.50% Half Yearly
1st Feb
N.A
11.25% Monthly at the end of each month Put: N.A.
Call: N.A.
11.00% Semi annually on 30th September &
31st March
Put: N.A.
Call: N.A.
11.25% Semi annually on 30th September &
31st March
Put: N.A.
Call: N.A.
9.00% Monthly on 31st Put: N.A.
Call: N.A.
10.75% 03/08/2013, 03/08/2014 Put: NA
Call: NA
11.35% ON MATURITY Put: NA
Call: NA
Mibor + 25bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
Mibor + 10bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
Mibor + 100bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
Mibor + 100bps On maturity or on exercise of put/call
option
Put: N.A.
Call: N.A.
MIBOR + 10bps On maturity or on exercise of put/call
option
Put: N.A.
Call: N.A.
Mibor + 25bps On maturity or on exercise of put/call
option
Put:Daily
Mibor + 200bps On maturity or on exercise of put/call
option
Put:Daily
Mibor + 150bps On maturity or on exercise of put/call
option
Put:Daily
Mibor + 125bps On maturity or on exercise of put/call
option
Put:Daily
Mibor + 180bps On maturity or on exercise of put/call
option
Put:Daily
Mibor + 100bps On maturity or on exercise of put/call
option
Put:Daily
NSE O/N Mibor On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
NSE O/N Mibor On maturity or on exercise of put/call
option
Put:Daily
NSE O/N Mibor + 5bps On maturity or on exercise of put/call
option
Put:Daily
NSE O/N Mibor + 15bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
NSE O/N Mibor + 25bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
NSE O/N Mibor + 15bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
NSE O/N Mibor + 10bps On maturity or on exercise of put/call
option
Put:Daily
Mibor + 50bps On maturity or on exercise of put/call
option
Put:Daily
Mibor + 75bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
NSE O/N Mibor + 300bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
8.50% On maturity Put: N.A.
Call: N.A.
NSE Mibor + 50bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
NSE Mibor + 10bps On maturity or on exercise of put/call
option
Put:Daily
NSE Mibor + 25bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
NSE Mibor + 25bps On maturity or on exercise of put/call
option
Put:Daily
NSE Mibor + 10bps On maturity or on exercise of put/call
option
Put:Daily
NSE Mibor + 45bps On maturity or on exercise of put/call
option
Put:Daily
NSE Mibor + 25 bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
NSE Mibor + 45bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
NSE Mibor + 10bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
NSE Mibor + 25bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
NSE Mibor + 45bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
Put: N.A.
Call: N.A.
Put: N.A.
Call: N.A.
Put: N.A.
Call: N.A.
Put: N.A.
Call: N.A.
Mibor + 10bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
Mibor + 10bps On maturity or on exercise of put/call
option
Put:Daily
NSE Mibor On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
NSE Mibor On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
NSE Mibor + 10bps On maturity or on exercise of put/call
option
Put:Daily
NSE MIBOR + 20bps On Maturity or on exercise of Put/Call
option
Put:Daily
Call:Daily
NSE MIBOR + 10bps On Maturity or on exercise of Put/Call
option
Put:Daily
Call:Daily
NSE MIBOR + 20bps On maturity or on exercise of Put/Call
option
Put:Daily
Call:Daily
NSE Mibor + 10bps On Maturity or on exercise of Put/Call
option
Put:Daily
4.00% On maturity or on exercise of put/call
option
Put:Can be on any day after 10th
March,2010
NSE Mibor + 25bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
NSE Mibor + 25bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
NSE Mibor + 25bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
Nse Mibor + 25bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
Mibor + 10bps On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
Mibor + 10bps On maturity or on exercise of put/call
option
Put:Daily
Mibor + 10bps On maturity or on exercise of put/call
option
Put:Daily
Mibor + 10bps On maturity or on exercise of put/call
option
Put:Daily
Mibor + 10bps On maturity or on exercise of put/call
option
Put:Daily
NSE Mibor On maturity or on exercise of put/call
option
Put:Daily
Call:Daily
NSE Mibor + 15bps On maturity or on exercise of put/call
option
Put:Daily
8.10% On 23/03/2011 & 15/09/2011 Put: N.A.
Call: N.A.
1.50% above SBI PLR Half-yearly on 30th Sept & 31st March. N.A.
10.60% Quarterly on 23rd December, 23rd
March, 23rd June, 23rd September
Put: NA
Call: NA
7.20% Annually on first April each year Put: N.A.
Call: N.A.
11.5% Annually 15th April Put & Call : N.A.
11.00% YEARLY. 01st August NA
12.10% YEARLY. 12th March NA
10.00% Annually
6th August
Call Option : 3rd February, 2003
ZERO COUPON NA Put: NA
Call: NA
ZERO COUPON NA Put: NA
Call: NA
ZERO COUPON NA Put: NA
Call: NA
9.95% ANNUALLY ON 01/08/2013,
01/08/2014
Put: NA
Call: NA
9.85% ANNUALLY 01/10/2013, 01/10/2014 Put: NA
Call: NA
10.30% ON MATURITY Put: NA
Call: NA
10.10% Annually on 29/10/2012, 28/10/2013
& on Maturity
Put: NA
Call: NA
10.70% ON MATURITY Put: NA
Call: NA
10.70% ON MATURITY Put: NA
Call: NA
10.60% Annually on 04/06/2012,03/06/2013 &
03/06/2014
Put: NA
Call: NA
10.70% On maturity Put: NA
Call: NA
10.70% Annually on 06th June Put: NA
Call: NA
13.00% Quarterly on 1st January, 1st April, 1st
July, 1st October
Put: N.A.
Call: N.A.
6.90% Annually - 29th september Put & Call: N.A.
8.90% Annually, 31st Dec Put & Call: N.A.
12.90% Annually
10th January
Put/Call
09th January, 2005
13.50% Half Yearly
15th June & 15th Dec
N.A.
12.00% Annually
15th October
Put/Call : 15th October, 2006
11.00% Annually , On 15th November Put & Call:on 15th November,2007
13.25% Annually
15th Sept
Put/Call : 15th Sept, 2007
11.25% QUARTERLY ON 1ST MARCH, 1ST JUNE,
1ST SEPTEMBER, 1ST DECEMBER
Put:05/09/2012
Call:05/09/2012
10.5% ANNUALLY ON 1ST OF MARCH EVERY
YEAR
Put: NA
Call: NA
10.5% ON MATURITY OR REDEMPTION Put: NA
Call: NA
9.75% QUARTERLY ON 01ST MARCH, 01ST
JUNE, 1ST SEPTEMBER, 01ST
Put: NA
Call: NA
8.60% Annually on 23rd August and on
Maturity
Put: N.A.
Call: N.A.
ZERO COUPON NA Put: NA
Call: NA
11.00% Monthly on 1st of every month except
the first interest payment which shall
Put:05/03/2012
Call:05/03/2012
12.00% Annually on 1st March. 1st Interest
payment shall be made on 01/03/2010
Put:05/03/2012
Call:05/03/2012
12.00% On maturity Put:05/03/2012
Call:05/03/2012
ZERO COUPON NA Put: NA
Call: NA
7.00% Annually on 29th December Put: N.A.
Call: N.A.
11.00% Annually- 05th December Put & call-05th Dec,2003
5.00% Annually on 30th November Put: N.A.
Call:Any time after 30/11/2012
ZERO COUPON NA Put: NA
Call: NA
ZERO COUPON NA Put: NA
Call: NA
17% MONTHLY ON 7TH OF EVERY
MONTH.LAST INTEREST WILL BE PAID
Put: NA
Call: NA
17% 7TH OF EVERY MONTH STARTING FROM
07/09/12. LAST INTEREST WILL BE
Put: NA
Call: NA
Zero Coupon N.A. N.A.
Zero Coupon N.A. Put & Call: N.A.
12.00% On maturity Put:Communication in writing should
be reached latest by 2.30 pm on
7.00% On maturity Put:Communication in writing should
be reached latest by 2.30 pm on
7.00% Annally, 1st April Put & Call: N.A.
N.A. N.A. N.A.
12.50% Annually
1st January
Put/Call : 1st July, 2002 & 1st
January, 2004
13.50% Annually-25th November N.A.
13.50% Annually-25th November N.A.
13.00% half Yearly-31st January & 31st July N.A.
6.00% Annually on May 08 Put: N.A.
Call: N.A.
12.85% Annually
31st December
N.A
13.85% Half Yearly
14th Feb & 14th August
Put/Call : 30th Sept, 2004
13.40% Half Yearly
15th May & 15th Nov
Put/Call : 21st February, 2005
13.75% Half Yearly
15th March & 15th Sept
Put/Call : 14th January, 2006
13.75% Half Yearly
15th March & 15th Sept
Put/Call : 30th March, 2006
13.00% Half Yearly
10th April & 10th Oct
Put/Call : 29th March, 2007
13.00% Half Yearly
15th April & 15th Oct
Put/Call : 10th January, 2007
13.00% Annually
31st March
N.A
13.00% Annually
31st March
N.A
8.00% Half yearly 25th Sept & 25th March Put: N.A.
Call: N.A.
8.00% Half Yearly 11th August & 11th Feb Put: N.A.
Call: N.A.
8.00% Semi Annually, 25th Sep and 25th Mar Put: N.A.
Call: N.A.
14.50% Annually
13th March
N.A.
9.65% Annually
9th November
N.A.
NA NA Put: NA
Call: NA
6.75% Annually on 12th May Put: N.A.
Call: N.A.
10.75% Quarterly
31st March,
N.A.
15.75% Half Yearly, 1st July & 1st January Put & call-
3rd April, 2003
15.75% Half Yearly, 1st July & 1st January Put & call-
29th March, 2003
15.75% Half Yearly, 1st July & 1st January Put & call-
30th March, 2003
15.00% Half Yearly, 1st July & 1st January Put & call-
23rd March, 2004
13.60% Half Yearly, 1st March & 1st Sept N.A.
13.00% Half Yearly 1st March & 1st Sept Put & call-26th March, 2005
10.90% Half Yearly, 1st April & 1st October Put:10/07/2007
Call:10/07/2007
11.30% Half Yearly, 1st April & 1st October Put:07/04/2009
Call:07/04/2009
11.60% Half Yearly, 1st April & 1st October Put:01/08/2012
Call:01/08/2012
11.60% Half Yearly, 1st April & 1st October Put:15/04/2012
Call:15/04/2012
NSE O/N Mibor + 30bps On maturity or exercise of put/call
option,whichever is earlier
Put:Daily subject to notice of one day
(T+1) basis for exercise of option,
NSE O/N MIBOR+25 bps On Maturity or exercise of put/call
option whichever is earlier
Put:Daily subjest to notice of same
business day for exercise of option,
2.00% Annually July 7th Put: N.A.
Call: N.A.
NSE Mibor + 600bps (Floor : 7.95% and
Cap : 8.00%)
On maturity Put: N.A.
Call: N.A.
NSE Mibor + 600bps (Floor : 6.95% and
Cap : 7.00%)
On maturity Put: N.A.
Call: N.A.
10.67% Quarterly on 29th June,29th
September,29th December & 29th
Put: N.A.
Call: N.A.
7.25% Annually 31st March Put: N.A.
Call: N.A.
12.00% Annual starting from 22nd Dec 2000 N.A.
11.00% Quarterly on 30th June , 30th
September,31st December & 31st
Put: N.A.
Call: N.A.
11.00% Quarterly on 30th June , 30th
September,31st December & 31st
Put: N.A.
Call: N.A.
11.00% Quarterly on 30th June , 30th
September,31st December & 31st
Put: N.A.
Call: N.A.
11.00% Quarterly on 30th June , 30th
September,31st December & 31st
Put: N.A.
Call: N.A.
16.75% Quarterly on 21st April, 21st July, 21st
October, 21st January
Put: NA
Call:at end of 12 month from date of
16.75% Quarterly on 04th May, 04th August,
04th November, 04th February
Put: NA
Call:at end of 12 month from date of
16.75% Quarterly on 1st June, 1st September,
1st December, 1st March
Put: NA
Call:at end of 12 month from date of
16.75% Quarterly on 1st June, 1st September,
1st December, 1st March
Put: NA
Call:at end of 12 month from date of
16.75% Quarterly on 20th July, 20th October,
20th January, 20th April
Put: NA
Call:at end of 12 month from date of
16.75% Quarterly on 11th August, 11th
November, 11th February, 11th May
Put: NA
Call:at end of 12 month from date of
6.00% Annually, 15th January Put & Call: N.A.
14.00% Half Yearly 06th June & 06th
December
Put: N.A.
Call: N.A.
9.50% Half Yearly, 15th July & 15th January Put & Call:15th January, 2005
11.50% Half Yearly 08th February & 08th
August
Put: N.A.
Call: N.A.
11.50% Half Yearly 18th January & 18th July Put: N.A.
Call: N.A.
11.50% Half Yearly 27th June and 27th
December
Put: N.A.
Call: N.A.
11.50% Half Yearly 14th May & 14th Nov Put: N.A.
Call: N.A.
10.82% Half Yearly 07th Feb & 07th August Put: N.A.
Call: N.A.
8.30% Half Yearly, 20th Aug & 20th Feb Put & Call: N.A.
7.92% Half Yearly, 25th Jan & 25th July Put & Call: N.A.
6.75% Half Yearly, 26th Sept & 26th March Put & Call: N.A.
8.35% Half Yearly 20th June & 20th
December
Put & call : N.A.
RESET RATE (REFER REMARK) ANNUALLY ON 31ST MARCH & ON
MATURITY
Put: NA
Call: NA
Zero Coupon N.A. Put & Call: N.A.
10.75% Monthly on last day of every month Put: N.A.
Call: N.A.
12.00% Annually
8th November
Put/Call : 8th November, 2006
11.00% Annually, 15th May Put & Call:19th May, 2008
12.25% Annually
8th November
Put/Call : 8th November, 2008
12.25% & B.M. + M.U Annually
8th November
Put/Call : 8th November, 2008
11.25% Annually, 15th January Put & Call:15th January, 2010
12.50% Annually
8th November
Put/Call : 8th November, 2011
11.25% Annually, 15th May Put & Call:19th May, 2010
11.00% Annually-31st March N.A.
Zero Coupon NA Put: N.A.
Call: N.A.
16.00% On maturity Put: N.A.
Call:Daily with 30days prior notice
16.00% On maturity Put: N.A.
Call:Daily with 30days prior notice
11.00% Half Yearly
23rd January &
N.A.
11.00% Half Yearly
30th Sept & 31st March
N.A.
12.30% Half Yearly
18th Sept & 18th March
N.A.
6.75% Half Yearly, 28th March & 28th Sept Put & Call: N.A.
8.50% Semi Annually on 18th October & 18th
April
Put:After 5 years from the allotment
date i.e. 18th April,2012
8.25% Half Yearly, 30th Sept & 31st March Put & call : 27th May, 2011
11.35% Half Yearly, 31st Mar & 30th Sept Put & Call:19th March, 2008 (at the
close of business)
11.85% Half Yearly, 31st March & 30th
September
Put & Call: N.A.
12.60% Annually, 20th May 20th May, 2012
12.00% Half Yearly
1st January &
N.A.
17.50% Quarterly, 31st March, 30th June, 30th
Sept & 31st Dec
N.A.
8.00% On maturity Put:Daily
Call:Daily
Certificate Nos/(Dist/ NO) from-To Registrar with BP Id No. Address where Physical Securities is
to be sent
1 (1 to 400) & 2 (401-800) Sharepro Services (India)Pvt.Ltd.
IN200043
Mr Davendra Singh
Company Secretary
001 to 0001 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Ms. Anuradha B. Somani
Executive Director
1 to 2000 LINK INTIME INDIA PRIVATE LIMITED
IN200094
Mr. R. S. Reddy
Company Secretary
1 ; 1 -1000 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. R. S. Reddy
Company Secretary
Cert No. 1
Dist Nos : 1 to 11,47,000
Intime Spectrum Registry Pvt. Ltd.,
(IN200094)
Mr. Pradumna Kanodia
Company Secretary
001-0100 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. L. Vednarayanan
Whole Time Director
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Sanjeev Nandu
Chief Executive
Certificate Range - 97870 - 28625545 UTI INVESTOR SERVICES
IN200631
Mr. J.P. Singh
Dy. General Manager
N.A. UTI INVESTOR SERVICES
IN200631
Mr. Prakash Bajaj
Vice President
1-8 (1-10000) MCS Ltd.
(IN200019)
Mr. Hari Singh Gahlot.
Senior Manager R & T.
00001-1210500 IN200800
KARVY COMPUTERSHARE-4
Mr. P.A.Varghese
Zonal Head
NA MCS LTD
IN200424
Mr. Barinder Singh Maur
Company Secretary
0000001 to 1000000,1000001 to
1800000
Intime Spectrum Registry pvt ltd(Bp Id
IN200094
Mr.Kishore Thakkar,
Direstor,
0000001 to 2000000 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. K.H. Gopal
Vice President (Legal) & Co Secretary
001-250 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr Suryanarayana Raju
Director
251-500 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr Suryanarayana Raju
Director
0501-1400 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr Suryanarayana Raju
Director
1401-2175 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr Suryanarayana Raju
Director
Cert No. 002
Dist Nos : 001 to 1,00,000
Cameo Corporate Services Ltd
(IN200176)
Mr. S. Gopalan
General Manager
43001 to 63000 MCS LTD, MUMBAI
IN200019
Mr. Rajesh Satardekar/Mr. Ayan
Chakraborty
001/ 0000001 to 0000013 KARVY
IN200035
Mr. S. Ravindra Kumar
DGM - Finance & Operations
352 - 356 Same as above Same as above
7487 to 7499 Same as above Same as above
30606 - 30629
49691 - 50505
Same as above Same as above
24121 to 24122, 39893 to 40335 Same as above Same as above
Karvy Consultants ltd/(IN200035) Same as above
Karvy Consultants ltd/(IN200035) Same as above
Karvy Consultants ltd/(IN200035) Same as above
Karvy Consultants ltd/(IN200035) Same as above
(12292 - 12616
12759 - 24345)
Karvy Consultants ltd/(IN200035) Same as above
(1 - 20000
77360 - 77388
Karvy Consultants ltd/(IN200035) Same as above
Karvy Consultants ltd/(IN200035) Same as above
Karvy Consultants ltd/(IN200035) Same as above
1 to 449, 6854 to 28485 KARVY
IN200035
Mr. V.K.Jayaraman
Asst/General Manager
1 to 5, 22 to 1840, 9279 to 124466 KARVY CONSULTANTS LIMITED
IN200035
Mr. V.K.Jayaraman
Asst/General Manager
7278 to 7288, 7297 to 8704, 18801 to
49522
KARVY CONSULTANTS LIMITED
IN200035
Mr. V.K.Jayaraman
Asst/General Manager
18623 - 21500 Same as above Same as above
25749-25756 Same as above Same as above
Karvy Consultants ltd/(IN200035) Same as above
5042 to 5112, 5132 to 18206, 25735 to
29838
KARVY
IN200035
Mr. V.K.Jayaraman
Asst/General Manager
12333 - 12351
14690 - 17093
Same as above Same as above
326 - 330
5043 - 7508 **
Same as above Same as above
6112 to 6266 Same as above Same as above
40336 to 40351 Same as above Same as above
Karvy Consultants ltd/(IN200035) Same as above
106297 to 106343
106344 to 107243
Same as above Same as above
Karvy Consultants ltd/(IN200035) Same as above
Karvy Consultants ltd/(IN200035) Same as above
108 to 128
2076 to 2555
Same as above Same as above
5560 to 5580
15095 to 17447
Same as above Same as above
(408 - 458
5169 - 5889)
Karvy Consultants ltd/(IN200035) Same as above
(12617 - 12639
24346 - 26123)
Karvy Consultants ltd/(IN200035) Same as above
(77369 - 77378
78564 - 79180)
Karvy Consultants ltd/(IN200035) Same as above
25757 - 25809 Same as above Same as above
(81053 - 81112
84003 - 84584
Karvy Consultants ltd/(IN200035) Same as above
331 - 351
7509 - 9961
Same as above Same as above
9962 - 9970 Same as above Same as above
21 to 38
6267 to 7406
Same as above Same as above
39 to 41 7500 to 8212 Same as above Same as above
9763 to 9765, ** 20196 to 21002 Same as above Same as above
Karvy Consultants ltd/(IN200035) Same as above
30634 - 30638 **
50532 - 50562
Same as above Same as above
24123 to 24126
40352 to 40556
Same as above Same as above
Karvy Consultants ltd/(IN200035) Same as above
Karvy Consultants ltd/(IN200035) Same as above
1 to 43 Same as above Same as above
Karvy Consultants ltd/(IN200035) Same as above
38262 to 38581, 42094 to 60600 KARVY
IN200035
Mr. V.K.Jayaraman
Asst/General Manager
1 to 16400 KARVY
IN200035
Mr. V.K.Jayaraman
Asst/General Manager
1st February KARVY CONSULTANTS LIMITED
IN200035
Mr. V.K.Jayaraman
Asst/General Manager
1 to 37000 KARVY
IN200035
Mr. V.K.Jayaraman
Asst/General Manager
(459 - 738
5890 - 12291)
Karvy Consultants ltd/(IN200035) Same as above
(12640 - 12758
5890 - 12291)
Karvy Consultants ltd/(IN200035) Same as above
N.A. KARVY
IN200035
Mr. V. Mahesh
Vice President Karvy Consultants Ltd.
N.A. XL Softech Systems Ltd.
(IN200529)
Same as above
N.A. XL Softech Systems Ltd.
(IN200529)
Same as above
1 to 282,
314 to 5172,
KARVY
IN200035
Mr. V. Mahesh
Vice President
283 to 313, 5173 to 12874, 25601 to
56803
KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V. Mahesh
Vice President
1 to 61
1 to 2000
AXC Computers Pvt. Ltd.(IN200297) Mr. D. Bose
Company Secretary/Secretarial
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. MANOJ JAIN
DIRECTOR
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. VIKAS KEDIA
COMPANY SECRETATY
1,1-500000 MCS
IN200019
Mr.Digish Shah
Manager-Secretarial
531 - 555 SAME AS ABOVE SAME AS ABOVE
N.A Integrated Enterprises (India)
Limited.(IN200264)
Ms. Sudha Sreenivasan
Executive - Treasury
Cert No. 101 to 105
106 to 120
Integrated Enterprises (India)
Limited.(IN200264)
Ms. Sudha Sreenivasan
Executive - Treasury
N.A Integrated Enterprises (India)
Limited.(IN200264)
Ms. Sudha Sreenivasan
Executive - Treasury
N.A Same as above Same as above
URNCDs/4/2008-2009-01 to
URNCDs/4/2008-2009-10
INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. R.D. Goradia
Sr. Vice President & Company
URNCDs/4/2008-2009-11 to
URNCDs/4/2008-2009-20
INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. R.D. Goradia
Sr. Vice President & Company
URNCDs/4/2008-2009-21 to
URNCDs/4/2008-2009-30
INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. R.D. Goradia
Sr. Vice President & Company
URNCDs/4/2008-2009-31 to
URNCDs/4/2008-2009-40
INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. R.D. Goradia
Sr. Vice President & Company
URNCDs/4/2008-2009-41 to
URNCDs/4/2008-2009-50
INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. R.D. Goradia
Sr. Vice President & Company
2/ 327 - 959 ,5/1128-1165,9/1222-
1270,13/1303-1344,16/1376-1418
IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. M.V.SASIKANTHAN
SVP(LEGAL) & COMPANY SECRETARY
NA ALPHA SYSTEMS PVT. LTD.
IN200248
Mr. S. H. Sundara
00001-642000 IN200800
KARVY COMPUTERSHARE-4
Mr. P.A.Varghese
Zonal Head
1 - 400 IN200504
BEETAL FINAN.AND COMPU.
Mr. Punit Mittal
Manager
001-9328992 IN200248
INTEGRATED ENTP.(I) LTD, BANGALORE
MR. S VIJAYAGOPAL
ASST. VICE PRESIDENT
1-7900000 IN200248
INTEGRATED ENTP.(I) LTD, BANGALORE
MR. S VIJAYAGOPAL
ASST. VICE PRESIDENT
01-2100000 IN200248
INTEGRATED ENTP.(I) LTD, BANGALORE
MR. S VIJAYAGOPAL
ASST. VICE PRESIDENT
1 - 5000 IN200248
INTEGRATED ENTP.(I) LTD, BANGALORE
MR. S VIJAYAGOPAL
ASST. VICE PRESIDENT
1 to 5248365 Bajaj Auto Ltd.
IN100132
Mr. Suhas Patwardhan
Company Secretary
1 - 50 ( 1 - 500 ) IN200800
KARVY COMPUTERSHARE-4
MR. ALOK SHARMA
GENERAL MANAGER
1 (1 - 6 ) IN200800
KARVY COMPUTERSHARE-4
MR. ALOK SHARMA
GENERAL MANAGER
1 to 25 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. Dilip Sawant
Sr. Manager - Depository
1 to 45 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. Dilip Sawant
Sr. Manager - Depository
1 to 50 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. Dilip Sawant
Sr. Manager - Depository
1 to 100 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. Dilip Sawant
Sr. Manager - Depository
1 to 200 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.R. Rao
Managing Partner
Dist. No. 1-85 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.R. Rao
Managing Partner
0001; 0001 to 1200 ADROIT CORPORATE SER.
IN200607
Mr.Sadashiva Shetty
Director
N.A. RCMC SHARE REGISTRY
IN200301
Mr. Manoj Chaturvedi
Director
001-500 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. Suryanarayana Raju
501-950 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. Suryanarayana Raju
951-1400 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. Suryanarayana Raju
2176-2675 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. Suryanarayana Raju
1 to 3000 KARVY
IN200035
Mr. V.K. Jayaraman
Asst. General Manager
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. AVINASH AHIREKAR
VICE PRESIDENT
NA INVESTOR SERV OF INDIA
IN200553
Mr. Jaideep Khanna
Director
NA LINK INTIME INDIA PRIVATE LIMITED
IN200094
Mr. Pankaj Dhandhania
Associate Director
NA LINK INTIME INDIA PRIVATE LIMITED
IN200094
Mr.Pankaj Dhandhania
Vice President
na CB MGMT SERV PVT. LTD
IN200221
Mr. Sujyoti Mukherjee
General Manager -Finance & Accounts
na CB MGMT SERV PVT. LTD
IN200221
Mr. Sujyoti Mukherjee
General Manager -Finance & Accounts
na CB MGMT SERV PVT. LTD
IN200221
Mr. Sujyoti Mukherjee
General Manager -Finance & Accounts
NA CB MGMT SERV PVT. LTD
IN200221
Mr. Sujyoti Mukherjee
General Manager -Finance & Accounts
001/00001-980000 IN200800
KARVY COMPUTERSHARE-4
Mr. P.A.Varghese
Zonal Head
1-700 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr U A Patel
Chief General Manager
1-19 / (01-26926175) IN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh Jadhav
Asst. Vice President
W (1-1000) RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr. O.P. Davra
Company Secretary
NA MCS,KOLKATA
IN200328
Mr. Girish sharma
Vice President & Company Secretary
NA MCS,KOLKATA
IN200328
Mr. Girish sharma
Vice President & Company Secretary
NA MCS,KOLKATA
IN200328
Mr. Girish sharma
Vice President & Company Secretary
NA MCS,KOLKATA
IN200328
Mr. Girish sharma
Vice President & Acting Company
NA KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr Sushil Agarwal
Director
NA KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr Sushil Agarwal
Director
NA KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr Sushil Agarwal
Director
N.A. Karvy Consultants Ltd.
(IN200035)
Mr. Rakesh T. Desai
Director
1 ; 1 - 1000000 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. Akhilesh Soni
Company Secretary
1 - 2000 IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. VIKAS ARORA
COMPLIANCE OFFICER & COMPANY
00000001-30000000 KARVY COMPUTERSHARE PVT LTD.-4
IN200800
Mr. M.R.V. Subrahmanyam
Deputy General Manager
00000001 - 20000000 KARVY COMPUTERSHARE PVT LTD.-4
IN200800
Mr. M.R.V. Subrahmanyam
Deputy General Manager
001 ; 0000001-6545000 DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LT
MR. PULAK BANERJEE
COMPANY SECRETARY
(0000001 to 5000000) M/s.Sharepro Services(IN 200043) B.K.Guha,
Asst.Manager-Share Registry
1 to 23890163 Sharepro Services (India)Pvt.Ltd.
IN200043
MS. INDIRA KARKERA
GENERAL MANAGER
01-35 KARVY RIL
IN200078
Mr. K.V.S. Sastry
Addl.General Manager & Company
36-100 KARVY RIL
IN200078
Mr. K.V.S. Sastry
Addl.General Manager & Company
1 to 5000 KARVY RIL
IN200078
Mr.S. Venkatachalam
Karvy Consultants Ltd.
1 to 5000 KARVY RIL
IN200078
Mr.S. Venkatachalam
Karvy Consultants Ltd.
1 to 80(1 to 4000) MCS Limited,Mumbai(IN200019) Shri Dinesh Menghrajani,
Senior Manager,
1 to 21(1 to 2000) MCS Limited,Mumbai(IN200019) Shri Dinesh Menghrajani,
Senior Manager,
000001 - 240723/(0000001 - 1362182) MCS Limited(IN200019) Mr. R.S. Kabra,
Manager ( Share Department),
001 to 100 TSR DARASHAW LIMITED
IN200125
MR.VIVEKANANDA NAYAK U
Company Secretary
na CAMEO CORPORATE SERVICES LTD
IN200176
Mr. R.D. Ramasamy
General Manager
1 - 1500 IN200035
KARVY COMPUTERSHARE
Ms. P. Sujatha
Company Secretary
NA E-SERVE INTL
IN200377
Ms. Swati Kulkarni
Assistant Vice President
NA E-SERVE INTL
IN200377
Ms. Swati Kulkarni
Assistant Vice President
NA E-SERVE INTL
IN200377
Ms. Swati Kulkarni
Operations & Technology Head
Refer issuer for further detail E-SERVE INTL
IN200377
Ms. Swati Kulkarni
Operations & Technology Head
NA IN100526
CITICORP FINANCE INDIA LIMITED
MR. SATCHID SARGAONKAR
OPERATION & TECHNOLOGY HEAD
NA IN100526
CITICORP FINANCE INDIA LIMITED
MR. SATCHID SARGAONKAR
OPERATION & TECHNOLOGY HEAD
NA IN100526
CITICORP FINANCE INDIA LIMITED
Ms. Swati Kulkarni
Operations & Technology Head
NA E-SERVE INTL
IN200377
Ms. Swati Kulkarni
VP Operations
NA E-SERVE INTL
IN200377
Ms. Swati Kulkarni
VP Operations
NA E-SERVE INTL
IN200377
Ms. Swati Kulkarni
VP Operations
NA E-SERVE INTL
IN200377
Ms. Swati Kulkarni
VP Operations
NA E-SERVE INTL
IN200377
Ms. Swati Kulkarni
VP Operations
NA CITICORP FINANCE INDIA LIMITED
IN100526
Ms. Swati Kulkarni
VP Operations
00001-348500 IN200800
KARVY COMPUTERSHARE-4
Mr. P.A.Varghese
Zonal Head
D001-D250 MAS SERVICES LTD.
IN200133
Mr Naveen Jain
Compliance Officer
001 to 1000 IN200800
KARVY COMPUTERSHARE-4
MR. ALOK SHARMA
GENERAL MANAGER
NA PINNACLE SHR REGY P LTD
IN200060
Mr.Gautam Shah
General Manager
N.A. Sharepro Services
(IN200043)
Mr. Roshan Gandhi
Sr. Manager - Finance & Taxation
NA IN200607
ADROIT CORPORATE SER.
Mrs. Veena S. Shetty
Adroit Corporate Services Pvt. Limited
ELN SR 8 - 001 TO ELN SR 8 - 053 IN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. GURMEET SINGH MISSION
COMPANY SECRETARY
1 ; 1 to 7926 KARVY COMPUTERSHARE PVT LTD.-4
IN200800
MR. GANPATHY SUBRAMANIAM
VICE PRESIDENT
Dist Nos : 000001 to 130000 CB Management Services Pvt. Ltd
(IN200221)
Same as above
72342/616776 to 962238 BIGSHARE SERVICES
IN200117
Mr. N.V.K. Mohan
Managing Director
NA IN200035
KARVY COMPUTERSHARE
Mr. V.Shankar
Company Secretary
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V. Lakshamana Chary
Company Secretary
NA IN200035
KARVY COMPUTERSHARE
Mr. V.Shankar
Company Secretary
NA KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. D. Giridhar Reddy
Company Secretary
NA KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. D. Giridhar Reddy
Company Secretary
NA KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. D. Giridhar Reddy
Company Secretary
1 TO 220 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.R. Rao
Managing Partner
1 to 150 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. Dilip Sawant
General Manager
1 to 100 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. Dilip Sawant
General Manager
1 to 100 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. Dilip Sawant
Deputy Manager
1 to 70 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. Dilip Sawant
Deputy Manager
1 TO 450 IN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Dilip Sawant
General Manager
16913 to 17912 SYSTEM SUPPORT SERVICES-SHR
IN200762
Mr. S.Y.Sankhe
Company Secretary
Cert No. U000032
Dist Nos : 25503 to 25537
IIT Corporate Services Ltd.(IN200150) Same as above
Cert No. N000112
Dist Nos : 25588 to 25607
IIT Corporate Services Ltd.(IN200150) Same as above
1 to 70000 MONDKAR COMPUTERS P.LTD
IN200512
MR. JAYESH ASHER
GENERAL MANAGER
LINK INTIME INDIA PRIVATE LIMITED
IN200094
MR. JAYESH ASHER
GENERAL MANAGER
CERT. NOS : 1 TO 9,000 IN200117
BIGSHARE SERVICES
MR. BOJIMON H.
ASST. GEN. MANAGER
NA Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. Narendra Gangan
Company Secretary & VP -Compliance
NA Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. Narendra Gangan
Company Secretary & VP -Compliance
N.A. Karvy Consultants Limited (BP Id
IN200035).
Ms. G. Jalaja
Company Secretary
1 to 2000 LINK INTIME INDIA PRIVATE LIMITED
IN200094
Mr. Shyam Kedia
Vice President
1 TO 1100 LINK INTIME INDIA PRIVATE LIMITED
IN200094
Mr. D P Jhawar
Sr Vice President
1 to 1000 LINK INTIME INDIA PRIVATE LIMITED
IN200094
Mr. D P Jhawar
Sr Vice President
1 TO 20000 LINK INTIME INDIA PRIVATE LIMITED
IN200094
Mr. D P Jhawar
Sr Vice President
NA LINK INTIME INDIA PRIVATE LIMITED
IN200094
Ms Preeti Chhabria
Company Secretary
NA LINK INTIME INDIA PRIVATE LIMITED
IN200094
Ms Preeti Chhabria
Company Secretary
NA LINK INTIME INDIA PRIVATE LIMITED
IN200094
Ms Preeti Chhabria
Company Secretary
NA LINK INTIME INDIA PRIVATE LIMITED
IN200094
Ms Preeti Chhabria
Company Secretary
NA LINK INTIME INDIA PRIVATE LIMITED
IN200094
Mr. D P Jhawar
Sr Vice President
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR.D P JHAWAR
SR VICE PRESIDENT
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
MS. PREETI CHHABRIA
COMPANY SECRETARY
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
MS. PREETI CHHABRIA
COMPANY SECRETARY
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR.D P JHAWAR
SR VICE PRESIDENT
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. NISCHAL KAPADIA
Asst. COMPANY SECRETARY/
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
MS. PREETI CHHABRIA
COMPANY SECRETARY
NA LINK INTIME INDIA PRIVATE LIMITED
IN200094
Mr. D P Jhawar
Sr Vice President
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR.D P JHAWAR
SR VICE PRESIDENT
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
MS. PREETI CHHABRIA
COMPANY SECRETARY
1 to 3000 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
MR. D.P. JHAWAR
FINANCIAL CONTROLLER
1 to 1000 LINK INTIME INDIA PRIVATE LIMITED
IN200094
Mr.D P Jhawar
Sr Vice President
NA INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr B Renganathan
Company Secretary
Cert no- 1 Dist. no- 1 - 18000000 LINK INTIME INDIA PRIVATE LIMITED
IN200094
Mr.D P Jhawar
Sr Vice President
1-15 / 1-1500 Karvy Consultants Limited (BP Id
IN200035).
Ms. G. Jalaja
Company Secretary
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. S.P. Date
Company Secretary
001 - 010 Maheswari Datamatics Pvt.
Ltd.(IN200369)
Ramesh Kumar Laddha,
Sr.Manager(F & A),
01 to 05 Maheswari Datamatics Pvt.
Ltd.(IN200369)
Mr. Ramesh Kumar Laddha,
Sr.Manager(F & A),
01 to 10 Maheswari Datamatics Pvt.
Ltd.(IN200369)
Mr. Ramesh Kumar Laddha,
Sr.Manager(F & A),
01 to 05 Maheswari Datamatics Pvt.
Ltd.(IN200369)
Mr. Ramesh Kumar Laddha,
Sr.Manager(F & A),
1-9 MAHESHWARI DATAMATICS LTD.
IN200369
Mr.R. S.Jhawar
Director
DIST NO- 626 TO 1250 IN200800
KARVY COMPUTERSHARE-4
MR. ALOK SHARMA
GENERAL MANAGER
DIST NO- 1876 TO 3750 IN200800
KARVY COMPUTERSHARE-4
MR. ALOK SHARMA
GENERAL MANAGER
For Allot dt 08/04/2009:001 to
30000000; For Allot dt 23/04/2000:1 to
KARVY COMPUTERSHARE PVT LTD.-4
IN200800
MR. GANAPATHY SUBRAMANIAM
VICE PRESIDENT
NA MAHESHWARI DATAMATICS LTD.
IN200369
Mr Girija Chaudhary
CFO
NA BEETAL FINAN.AND COMPU.
IN200504
MR. VAIBHAV BHARANA
DIRECTOR
NA IN200504
BEETAL FINAN.AND COMPU.
MR. VAIBHAV BHARANA
DIRECTOR
II/01-II/03 (II/01 - II/1200) BEETAL FINAN.AND COMPU.
IN200504
MR.RAJIV KUMAR
Company Secretary
II/01 - II/04 (II/01 - II/800) BEETAL FINAN.AND COMPU.
IN200504
MR.RAJIV KUMAR
Company Secretary
NA BEETAL FINAN.AND COMPU.
IN200504
Ms. Gunjan Singh
Company Secretary
III/01-III/03 (III/01 - III/1800) BEETAL FINAN.AND COMPU.
IN200504
MR.RAJIV KUMAR
Company Secretary
III/01 - III/04 (III/01 - III/1200) BEETAL FINAN.AND COMPU.
IN200504
MR.RAJIV KUMAR
Company Secretary
Cert No. : 0001
Dist Nos : 000001 to 700000
MCS Ltd.
(IN200019)
Mr. P.H. Ananthakrishnan
Asst. Vice President
na Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. Satheesh H K
Manager Operations
na Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. Satheesh H K
Manager Operations
1 to 1500 Sharex Dynamic (India) Pvt. Ltd.
IN200393
1601590 to 1601604 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr John Machado
Dy. Manager - Finance
1/1 to 3279116 INTIME SPECTRUM,DELHI
IN200449
Mr. Basant Kumar
Dy.General Manager (Accounts) &
1 ; 1-40 CAMEO CORPORATE SERVICES LTD
IN200176
Mr. R.D. Ramaswamy
Director
NA IN200553
INVESTOR SERV OF INDIA
MS. NITI ARYA
COMPANY SECRETARY
01-92 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
MR. DINESH KUMAR SHARMA
COMPANY SECRETARY
PPD 001
Dist Nos. : 00001-00500
Same as above Same as above
PPD 001
Dist Nos. : 00001-00500
Same as above Same as above
000001 to 003000 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. G. N. Raghunath
Director
000001 to 005000 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr.Shyamsundar Baliga
Finance Controller
000001 to 001000 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. Rupesh Dodia
Treasury Executive
000001 to 000500 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. Rupesh Dodia
Treasury Executive
000001 to 000800 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. Rupesh Dodia
Treasury Executive
01 ( 0000001 to 1116704 ) IN200800
KARVY COMPUTERSHARE-4
Mr. P.A.Varghese
General Manager
02 ( 1116705 TO 1118592 ) IN200800
KARVY COMPUTERSHARE-4
Mr. P.A.Varghese
General Manager
02/ (92255-138444) IN200800
KARVY COMPUTERSHARE-4
MR. P.A. VARGHESE
ZONAL HEAD - CORPORATE REGISTRY
1-500 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr.Ajay Malhotra
Finance Director & Company Secretary
295-375 LINK INTIME INDIA PRIVATE LIMITED
IN200094
Mr.Ajay Malhotra
Finance Director & Company Secretary
376-414 LINK INTIME INDIA PRIVATE LIMITED
IN200094
Mr.Ajay Malhotra
Finance Director & Company Secretary
744-794 LINK INTIME INDIA PRIVATE LIMITED
IN200094
Mr.Ajay Malhotra
Finance Director & Company Secretary
NA IN200117
BIGSHARE SERVICES
MR. R.K. MALHOTRA
VP FINANCE
NA IN200117
BIGSHARE SERVICES
MR. R.K. MALHOTRA
VP FINANCE
KARVY COMPUTERSHARE PVT LTD.-4
IN200800
MR. K. SUBBA REDDY
SENIOR MANAGER
N.A. IN100181
(In house connectivity)
Same as above
N.A. IN100181
(In house connectivity)
Mr. Vaman Sabharwal
Head Middle Office & Cash
88544-88588 DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LT
MR. ABHAY SARFARE
ASST. GENERAL MANAGER
88589-88638 DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LT
MR. ABHAY SARFARE
ASST. GENERAL MANAGER
Cert No. 001 to 400
Dist Nos 69236 to 107574
Mennen Financial Services Ltd.
(IN200682)
Same as above
Cert No. 1 to 150
Dist Nos : 107575 to 117642
Mennen Financial Services Ltd.
(IN200682)
Mr. R.S. Pandey
Mr. Sandeep
N.A. Mennen Financial Services Ltd.
(IN200682)
Same as above
Cert No: 24 to 26 & 200 to 242. Dist
No:134091 - 134897;144976 - 151960
MENNEN FIN.SERVICES LTD
IN200682
Mr. R.S. Pandey
Mr. Sandeep
18 to 21, 161965 to 162215 MENNEN FIN.SERVICES LTD
IN200682
Mr. R.S. Pandey
Mr. Sandeep
Cert No. 197 to 296
Dist Nos : 119292 to 131479
Mennen Financial Services Ltd.
(IN200682)
Same as above
1 to 35 IN200800
KARVY COMPUTERSHARE-4
MR. ALOK SHARMA
GENERAL MANAGER
Cert No. 1 to 2001
Dist Nos : 1 to 20000
Cameo Corporate Services Ltd.
(IN200176)
Same as above
Cert No. 1
Dist Nos : 1 to 5000
Cameo Corporate Services Ltd.
(IN200176)
Mr. D. Satishkumar
Company Secretary
NCD1; 1-2350 GTL LIMITED
IN100323
Mr. Vidyadhar Apte
Company Secretary
NCD10 7001-9350 GTL LIMITED
IN100323
Mr. Vidyadhar Apte
Company Secretary
NCD2; 2351-4700 GTL LIMITED
IN100323
Mr. Vidyadhar Apte
Company Secretary
NCD11 9351-11700 GTL LIMITED
IN100323
Mr. Vidyadhar Apte
Company Secretary
Pinnacle Shares Registry Pvt. Ltd.
(IN200060)
Mr. Gautam V. Shah
General Manager
N.A. MCS Limited(IN200019) J.P.Metha,
Asst. Vice President,
N.A. MCS Limited(IN200019) J.P.Metha,
Asst. Vice President,
N.A. MCS
IN200019
Mr. J.P.Metha,
Asst. Vice President,
N.A. MCS
IN200019
Mr. J.P.Metha,
Asst. Vice President,
1 to 100 NICHE TECHNOLOGIES
IN200490
Mr. Manoj K. Shah
Company Secretary
1 to 100 NICHE TECHNOLOGIES
IN200490
Mr. Manoj K. Shah
Company Secretary
NA IN200117
BIGSHARE SERVICES
MR. VIMAL KUMAR TAPARIA
COMPANY SECRETARY
1 to 40,1 to 50 and 1 to 10 Sharepro Services (BP Id IN200043). Mr.Anil Sathe,
Manager
N.A. Sharepro Services Same as above
Cert No. 1 to 840
Dist Nos : 1 to 35000
MCS Ltd.
(IN200019
Mr. Hari Singh Gahlot
Senior Manager
Cert No. E/1
Dist Nos 00001 to 110
MCS Ltd.
(IN200019
Same as above
1 - 83322610 SATHGURU MGMT CONSULTANT LTD.
IN200352
Mr. R. Chandra Sekhar
Senior Divisional Manager - Capital
1401, 1 to 296 BEETAL FINAN.AND COMPU.
IN200504
Mr. Anil Kapil
Financial Advisor
1 - 10/(1 - 1000) C B Management Services (p)
ltd.(IN200221)
Same as above
4300001 to 8000000 Intime Spectrum Registry Ltd.
(IN200094)
Mr. S. Balasubramaniam
Director
NA ALANKIT ASSIGNMENTS LTD
IN200086
MR. MAHESH JAIRATH
VICE PRESIDENT
NA ALANKIT ASSIGNMENTS LTD
IN200086
MR. MAHESH JAIRATH
VICE PRESIDENT
na BEETAL FINAN.AND COMPU.
IN200504
Mr. P.L. Bhalla/Mr. R. Chhibber
DGM (Fianance)/GM
na BEETAL FINAN.AND COMPU.
IN200504
Mr. P.L. Bhalla/Mr. R. Chhibber
DGM (Fianance)/GM
na BEETAL FINAN.AND COMPU.
IN200504
Mr. P.L. Bhalla/Mr. R. Chhibber
DGM (Fianance)/GM
na BEETAL FINAN.AND COMPU.
IN200504
Mr. P.L. Bhalla/Mr. R. Chhibber
DGM (Fianance)/GM
na BEETAL FINAN.AND COMPU.
IN200504
Mr. P.L. Bhalla/Mr. R. Chhibber
DGM (Fianance)/GM
na BEETAL FINAN.AND COMPU.
IN200504
Mr. P.L. Bhalla/Mr. R. Chhibber
DGM (Fianance)/GM
na BEETAL FINAN.AND COMPU.
IN200504
Mr. P.L. Bhalla/Mr. R. Chhibber
DGM (Fianance)/GM
na BEETAL FINAN.AND COMPU.
IN200504
Mr. P.L. Bhalla/Mr. R. Chhibber
DGM (Fianance)/GM
na BEETAL FINAN.AND COMPU.
IN200504
Mr. P.L. Bhalla/Mr. R. Chhibber
DGM (Fianance)/GM
na BEETAL FINAN.AND COMPU.
IN200504
Mr. P.L. Bhalla/Mr. R. Chhibber
DGM (Fianance)/GM
na BEETAL FINAN.AND COMPU.
IN200504
Mr. P.L. Bhalla/Mr. R. Chhibber
DGM (Fianance)/GM
na BEETAL FINAN.AND COMPU.
IN200504
Mr. P.L. Bhalla/Mr. R. Chhibber
DGM (Fianance)/GM
na BEETAL FINAN.AND COMPU.
IN200504
Mr. P.L. Bhalla/Mr. R. Chhibber
DGM (Fianance)/GM
na BEETAL FINAN.AND COMPU.
IN200504
Mr. P.L. Bhalla/Mr. R. Chhibber
DGM (Fianance)/GM
na BEETAL FINAN.AND COMPU.
IN200504
Mr. P.L. Bhalla/Mr. R. Chhibber
DGM (Fianance)/GM
01/(1 to 10) MCS Ltd. IN200424 Same as above
na SKYLINE FIN.SERV PVT LTD
IN200432
Mr. B.D. Kashyap
Dy. General Manager
Cert No.
13 to 68
Beetal Financial & Computer Services.
(IN200504)
Same as above
1 to 69 SHAREPRO SERVICES
IN200043
Mr.Anil Sathe,
Manager,
1 to 23 (1 to 220) SHAREPRO SERVICES
IN200043
Mr.Anil Sathe,
Manager,
N.A. HLL
IN100069
Mr. Dilip Kulkarnai
Team Head - Back Office
1 to 900 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr Dinesh Kalani
Company Secretary
N.A. Alankit Assignments Ltd (IN200086) Same as above
HBXXXIV 01 - 04, 001 - 500 ALANKIT ASSIGNMENTS LTD
IN200086
Mr. Harish Aggarwal
Vice President/ Share Registry Dept
1-1750 IN100010
HDFC
Ms. Lakshmi Shetty
Senior Manager- Investor Services
1 - 5000 IN100010
HDFC
Ms. Lakshmi Shetty
Senior Manager- Investor Services
XVA00001-XVA00005/0001-10000 Same as above Same as above
HB SD-II01 to 07, 0001 to 4700 ALANKIT ASSIGNMENTS LTD
IN200086
Mr. Harish Aggarwal
President/ Share Registry Dept
1to 400/1 to 400 Intime Spectrum Registry Ltd.
(IN200094)
Mr.Shailesh Nimkar
Secretarial Officer
NA UTI TECHNOLOGY SERVICES LIMITED
IN200631
Mr.Swapan Kundu
Asst.Vice President
1 to 212541 ICICI INFOTECH
IN200027
Shri Ratan Das (AGM),Shri L.N. Rajan
(AGM),
1 to 142774 ICICI INFOTECH Shri Ratan Das (AGM),Shri L.N. Rajan
(AGM),
1 to 584188 ICICI INFOTECH
IN200027
Shri V.H.. Krishnamurthi (AGM)/Shri
L.N. Rajan (AGM)
1 to 2127 ICICI INFOTECH
IN200027
Shri Ratan Das (AGM),Shri L.N. Rajan
(AGM),
1 to 4554 ICICI INFOTECH Shri Ratan Das (AGM),Shri L.N. Rajan
(AGM),
NA 3i Infotech Limited
IN200027
Mr. Vishal Arora
Deputy General Manager
1 to 7703 ICICI INFOTECH
IN200027
Shri V.H.. Krishnamurthi (AGM)/Shri
L.N. Rajan (AGM)
1 to 12724 ICICI INFOTECH
IN200027
Shri V.H.. Krishnamurthi (AGM)/Shri
L.N. Rajan (AGM)
NA 3i Infotech Limited
IN200027
Mr. Vishal Arora
Deputy General Manager
1 to 125 ICICI INFOTECH
IN200027
Shri Ratan Das (AGM),Shri L.N. Rajan
(AGM),
1 to 66297 3i Infotech Limited
IN200027
Mr. L. N Rajan
Assistant General Manager
1 to 315 3i Infotech Limited
IN200027
Mr.L. N.Rajan
Assistant General Manager
1 to 53040 3i Infotech Limited
IN200027
Mr. L. N Rajan
Assistant General Manager
1 to 122843 3i Infotech Limited
IN200027
Mr.L. N.Rajan
Assistant General Manager
1 to 393 3i Infotech Limited
IN200027
Mr.L. N.Rajan
Assistant General Manager
1 to 91292 3i Infotech Limited
IN200027
Mr.L. N.Rajan
Assistant General Manager
na 3i Infotech Limited
IN200027
Mr. L. N Rajan
Assistant General Manager
na 3i Infotech Limited
IN200027
Mr. L. N Rajan
Assistant General Manager
na 3i Infotech Limited
IN200027
Mr. L. N Rajan
Assistant General Manager
NA 3i Infotech Limited
IN200027
MR. L. N. RAJAN
DEPUTY GENERAL MANAGER
na 3i Infotech Limited
IN200027
Mr. Vishal Arora
Asistant Gen. Manager
NA 3i Infotech Limited
IN200027
Mr. Vishal Arora
Deputy General Manager
N.A. ICICI INFOTECH
IN200027
Shri B. Krishnamurthi (Manager)
ICICI Infotech Services Limited
NA 3i Infotech Limited
IN200027
MR. L. N. RAJAN
DEPUTY GENERAL MANAGER
na 3i Infotech Limited
IN200027
Mr. L. N Rajan
Assistant General Manager
1 to 5845 ; 1 to 609865 3i Infotech Limited
IN200027
MR. L. N. RAJAN
DEPUTY GENERAL MANAGER
1 to 351 ; 1 to 7475 3i Infotech Limited
IN200027
MR. L. N. RAJAN
DEPUTY GENERAL MANAGER
N.A. ICICI INFOTECH
IN200027
Shri B. Krishnamurthi (Manager)
ICICI Infotech Services Limited
na 3i Infotech Limited
IN200027
Mr. Vishal Arora / Mr.B.
Krishnamurthi
1 to 209854 ICICI Infotech Services Limited (BP Id
IN200027).
Shri L.N.Rajan(Asst.Gen.Manager)/Shri
V.H..Krishnamurthi(Senior Manager),
1 to 113410 ICICI Infotech Services Limited (BP Id
IN200027).
Same as above
1 to 1047 ICICI Infotech Services Limited (BP Id
IN200027).
Same as above
1 to 4586 ICICI Infotech Services Limited (BP Id
IN200027).
Same as above
1 to 5150 ICICI Infotech Services Limited (BP Id
IN200027).
Same as above
1 to 1033 ICICI Infotech Services Limited (BP Id
IN200027).
Same as above
1 to 1340 ICICI Infotech Services Limited (BP Id
IN200027).
Same as above
1 to 344028 ICICI INFOTECH
IN200027
Shri Ratan Das (AGM),Shri L.N. Rajan
(AGM),
1 to 175356 ICICI INFOTECH
IN200027
Shri Ratan Das (AGM),Shri L.N. Rajan
(AGM),
1 to 38009 ICICI INFOTECH
IN200027
Mr. V.H. Krishnamoorty / Shri L.N.
Rajan (AGM)-Transaction Processing
1 to 7691 ICICI INFOTECH
IN200027
Shri Ratan Das (AGM),Shri L.N. Rajan
(AGM),
1 to 9642 ICICI INFOTECH
IN200027
Shri Ratan Das (AGM),Shri L.N. Rajan
(AGM),
1-83835 ICICI INFOTECH
IN200027
Mr. V.H. Krishnamoorty/Mr. L. N.
Rajan (Asst General Manager-
1-130404 ICICI INFOTECH
IN200027
Shri V.H. Krishnamurthi / Mr. L N
Rajan
1 to 153455 ICICI INFOTECH
IN200027
Shri V.H. Krishnamurthi / Mr. L N
Rajan
1 to 83199 ICICI INFOTECH
IN200027
Shri V.H. Krishnamurthi / Mr. L N
Rajan
1 - 63912 ICICI INFOTECH
IN200027
Shri V.H. Krishnamurthi / Mr. L N
Rajan
1 - 1528 ICICI INFOTECH
IN200027
Shri V.H. Krishnamurthi / Mr. L N
Rajan
1 to 1089 ICICI INFOTECH
IN200027
Shri V.H. Krishnamurthi / Mr. L N
Rajan
1 to 2416 ICICI INFOTECH
IN200027
Shri V.H. Krishnamurthi / Mr. L N
Rajan
1 - 2267 ICICI INFOTECH
IN200027
Shri V.H. Krishnamurthi / Mr. L N
Rajan
1-750 ICICI INFOTECH
IN200027
Mr. V.H. Krishnamoorty/Mr. L. N.
Rajan (Asst General Manager-
N.A. ICICI INFOTECH
IN200027
Shri B. Krishnamurthi
Manager
N.A. ICICI INFOTECH
IN200027
Shri B. Krishnamurthi
Manager
N.A. ICICI INFOTECH
IN200027
Mr. B. Krishnamurthi
Manager
N.A. ICICI Infotech Services
Limited
Shri B. Krishnamurthi (Manager)
ICICI Infotech Services Limited
N.A. ICICI Infotech
Limited
Shri B. Krishnamurthi (Manager)
ICICI Infotech Limited
1 TO 100963 ICICI Infotech Services Limited (BP Id
IN200027)
Shri L.N.Rajan(Asst.Gen.Manager)/Shri
V.H..Krishnamurthi(Senior Manager),
1 TO 133338 ICICI Infotech Services Limited
(IN200027)
Shri Ratan Das (AGM),Shri L.N. Rajan
(AGM),
1 to 188812 ICICI Infotech Services Limited
(IN200027)
Shri Ratan Das (AGM),Shri L.N. Rajan
(AGM),
2-16/(1-1500)
18-129/(1501-12000)
Same as above Same as above
1 TO 291200
Dist Nos. 1 - 694073
ICICI Infotech Services Limited
(IN200027)
Shri Ratan Das (AGM),Shri L.N. Rajan
(AGM),
Cert No : 1 TO 436071
Dist Nos. :
ICICI Infotech Services Limited
(IN200027)
Shri Ratan Das (AGM),Shri L.N. Rajan
(AGM),
1 to 90526 SAME AS ABOVE SAME AS ABOVE
Cert No :1 TO 159383
Dist Nos. 1 - 360895
SAME AS ABOVE SAME AS ABOVE
Cert No. 1 TO 228931
Dist Nos. 1 - 526948
SAME AS ABOVE SAME AS ABOVE
1 TO 62325 SAME AS ABOVE SAME AS ABOVE
Cert No. :1 TO 2260
Dist Nos :
SAME AS ABOVE SAME AS ABOVE
1 TO 5167 ICICI Infotech Services Limited (BP Id
IN200027)
Shri L.N.Rajan(Asst.Gen.Manager)/Shri
V.H..Krishnamurthi(Senior Manager),
Cert No :1 TO 8780
Dist Nos. 1 to 22073
SAME AS ABOVE SAME AS ABOVE
ICICI Infotech Services
Limited
Same as above
1 to 7093 SAME AS ABOVE SAME AS ABOVE
1 To 8375 SAME AS ABOVE SAME AS ABOVE
Cert No. 1 TO 10448
Dist Nos. 1 - 23199
SAME AS ABOVE SAME AS ABOVE
Cert No. :1 TO 11093
Dist Nos :
SAME AS ABOVE SAME AS ABOVE
1 TO 5521 SAME AS ABOVE SAME AS ABOVE
1 to 3846 SAME AS ABOVE SAME AS ABOVE
1 TO 1432 ICICI Infotech Services Limited (BP Id
IN200027)
Shri L.N.Rajan(Asst.Gen.Manager)/Shri
V.H..Krishnamurthi(Senior Manager),
Cert No : 1 TO 4178
Dist Nos. Dist Nos. 1 - 92111
SAME AS ABOVE SAME AS ABOVE
Cert No. :1 TO 3692
Dist Nos :
SAME AS ABOVE SAME AS ABOVE
1 To 1310 SAME AS ABOVE SAME AS ABOVE
Cert No. :1 TO 3898
Dist Nos. 1 - 80882
SAME AS ABOVE SAME AS ABOVE
1 16054 ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Vice President / Vice President
1 196438 ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Vice President / Vice President
1 305548 ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Vice President / Vice President
1 266248 ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Vice President / Vice President
N.A. ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Vice President / Vice President
1 - 151215 ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Vice President / Vice President
1 23734 ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Vice President / Vice President
1-208766 ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Vice President / Vice President
1 121393 ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Vice President / Vice President
1 to 614746 ICICI Infotech Services Limited (BP Id
IN200027 Mr. L. N. Rajan / Mr. M. R. Vyas
1 to 334257 ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Asst. General Manager / Senior
1-129655 ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Vice President / Vice President
1 to 383469 ICICI Infotech Services Limited (BP Id
IN200027 Mr. L. N. Rajan / Mr. M. R. Vyas
1 to 211837 ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Asst. General Manager / Senior
N.A. ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Vice President / Vice President
N.A. ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Vice President / Vice President
1-14418 ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Vice President / Vice President
1 24104 ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Asst. General Manager / Senior
1 to 5298 ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Asst. General Manager / Senior
1164030 ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Vice President / Vice President
1 8924 ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Vice President / Vice President
1 7456 ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Vice President / Vice President
1 2874 ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Vice President / Vice President
N.A. ICICI Infotech Services Limited (BP Id
IN200027
Mr. R. Das / Mr. F. Kasad
Vice President / Senior Executive
N.A. ICICI Infotech Services Limited (BP Id
IN200027
Mr. R. Das / Mr. F. Kasad
Vice President / Senior Executive
1 5502 ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Vice President / Vice President
464956 ICICI Infotech Services Limited (BP Id
IN200027
Mr. L. N. Rajan / Mr. M. R. Vyas
Vice President / Vice President
N.A. ICICI Infotech Services Limited (BP Id
IN200027
Mr. Ratan Das / Mr. L. N. Rajan
Asst. General Manager / Asst. General
2010007 TO 2010059 / 201000645 TO
201018119
Same as above Same as above
40001 TO 40586 /4000001 TO 4330143 Same as above Same as above
40001 TO 40357/4000001 TO 4697227 Same as above Same as above
9920001 TO 9920317 /992000001 TO
992090928
Same as above Same as above
2474,DIST NO-90311160 TO 90311192 ) IN200553
INVESTOR SERV OF INDIA
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
NA INVESTOR SERV OF INDIA
IN200553
Ms.Sara Samuel
Asst. General Manager
N.A. In-house Share Registry (BP Id
IN200449).
Mr. R.K. Chopra
Deputy General Manager
N.A. In-house Share Registry (BP Id
IN200449).
Mr. R.K. Chopra
Deputy General Manager
N.A. In-house Share Registry (BP Id
IN200449).
Mr. R.K. Chopra
Deputy General Manager
INTIME SPECTRUM,DELHI
IN200449
Mr. Gopal Singh
AGM - Resources
NA INTIME SPECTRUM,DELHI
IN200449
Mr. Rattan Singh
DGM - Resources
INTIME SPECTRUM,DELHI
IN200449
Mr. Gopal Singh
AGM - Resources
0000001-5000000 IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. NIRAV SHAH
COPMAPNY SECRETARY & COMPLIANCE
4122-4983 LINK INTIME INDIA PRIVATE LIMITED
IN200094
MR. BINOY PARIKH
COMPANY SECRETARY
1749-2048 LINK INTIME INDIA PRIVATE LIMITED
IN200094
001 to 818 Sharepro Services
(IN200043)
Mr. A.N. Mani / Mrs. Deepti Adwani
802, Swastik Chamber
NA KARVY COMPUTERSHARE PVT LTD.-4
IN200800
Mr Arun Kumar
Associate Vice President
NA KARVY COMPUTERSHARE PVT LTD.-4
IN200800
Mr Arun Kumar
Associate Vice President
006/(000001 to 100000)
007/(100001 to 200000)
Intime Spectrum Registry
Limited(IN200094)
Ms.Anjuman/Meera
Executive,
009/(000001 to 100000)
010/(100001 to 200000)
Same as above Same as above
326 INVESTOR SERV OF INDIA
IN200553
Mr Shivaji Gunware
Vice President
326 INVESTOR SERV OF INDIA
IN200553
Mr Shivaji Gunware
Vice President
000001-797081 IN200800
KARVY COMPUTERSHARE-4
Mr. P.A.Varghese
Zonal Head
000001-574000 IN200800
KARVY COMPUTERSHARE-4
Mr. P.A.Varghese
Zonal Head
6226 - 7225 IN200432
SKYLINE FIN.SERV PVT LTD
Mr. Virendra Kumar Rana
Vice President
39126-39625 IN200432
SKYLINE FIN.SERV PVT LTD
Mr. Ajit Kumar singh
COMPANY SECRETARY
1 & 0001-227996 SKYLINE FIN.SERV PVT LTD
IN200432
MR. V. K. RANA
MANAGER OPERATIONS
4 & 754327-932104 SKYLINE FIN.SERV PVT LTD
IN200432
MR. V. K. RANA
MANAGER OPERATIONS
6 & 1182104-1515437 SKYLINE FIN.SERV PVT LTD
IN200432
MR. V. K. RANA
MANAGER OPERATIONS
1 & 0001-3000 SKYLINE FIN.SERV PVT LTD
IN200432
MR. V. K. RANA
MANAGER OPERATIONS
2 & 3001-27000 SKYLINE FIN.SERV PVT LTD
IN200432
MR. V. K. RANA
MANAGER OPERATIONS
3 & 27001 - 513665 SKYLINE FIN.SERV PVT LTD
IN200432
MR. V. K. RANA
MANAGER OPERATIONS
2 & 513666-843665 SKYLINE FIN.SERV PVT LTD
IN200432
MR. V. K. RANA
MANAGER OPERATIONS
NA IN200800
KARVY COMPUTERSHARE-4
MR. ALOK SHARMA
VICE PRESIDENT
NA IN200800
KARVY COMPUTERSHARE-4
MR. ALOK SHARMA
VICE PRESIDENT
0000001-3000000 MCS Ltd (IN200424) Mr. N. B. Bhowmick [Executive
Investor Services]
na MCS,KOLKATA
IN200328
Ms. Seema Chetani
Company Secretary
N.A. Karvy Consultants Ltd(IN200035) Mr. M.R.V.Subrahmanyam
Asst. General Manager/RIS
310001 - 31020/(00000001 - 00000200) Same as above Same as above
601 to 700 KARVY
IN200035
Mr. M.R.V.Subrahmanyam
Asst. General Manager/RIS
1 to 300 KARVY
IN200035
Mr. M.R.V. Subrahmanyam
Asst. General Manager
701 to 800 KARVY
IN200035
Mr. M.R.V.Subrahmanyam
Asst. General Manager/RIS
N.A. In-house Share Registry
(IN200449)
Same as above
N.A. In-house Share Registry
(IN200449)
Mr. S.P. Reddi
Dy. General Manager (Finance)
N.A. INTIME SPECTRUM,DELHI
IN200449
Mr. S.P. Reddi
Dy. General Manager (Finance)
001-300 INTIME SPECTRUM,DELHI
IN200449
Mr K Muralidharan
Company Secretary - Secretarial
NA ALANKIT ASSIGNMENTS LTD
IN200086
Mr. Pardeep Verma
Company Secretary
N.A. INTIME SPECTRUM REGISTRY
IN200094
Mr. Chetan Shah
Sr. Vice President
N.A. Investor Services of India Ltd
(IN200553)
Same as above
N.A. Investor Services of India Ltd
(IN200553)
Same as above
N.A. Investor Services of India Ltd
(IN200553)
Same as above
N.A. Investor Services of India Ltd
(IN200553)
Same as above
N.A. Investor Services of India Ltd
(IN200553)
Same as above
N.A. Investor Services of India Ltd
(IN200553)
Same as above
N.A. Investor Services of India Ltd
(IN200553)
Same as above
N.A. Investor Services of India Ltd
(IN200553)
Same as above
N.A. Investor Services of India Ltd
(IN200553)
Same as above
N.A. Investor Services of India Ltd
(IN200553)
Same as above
N.A. Investor Services of India Ltd
(IN200553)
Same as above
N.A. Investor Services of India Ltd
(IN200553)
Same as above
Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. Investor Services Of India
Ltd.(IN200553)
Ms. Savita Gokhale
Mr. Ajit Alex
N.A. Investor Services Of India
Ltd.(IN200553)
Ms. Savita Gokhale
Mr. Ajit Alex
70247/70249, 80094128 to 80094177,
80094183 to 80094232
INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
70277, 80099069 to 80099073 INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
70405, 80141880 to 80141921 INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Poornima S.Rao/ Mr. Ajit Alex
AGM
70288, 80100273 to 80100612 INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. Investor Services Of India
Ltd.(IN200553)
Ms. Savita Gokhale
Mr. Ajit Alex
Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Poornima S.Rao/ Mr. Ajit Alex
AGM
2479, 810917 to 810996 INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
596, 90139919 to 90139933 INVESTOR SERV OF INDIA
IN200553
Ms. Poornima Rao/Mr. Ajit Alex
Asst. General Manager
Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. Same as above Same as above
2600001 to 2750843 Same as above Same as above
N.A. Investor Services of India Ltd
(IN200553)
Same as above
N.A. Investor Services of India Ltd
(IN200553)
Same as above
N.A. Investor Services of India Ltd.
(IN200553)
Same as above
N.A. Investor Services Of India
Ltd.(IN200553)
Same as above
N.A. Investor Services Of India
Ltd.(IN200553)
Same as above
N.A. Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao
Mr. Ajit Alex
560; 90138700-90138749 INVESTOR SERV OF INDIA
IN200553
Ms.Sara Samuel
Asst. General Manager
555, 90138200 to 90138224 INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
583, 90139173 to 90139197 INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERVICES OF INDIA
LTD.(IN200553)
MS.PURNIMA S.RAO/ MR. AJIT ALEX
AGM/ AM
628, 90141551 to 901417000 INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. Investor Services Of India
Ltd.(IN200553)
Same as above
1055, 90178326 to 90178305 INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
70552, 80194049 to 80194073 INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
Karvy Consultants Ltd.
(IN200035)
Mr. S.V. Raju
Dy. General Manager
Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A Datamatics Financial Software &
Services Ltd.(IN200336)
Shri. R.D. Kumbhar
General Manager
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. DATAMATICS
IN200336
Shri. R.D. Kumbhar
General Manager
N.A. DATAMATICS
IN200336
Shri. R.D. Kumbhar
General Manager
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. KARVY
IN200035
Mr. M.R.V. Subrahmanyam
Asst. General Manager
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
NA INVESTOR SERV OF INDIA
IN200553
Ms.Poornima S.Rao/ Mr. Ajit Alex
AGM
NA INVESTOR SERV OF INDIA
IN200553
Ms.Poornima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Poornima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Poornima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Poornima S.Rao/ Mr. Ajit Alex
AGM
Karvy Consultants Ltd.
(IN200035)
Mr. S.V. Raju
Dy. General Manager
Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
NA INVESTOR SERV OF INDIA
IN200553
Ms.Poornima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A Datamatics Financial Software &
Services Ltd.(IN200336)
Shri. R.D. Kumbhar
General Manager
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
70374 INVESTOR SERV OF INDIA
IN200553
Ms.Sara Samuel
Asst. General Manager
70478, 80153910 to 80153954 INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
70447, 80150442 to 80150551 INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
70462; 80152194-80152393 INVESTOR SERV OF INDIA
IN200553
Ms.Sara Samuel
Asst. General Manager
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
NA INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
NA INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
68, 90078465 to 90078474 INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. KARVY
IN200035
Mr. M.R.V. Subrahmanyam
Asst. General Manager
70110, 80070789 to 80070963 INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. Investor Services of India Ltd
(IN200553)
Smt. Poornima Rao
Shri Ajit Alex
2273 , 90272154 - 90272203 INVESTOR SERV OF INDIA
IN200553
Ms. Poornima Rao/Mr. Ajit Alex
Asst. General Manager
NA INVESTOR SERV OF INDIA
IN200553
Ms.Poornima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
NA KARVY
IN200035
Mr. M.R.V. Subrahmanyam
Assistant General Manager
N.A. Same as above Same as above
2500001 to 2505278 Same as above Same as above
N.A. DATAMATICS
IN200336
Mr. R.D. Kumbhar
General Manager
N.A. DATAMATICS
IN200336
Mr. R.D. Kumbhar
General Manager
N.A. Investor Services Of India
Ltd.(IN200553)
Same as above
N.A. Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao
Mr. Ajit Alex
NA INVESTOR SERV OF INDIA
IN200553
Ms.Poornima S.Rao/ Mr. Ajit Alex
AGM
233, 90032238 to 90032267 INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Shrei, Peter
AGM
N.A. Investor Services Of India
Ltd.(IN200553)
Same as above
473, 90126887 to 90126897 INVESTOR SERV OF INDIA
IN200553
Ms. Poornima Rao/Mr. Ajit Alex
Asst. General Manager
NA KARVY
IN200035
Mr. M.R.V. Subrahmanyam
Assistant General Manager
1231, 90195924 to 90196023 INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. Karvy Consultants Ltd.
(IN200035)
Mr. S.V. Raju
Dy. General Manager
N.A. DATAMATICS
IN200336
Mr. R.D. Kumbhar
General Manager
N.A. DATAMATICS
IN200336
Mr. R.D. Kumbhar
General Manager
N.A. Datamatics Financial Software &
Services Ltd.
Mr. R.D. Kumbhar
Mr. Mehul Joshi
N.A Datamatics Financial Software &
Services Ltd.(IN200336)
Shri. R.D. Kumbhar
General Manager
N.A Datamatics Financial Software &
Services Ltd.(IN200336)
Shri. R.D. Kumbhar
General Manager
Na DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LTD
Mr.Deepak Phanse
Senior Manager
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. DATAMATICS
IN200336
Shri. R.D. Kumbhar
General Manager
1815, 90232867 to 90232978 INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. DATAMATICS
IN200336
Shri. R.D. Kumbhar
General Manager
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. KARVY
IN200035
Mr. M.R.V. Subrahmanyam
Asst. General Manager
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
1900, 90251460 to 90251584 INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
1889, 90234983 to 90235082 INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
NA DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LTD
Mr.Deepak Phanse
Senior Manager
1697, 90217991 to 90218020 INVESTOR SERV OF INDIA
IN200553
Ms.Poornima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. KARVY
IN200035
Mr. M.R.V. Subrahmanyam
Asst. General Manager
Karvy Consultants Ltd.
(IN200035)
Mr. S.V. Raju
Dy. General Manager
N.A. Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
124216231 to 124224490 Same as above Same as above
124369729 to 124381549 Same as above Same as above
NA KARVY
IN200035
Mr. M.R.V. Subrahmanyam
Assistant General Manager
NA KARVY
IN200035
Mr. M.R.V. Subrahmanyam
Assistant General Manager
N.A. Datamatics Financial Software &
Services Ltd.
Mr. R.D. Kumbhar
Mr. Mehul Joshi
2000001 to 2027924 Datamatics Financial Software &
Services Ltd.
Mr. R.D. Kumbhar
Mr. Mehul Joshi
2758776 to 2763981 Same as above Same as above
N.A. DATAMATICS
IN200336
Mr. R.D. Kumbhar
General Manager
N.A. DATAMATICS
IN200336
Mr. R.D. Kumbhar
General Manager
N.A. Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao
Mr. Ajit Alex
2830, 90341818 to 90341822 INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
2882, 90344506 TO 90344605 INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Poornima S.Rao/ Mr. Ajit Alex
AGM
N.A. Investor Services Of India
Ltd.(IN200553)
Same as above
N.A. Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
2944, 90346825 to 90346949 INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. DATAMATICS
IN200336
Mr. R.D. Kumbhar
General Manager
N.A. Datamatics Financial Software &
Services Ltd.
Same as above
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
NA DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LTD
Mr.Deepak Phanse
Senior Manager
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. DATAMATICS
IN200336
Shri. R.D. Kumbhar
General Manager
na DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LT
Mr. R.D. Kumbhar
General Manager
na DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LT
Mr. R.D. Kumbhar
General Manager
N.A. KARVY
IN200035
Mr. M.R.V. Subrahmanyam
Asst. General Manager
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. Karvy Consultants Ltd.
(IN200035)
Mr. S.V. Raju
Dy. General Manager
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. Datamatics Financial Software &
Services Ltd.
Same as above
NA KARVY
IN200035
Mr. M.R.V. Subrahmanyam
Assistant General Manager
N.A. INVESTOR SERV OF INDIA
IN200553
Ms. Poornima Rao/Mr. Ajit Alex
Asst. General Manager
184 INVESTOR SERV OF INDIA
IN200553
Ms.Sara Samuel
Asst. General Manager
2281, 90272534-90272633, 2312,
90274912-90275111
INVESTOR SERV OF INDIA
IN200553
Ms.Poornima S.Rao/ Mr. Ajit Alex
AGM
2897, 90345050 to 90345057 INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
NA DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LTD
Mr.Deepak Phanse
Senior Manager
121198018 to 121201339 Same as above Same as above
123007926 to 123009398 Same as above Same as above
NA INVESTOR SERV OF INDIA
IN200553
Ms.Sara Samuel
Asst. General Manager
2030485 to 2125837 Same as above Same as above
2125838 to 2126755 Same as above Same as above
NA INVESTOR SERV OF INDIA
IN200553
Ms. Poornima Rao/Mr. Ajit Alex
Asst. General Manager
N.A. Investor Services Of India
Ltd.(IN200553)
Same as above
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. INVESTOR SERV OF INDIA
IN200553
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
N.A. Investor Services Of India
Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit Alex
AGM
1000001 3098023 Karvy Consultants Limited (BP Id
IN200035).
Mr. M. R. V. Subramanyam
Asst. General Manager
3098024 3166449 Karvy Consultants Limited (BP Id
IN200035).
Mr. M. R. V. Subramanyam
Asst. General Manager
3137753 3287219 Datamatics Financial Services Limited
(BP Id IN200336).
Mr. R. D. Khumbhar
General Manager
N.A. Datamatics Financial Services Limited
(BP Id IN200336).
Mr. R. D. Khumbhar
General Manager
N.A. Datamatics Financial Services Limited
(BP Id IN200336).
Mr. R. D. Khumbhar
General Manager
N.A. Datamatics Financial Services Limited
(BP Id IN200336).
Mr. R. D. Khumbhar
General Manager
1 2303951
2400645 2401370
Karvy Consultants Limited (BP Id
IN200035).
Mr. M. R. V. Subramanyam
Asst. General Manager
N.A. Datamatics Financial Services Limited
(BP Id IN200336).
Mr. R. D. Khumbhar
General Manager
N.A. Datamatics Financial Services Limited
(BP Id IN200336).
Mr. R. D. Khumbhar
General Manager
1 - 2228728 Datamatics Financial Services Limited
(BP Id IN200336).
Mr. R. D. Khumbhar
General Manager
N.A. Datamatics Financial Services Limited
(BP Id IN200336).
Mr. R. D. Khumbhar
General Manager
N.A. Datamatics Financial Services Limited
(BP Id IN200336).
Mr. R. D. Khumbhar
General Manager
3005120 3008380
3008580 3008677
Karvy Consultants Limited (BP Id
IN200035).
Mr. M. R. V. Subramanyam
Asst. General Manager
1109-90178148 to 90178247 INVESTOR SERV OF INDIA
IN200553
Ms.Sara Samuel
Asst. General Manager
70633; 80183633 to 80193632 INVESTOR SERV OF INDIA
IN200553
Ms.Sara Samuel
Asst. General Manager
70004; 80000580 to 80000729 INVESTOR SERV OF INDIA
IN200553
Ms.Sara Samuel
Asst. General Manager
S6-1701 (90225296-90225395) INVESTOR SERV OF INDIA
IN200553
Ms.Sara Samuel
Asst. General Manager
2456/793269-793468 INVESTOR SERV OF INDIA
IN200553
Ms.Sara Samuel
Asst. General Manager
S6-3358: 90405477 to 90405576 INVESTOR SERV OF INDIA
IN200553
Ms. Poornima Rao/Mr. Ajit Alex
Asst. General Manager
70375/80117534-80117583 INVESTOR SERV OF INDIA
IN200553
Ms.Sara Samuel
Asst. General Manager
0S6-70067(80052329-80054112) INVESTOR SERV OF INDIA
IN200553
Ms.Sara Samuel
Asst. General Manager
70173; 80085295-80085394 INVESTOR SERV OF INDIA
IN200553
Ms.Sara Samuel
Asst. General Manager
231; 90112224 to 90112236 INVESTOR SERV OF INDIA
IN200553
Ms.Sara Samuel
Asst. General Manager
412 (90114750- 90114755) INVESTOR SERV OF INDIA
IN200553
Ms. Poornima Rao/Mr. Ajit Alex
Asst. General Manager
474 (90126898-90127127) INVESTOR SERV OF INDIA
IN200553
Ms. Poornima Rao/Mr. Ajit Alex
Asst. General Manager
S6-1871;90234417-90234446 INVESTOR SERV OF INDIA
IN200553
Ms.Usha Shetty
Asst.General Manager
1860; 90233564-90233576 INVESTOR SERV OF INDIA
IN200553
Ms.Sara Samuel
Asst. General Manager
S6 1915 (90555710-90555742)
S6 1916 (90555743-90555763)
INVESTOR SERV OF INDIA
IN200553
Mr. M.J.Vichare
Deputy General Manager-DRD
S6-2059/90264649-90264898 INVESTOR SERV OF INDIA
IN200553
Ms.Usha Shetty
Asst.General Manager
2263; 90271793 to 90271802 INVESTOR SERV OF INDIA
IN200553
Ms.Sara Samuel
Asst. General Manager
2939 (90346011-90346024) INVESTOR SERV OF INDIA
IN200553
Ms. Poornima Rao/Mr. Ajit Alex
Asst. General Manager
S6-3366;90405705-90405719 INVESTOR SERV OF INDIA
IN200553
Ms.Usha Shetty
Asst.General Manager
NA INVESTOR SERV OF INDIA
IN200553
Ms.Sara Samuel
Asst. General Manager
2263; 90271793-90271802 INVESTOR SERV OF INDIA
IN200553
Ms.Sara Samuel
Asst. General Manager
S6-2444;90277793-90277812 INVESTOR SERV OF INDIA
IN200553
Ms.Usha Shetty
Asst.General Manager
NA INVESTOR SERV OF INDIA
IN200553
Ms.Sara Samuel
Asst. General Manager
NA INVESTOR SERV OF INDIA
IN200553
Ms.Sara Samuel
Asst. General Manager
NA INVESTOR SERV OF INDIA
IN200553
Ms.Sara Samuel
Asst. General Manager
USB-April, 02/007(001 to 100) Karvy Consultants Ltd. (IN200035) Mr. M.R.V. Subrahmanyam
Mr. V. Mahesh
USB-October, 02/003(1552 to 2051) Karvy Consultants Ltd. (IN200035) Mr. M.R.V. Subrahmanyam
Mr. V. Mahesh
USB-July, 02/001(001 to 100) Karvy Consultants Ltd. (IN200035) Mr. M.R.V. Subrahmanyam
Mr. V. Mahesh
USB-July, 02/004(001 to 60) Karvy Consultants Ltd. (IN200035) Mr. M.R.V. Subrahmanyam
Mr. V. Mahesh
USB-August, 02/003(081 to 110) Karvy Consultants Ltd. (IN200035) Mr. M.R.V. Subrahmanyam
Mr. V. Mahesh
USB-October, 02/001(1500 to 1541) Karvy Consultants Ltd. (IN200035) Mr. M.R.V. Subrahmanyam
Mr. V. Mahesh
USB-August, 02/004( 111 to 260) Karvy Consultants Ltd. (IN200035) Mr. M.R.V. Subrahmanyam
Mr. V. Mahesh
USB-September, 02/003(1466 to 1485) Karvy Consultants Ltd. (IN200035) Mr. M.R.V. Subrahmanyam
Mr. V. Mahesh
USB-April, 02/004(001 to 350) Karvy Consultants Ltd. (IN200035) Mr. M.R.V. Subrahmanyam
Mr. V. Mahesh
MOB IV/D/13 (001 to 200) Karvy Consultants Ltd. (IN200035) Mr. V. Mahesh, Vice President, Karvy
Consultants Ltd. 46, Avenuee 4, Street
UNS-W/S/59 (001 TO 2500) Karvy Consultants Ltd. (IN200035) Same as above
UNS/P/A/001 (001 to
050),UNS/P/A/003 (051 to
Karvy Consultants Ltd. (IN200035) Mr. V. Mahesh, Vice President, Karvy
Consultants Ltd. 46, Avenuee 4, Street
USB/Oct 2000/A/1
(001 to 500)
Karvy Consultants Ltd.
(IN200035)
Same as above
UNS/M/001 (001 to 3500) Karvy Consultants Ltd. (IN200035) Mr. V. Mahesh, Vice President, Karvy
Consultants Ltd. 46, Avenuee 4, Street
USB/Oct.2001/002 (001 TO 500) Karvy Consultants Ltd. (IN200035) Mr. V. Mahesh, Vice President, Karvy
Consultants Ltd. 46, Avenuee 4, Street
UNS-W/H/11 (001 TO 100) Karvy Consultants Ltd. (IN200035) Same as above
USB/Mar.2001/009 (001 to 5000) Karvy Consultants Ltd. (IN200035) Mr. V. Mahesh, Vice President, Karvy
Consultants Ltd. 46, Avenuee 4, Street
USB/Mar.2001/006 (001 to 2000) Karvy Consultants Ltd. (IN200035) Mr. V. Mahesh, Vice President, Karvy
Consultants Ltd. 46, Avenuee 4, Street
USB/Jan.2002/004(001to 25) Karvy Consultants Ltd. (IN200035) Mr. V. Mahesh, Vice President, Karvy
Consultants Ltd. 46, Avenuee 4, Street
UNS-W/X/64 (001 TO 025) Karvy Consultants Ltd. (IN200035) Same as above
Apl. 00/B/2
(001 to 550)
Karvy Consultants Ltd.
(IN200035)
Same as above
UNS-W/XB/69 (001 TO 200) Karvy Consultants Ltd. (IN200035) Same as above
MOB IV/C/024 (001 to 100),MOB
IV/C/025 (101 to 200)
Karvy Consultants Ltd. (IN200035) Mr. V. Mahesh, Vice President, Karvy
Consultants Ltd. 46, Avenuee 4, Street
USB/U/OP.P/Mar.18 (001 TO 300) Karvy Consultants Ltd. (IN200035) Same as above
MOB VI (C) Op.G/45 (001 - 025) Karvy Consultants Ltd. (IN200035) Mr.V Mahesh, Vice President, Karvy
Consultants Ltd.46, Avenue, 4, Street,
UNS-W/B/02 (001 TO 025) Karvy Consultants Ltd. (IN200035) Same as above
USB-July 2003/016(8736-8810) KARVY
IN200035
Mr. M.R.V.Subrahmanyam
Asst. General Manager/RIS
UNS-W/G/08 (001 TO 200), UNS-
W/G/10(201-235)
Karvy Consultants Ltd. (IN200035) Same as above
USB-September, 2003/001/(10925 to
10934)
KARVY
IN200035
Mr. M.R.V.Subrahmanyam
Asst. General Manager/RIS
UNS-W/P/51 (001 TO 2000) Karvy Consultants Ltd. (IN200035) Same as above
UNS-W/Q/58 (001 TO 200) Karvy Consultants Ltd. (IN200035) Same as above
UNS-W/W/63 (001 TO 055) Karvy Consultants Ltd. (IN200035) Same as above
UNS-Z/A/077 (001 TO 200) Karvy Consultants Ltd. (IN200035) Same as above
USB/MAY/2000/D/18 Karvy Consultants Ltd. (IN200035) Same as above
USB-May,2003/014 (5182 to 5231) KARVY
IN200035
Mr. M.R.V.Subrahmanyam
Asst. General Manager/RIS
USB-August, 2003/001 (8887 to 8911) KARVY
IN200035
Mr. M.R.V.Subrahmanyam
Asst. General Manager/RIS
USB-Sept,2003/002 (10935- 10947),USB-
Sept,2003/003 (10948-11247),USB-
KARVY
IN200035
Mr. M.R.V.Subrahmanyam
Asst. General Manager/RIS
USB March,02/002 (001 to 100) Karvy Consultants Ltd. (IN200035) Mr. V. Mahesh, Vice President, Karvy
Consultants Ltd. 46, Avenuee 4, Street
USB/U/OP.K/Mar.13 (001 TO 1000) Karvy Consultants Ltd. (IN200035) Same as above
UNS-Z/C/24 (001 TO 025) Karvy Consultants Ltd. (IN200035) Same as above
USB/MAY01/01(001 to 1500) Tier II Karvy Consultants Ltd. (IN200035) Mr. V. Mahesh, Vice President, Karvy
Consultants Ltd. 46, Avenuee 4, Street
USB-January, 2002/001 Karvy Consultants Ltd.
(IN200035)
Mr. V. Mahesh
Vice President
USB/Mar.2001/003 (001 to 100) Karvy Consultants Ltd. (IN200035) Mr. V. Mahesh, Vice President, Karvy
Consultants Ltd. 46, Avenuee 4, Street
USB-April, 2003/003 (3706 to 3735) KARVY
IN200035
Mr. M.R.V.Subrahmanyam
Asst. General Manager/RIS
9062-9241, 9242-9336, 10020-10149,
10855-10864, 10865-10924.
KARVY
IN200035
Mr. M.R.V.Subrahmanyam
Asst. General Manager/RIS
USB-August-02/007
(1061 to 1075)
Karvy Consultants Ltd.
(IN200035)
Mr. M.R.V.Subrahmanyam
Asst. General Manager
137501 to 139500, 139501 to 142000 INTIME SPECTRUM REGISTRY
IN200094
Mr. Narendra Gangan,
Manager(Corporate),
N.A. INTIME SPECTRUM REGISTRY
IN200094
Mr. Narendra Gangan,
Manager(Corporate),
26801 to 27025 INTIME SPECTRUM REGISTRY
IN200094
Mr. Narendra Gangan,
Manager(Corporate),
28326-38325 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Ms. Vinaya Datar
Manager
749121 to 749420 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Ms. Vinaya Datar
Manager
1 to 3716727 Intime Spectrum Registry Ltd.
(IN200094)
Mr. A.N. Thakkar
Company Secretary
1 to 1949 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. Bamasish Paul
Head- Strategic Planning
80001-80158 KARVY CONSULTANTS
LIMITEDHYDERABADBP ID NO.IN200035
M.S. MADHUSUDHAN
ASSTT.GENL.MGR.
N.A. ALPHA SYSTEMS
IN200248
Mr. Sridhar S.
Asst. Vice President
NCD 001,1-2000 KARVY COMPUTERSHARE PVT LTD.-4
IN200800
Mr B Subrahmanyam
Company Secretary
Cert No. 1 Cameo Corporate Services Ltd.
(IN200176)
Mr. V. Viswanathan
Dy. Company Secretary
Cert No. 1 Cameo Corporate Services Ltd.
(IN200176)
Same as above
Cert No. 1 Cameo Corporate Services Ltd.
(IN200176)
Same as above
Cert No. 1 Cameo Corporate Services Ltd.
(IN200176)
Same as above
NA Sharepro Services (India)Pvt.Ltd.
IN200043
Ms.Glenys Crasta
Director
NA Sharepro Services (India)Pvt.Ltd.
IN200043
Ms.Glenys Crasta
Director
NA Sharepro Services (India)Pvt.Ltd.
IN200043
Ms.Glenys Crasta
Director
RR-2 ; 1001-2000 ALANKIT ASSIGNMENTS LTD
IN200086
Mr. Harish K. Vaid
Sr. President & Company Secretary
WW- 3 ( 7001 - 9000 ) IN200086
ALANKIT ASSIGNMENTS LTD
Mr. Harish K. Vaid
Sr. President & Company Secretary
1 - 25 IN200800
KARVY COMPUTERSHARE-4
MR. ALOK SHARMA
GENERAL MANAGER
187 to 191, 187 to 191 MAHESHWARI DATAMATICS LTD.
IN200369
Mr. R. K. Ganeriwala
President (Finance & Corporate
300-301 MAHESHWARI DATAMATICS LTD.
IN200369
Mr. R. K. Ganeriwala
President (Finance & Corporate
302-306; 302-306 MAHESHWARI DATAMATICS LTD.
IN200369
Mr. T.K. Biswas
Manager
307-312 MAHESHWARI DATAMATICS LTD.
IN200369
Mr. T.K. Biswas
Manager
320-328 MAHESHWARI DATAMATICS LTD.
IN200369
Mr. T.K. Biswas
Manager
338-340 MAHESHWARI DATAMATICS LTD.
IN200369
Mr. T.K. Biswas
Manager
001 to 500 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr Dinesh Kanodia
Authorised Signatory
Cert No. :NCD-037
Dist Nos : 23300001 to 333,00,000
Alankit Assignments Ltd.(IN200086) Mr. R.S. Kuchhal
Sr. Vice President (Finance) &
PA01/09-10;00000001 to 6440000 Sharex Dynamic (India) Pvt. Ltd.
IN200393
MR. P.B. CHAVAN
COMPANY SECRETARY
1 (0000001 TO 6440000) Sharex Dynamic (India) Pvt. Ltd.
IN200393
MR. P.B. CHAVAN
COMPANY SECRETARY
OP 01/09-10 ; 0000001 to 0012000 Sharex Dynamic (India) Pvt. Ltd.
IN200393
MR. P.B. CHAVAN
COMPANY SECRETARY
PA02-3/09-10; 6440001 to 7682400 Sharex Dynamic (India) Pvt. Ltd.
IN200393
MR. P.B. CHAVAN
COMPANY SECRETARY
2&3 (6440001 TO 7682400) Sharex Dynamic (India) Pvt. Ltd.
IN200393
MR. P.B. CHAVAN
COMPANY SECRETARY
1 (0000001 TO 0012000) Sharex Dynamic (India) Pvt. Ltd.
IN200393
MR. P.B. CHAVAN
COMPANY SECRETARY
OP 02/09-10 ; 0012001 to 2000000 Sharex Dynamic (India) Pvt. Ltd.
IN200393
MR. P.B. CHAVAN
COMPANY SECRETARY
PA04-5/09-10;7682401 to 35000000 Sharex Dynamic (India) Pvt. Ltd.
IN200393
MR. P.B. CHAVAN
COMPANY SECRETARY
4&5 (7682401 TO 35000000) Sharex Dynamic (India) Pvt. Ltd.
IN200393
MR. P.B. CHAVAN
COMPANY SECRETARY
2 (0012001 TO 2000000) Sharex Dynamic (India) Pvt. Ltd.
IN200393
MR. P.B. CHAVAN
COMPANY SECRETARY
1 to 2000 ABHIPRA CAPITAL LTD-SHR
IN200699
Mr. V.M. Joshi
Vice President
Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. Manish Seth
Authorised Signatory
Sharepro Services (India)Pvt.Ltd.
IN200043
2401 - 3600 KARVY COMPUTERSHARE PVT. LTD.
IN200035
MR. ALOK SHARMA
VICE PRESIDENT
Dist Nos : 1 to 2250000 Karvy Consultants Limited (BP Id
IN200035).
Same as above
Dist Nos : 1 to 1200000 Karvy Consultants Limited (BP Id
IN200035).
Mr. S. Kannan
Asst. General Manager/RIS
Dist Nos : 1 to 3000000 Karvy Consultants Limited (BP Id
IN200035).
Mr. S. Kannan
Asst. General Manager/RIS
Dist Nos : 1 to 17535714 Karvy Consultants Limited (BP Id
IN200035).
Mr. S. Kannan
Asst. General Manager/RIS
Dist Nos : 1 to 9867614 Karvy Consultants Limited (BP Id
IN200035).
Same as above
00001-726750 IN200800
KARVY COMPUTERSHARE-4
Mr. P.A.Varghese
Zonal Head
00000001 to 10072005 IN200117
BIGSHARE SERVICES
Mr. Babu Rapheal C
Sr. Manager
BIGSHARE SERVICES LTD
IN200117
1 to 8880 INTIME SPECTRUM IN200094 Smt P R Geetha. Jr. Officer-Shares.
Kirloskar Computers Services Ltd. P B
Cert No. 1 to 25
Dist Nos : 1 to 19402
Karvy Consultants Ltd(IN200035) Mr. S. Kannan
Asst. General Manager/RIS
1-175 KARVY COMPUTERSHARE PVT LTD.-4
IN200800
MR. ALOK SHARMA
VICE PRESIDENT
1-80 KARVY COMPUTERSHARE PVT LTD.-4
IN200800
MR. ALOK SHARMA
VICE PRESIDENT
1 - 16 IN200800
KARVY COMPUTERSHARE-4
Mr. P.A.Varghese
General Manager
1-50 KARVY COMPUTERSHARE PVT LTD.-4
IN200800
MR. ALOK SHARMA
VICE PRESIDENT
1 TO 50 IN200800
KARVY COMPUTERSHARE-4
MR. ALOK SHARMA
VICE PRESIDENT
1 - 91 IN200800
KARVY COMPUTERSHARE-4
MR. ALOK SHARMA
VICE PRESIDENT
N.A Cameo Corporate Services Ltd
(IN200176)
Mr. D. Satishkumar
Company Secretary
N.A Cameo Corporate Services Ltd
(IN200176)
Mr. D. Satishkumar
Company Secretary
00001 to 50591 INTEGRATED ENTP. (I) LTD
IN200264
Mr. V.S. Senthil
Fund Manager
N.A KIRLOSKAR COMPUTER SERVI
IN200754
Ms. Suma H.S.
Junior Officer/Data Center
N.A. KIRLOSKAR COMPUTER SERVI
IN200754
Ms. Suma H.S.
Junior Officer
001 ALPHA SYSTEMS PVT. LTD.
IN200248
MR. NITIN BAGAMANE
DIRECTOR
Cert No. 00001
Dist Nos. : 0001-0050
Intime Spectrum Registry Ltd.
(IN200094)
Ms. Samita Lahiri
Company Secretary
Cert No. 00002
Dist Nos. : 0051-0100
Same as above Same as above
Cert No. 00003
Dist Nos. : 0101-0150
Same as above Same as above
Allotment Letter No.
KFL 0003
Intime Spectrum Registry Ltd.
(IN200094)
Ms. Samita Lahiri
Company Secretary
KFL 0009 , KFL 0010 INTIME SPECTRUM REGISTRY
IN200094
Mr. Nikunj Daftary
Head - Depository IPO
Cert No. 1 to 77
Dist Nos : 21296 to 29876
Mennen Financial Services Ltd.
(IN200682)
Same as above
Cert No. 78 to 100
Dist Nos : 29877 to 31893
Mennen Financial Services Ltd.
(IN200682)
Same as above
1 to 2294189 Same as above Same as above
1 to 2000000 Same as above Same as above
001 - 2000 SHAREX
IN200393
Mr. B. Satyanarayanan
Company Secretary
0001-0377 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Ms. Alka Dewangan
Sr.Manager - Treasury
0001-0190 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Ms. Alka Dewangan
Sr.Manager - Treasury
001 - 200 IN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Natarajan B
Associate Vice President- Treasury
001-048 IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. HARISH SHAH
COMPANY SECRETARY
001-400 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Ms. Shilpa Bagul/Ms. Neetu
Sharma/Ms.Hemangi G
001 - 2000 LINK INTIME INDIA PRIVATE LIMITED
IN200094
Ms. Manisha Naik/ Ms. Shilpa Bagul
Executive Treasury
001-250 IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. HARISH SHAH
COMPANY SECRETARY
001 - 340 IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. HARISH SHAH
COMPANY SECRETARY
1-48 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. Sandeep Chordia
V.P.-Compliance Deptt.
1-78 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. Sandeep Chordia
V.P.-Compliance Deptt.
SRNNCDS/10.25%/2008-09-000001 TO
SRNNCDS/10.25%/2008-09-500000
KARVY COMPUTERSHARE PVT LTD.-4
IN200800
Mr. Ramit Rastogi
Company Secretary
SRNNCDs/13-05%/2008-09-00001 to
SRNNCDs/13-05%/2008-09-500000
KARVY COMPUTERSHARE PVT LTD.-4
IN200800
Mr. Ramit Rastogi
Company Secretary
N.A. RCMC SHARE REGISTRY
IN200301
Mr. Manoj Chaturvedi
Director
1 to 1142 INTIME SPECTRUM REGISTRY
IN200094
Mr. Kishor Thakkar
Director
Cert No. 1 to 1426
Cert No. 1506 to 1575
Same as above Same as above
N.A. Intime Spectrum Registry
Ltd.(IN200094)
Mr. Modi Haren
Chief Operating Officer
Cert No One SRNCD/2001/01 Mondkar Computers Pvt. Ltd.
(IN200512)
Mr. Jayesh Merchant
Manager - Share Dept
Cert No. NCD/962/001 to
NCD/962/004
Mondkar Computers Pvt. Ltd.
(IN200512)
Same as above
Cert No. NCD/96/005 Mondkar Computers Pvt. Ltd.
(IN200512)
Same as above
Cert No. NCD/96/007 Mondkar Computers Pvt. Ltd.
(IN200512)
Same as above
Cert No. NCD/96/001 to NCD/96/007 Mondkar Computers Pvt. Ltd.
(IN200512)
Mr. Jayesh Merchant
Manager - Share Dept
NCD 01- NCD 4500 IN200094
LINK INTIME INDIA PRIVATE LIMITED
MS. SHEETAL JOSHI
COMPANY SECRETARY
NCD/2004-05/001-010/CN/276 SHAREPRO SERVICES
IN200043
Mr. G.K. Shettigar
Group Head - Treasury
NCD/2004-05/001-010/C/280 SHAREPRO SERVICES
IN200043
Mr. G.K. Shettigar
Group Head - Treasury
NCD/2004-05/001-005/AR SHAREPRO SERVICES
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2004-05/001-005/AT SHAREPRO SERVICES LTD
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NA SHAREPRO SERVICES IN200043 Mr. G.K. Shettigar
Group Head Treasury
NCD/2005-06/001-040/Y Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2005-06/001-050/AB Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2005-06/001-015/AA Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2005-2006/001-025/BB Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2005-06/011-025/BA Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2005-06/001-015/BC Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2005-06/001-010/BD Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2005-06/001-035/BE Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD2005-06/001-015 BF, NCD2005-
06/001-020 BG,NCD2005-06/001-
Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2005-06/001-025/BN Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2005-06/001-015/BL Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2005-06/001-025/BO Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2005-06/001-021/BP Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2005-06/001-015/CD Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2005-06/001- 010/CG Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2006-07/001-025/B and NCD/2006-
07/001-025/C
Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2006-07/001-015/F Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2006-07/001-010/V Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2006-07/001-025/Y Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2006-07/001-015/D Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2006-07/001-015/AM Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2006-07/001-040/AO Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2006-07/001-015/AQ ; NCD/2006-
07/001-015/AR
Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2006-07/001-025/BA Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2006-07/001-020/BB Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2006-07/001-025/BM Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2006-07/001-015/CR Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2006-07/001-015/DL Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
NCD/2006-07/001-040/DM Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Group Head Treasury
STNCD/886-935 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Asst Vice President Treasury
STNCD/HG001-025 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Asst Vice President Treasury
STNCD/AM 001-025 STNCD/AN 001-050 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr. G.K. Shettigar
Asst Vice President Treasury
NA Sharepro Services (India)Pvt.Ltd.
IN200043
Mr Prakash Khare
Sr. Manager
NA Sharepro Services (India)Pvt.Ltd.
IN200043
Mr Prakash Khare
Sr. Manager
1 - 500 IN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. T. SUKUMAR
COMPANY SECRETARY & COMPLIANCE
1-2000 IN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
Mr Prakash Khare
Sr. Manager
51 - 150 IN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. R. CHANDRASEKARAN
COMPANY SECRETARY
1 - 150 IN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. R. CHANDRASEKARAN
AUTHORISED SIGNATORY
1-9348782 CAMEO CORPORATE SERVICES LTD
IN200176
Mr M. Lakshmi Kanth Joshi
Company Secretary
1 to 4500 MCS Limited
Mumbai
B.Narasimhan
Executive Director
N.A. MCS Ltd.
(IN200019)
Same as above
1/ 1 to 1 MCS LTD, MUMBAI
IN200019
Mr. Venkatesan Arunachalam
Company Secretary
1/ 1 TO 225 KARVY COMPUTERSHARE PVT LTD.-4
IN200800
Mr. Venkatesan Arunachalam
Company Secretary
44 to 45 MCS LTD
IN200424
Mr. K. R. Menon
Executive Director
6 MCS LTD
IN200424
Mr. K. R. Menon
Executive Director
7 MCS LTD
IN200424
Mr. K. R. Menon
Executive Director
48 to 48 MCS LTD
IN200424
Mr. K. R. Menon
Executive Director
446476-448725 IN200393
SHAREX
Mr. Nitin K. Jage
General Manager (Taxation) &
001 - 7500, 7501 - 10000 IN200800
KARVY COMPUTERSHARE-4
Mr. P.A.Varghese
General Manager
001 - 5000 IN200800
KARVY COMPUTERSHARE-4
Mr. P.A.Varghese
General Manager
001 - 4000 IN200800
KARVY COMPUTERSHARE-4
Mr. P.A.Varghese
General Manager
N.A. Cameo Corporate Services Ltd.
(IN200176)
Mr. R.D. Ramasamy
General Manager
NA IN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MS. GITANJALI MEHTA CHUGH
ASSOCIATE DIRECTOR
1-100 NICHE TECHNOLOGIES
IN200490
Mr.Seema Bhuwalka
Senior Officer
Cert No. 9001 to 9032
Dist Nos : 0001 to 0414
Computeronics Financial Services
(IN200658)
Mr. T.P.M Nair
DGM
1 to 24572, 24575, 4883070 to 4923998
, 4924144 to 4924302
MENNEN FIN.SERVICES LTD
IN200682
Mr. R.S. Pandey
Mr. Sandeep T. Madhavi
Cert No. : 1 to 1455
Dist Nos : 4839101 to 4873090
Mennen Financial Services Ltd.
(IN200682)
Mr. R.S. Pandey
Mr. Sandeep T. Madhavi
1 to 521, 4584584 to 4646618 MENNEN FIN.SERVICES LTD
IN200682
Mr. R.S. Pandey/ Mr. Sandeep T.
Madhavi
7272 to 7464, 4780642 to 4792222 MENNEN FIN.SERVICES LTD
IN200682
Mr. R.S. Pandey/ Mr. Sandeep T.
Madhavi
4842 to 6711, 4769745 to 4783735 MENNEN FIN.SERVICES LTD
IN200682
Mr. R.S. Pandey/ Mr. Sandeep T.
Madhavi
17029 to 17133, 4804481 to 4805340,
17516 to 19532, 4809433 to 4812560,
MENNEN FIN.SERVICES LTD
IN200682
Mr. R.S. Pandey/ Mr. Sandeep T.
Madhavi
22034 to 235327, 4817061 to 4837500 MENNEN FIN.SERVICES LTD
IN200682
Mr. R.S. Pandey/ Mr. Sandeep T.
Madhavi
19533 to 22033, 4812561 to 4817060 MENNEN FIN.SERVICES LTD
IN200682
Mr. R.S. Pandey/ Mr. Sandeep T.
Madhavi
N.A. MCS
IN200019
Mr. Dinesh Mengharajani
Sr. Manager
1 to 5 Same as above Same as above
MCS Ltd.
(IN200019)
Mr. Dinesh Mengharajani
Sr. Manager
1 to 11359 Same as above Same as above
N.A. Sharepro Services
(IN200043)
Same as above
N.A. Sharepro Services
(IN200043)
Same as above
001-615 Sharepro Services
(IN200043)
Mr.Anil Sathe,
Manager,
001-560 Sharepro Services
(IN200043)
Mr.Anil Sathe,
Manager,
NA MENNEN FIN.SERVICES LTD
IN200682
Mr. R.S. Pandey/ Mr. Sandeep T.
Madhavi
117082 - 127397
127574 - 173538
Same as above Same as above
127398 - 127573
173539 - 208017
Same as above Same as above
258421 - 276120
232571 - 233570
Same as above Same as above
367401 to 368697 INTIME SPECTRUM REGISTRY
IN200094
Ms. Suma H.S.
Junior Officer
12-15,9576-9582 MENNEN FIN.SERVICES LTD
IN200682
Mr. R.S. Pandey
Mr. Sandeep
NA IN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVI
CHIEF FINANCIAL OFFICER
NA IN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. V. RAVI
CHIEF FINANCIAL OFFICER
Dist Nos : 25,00,001 to 50,00,000 Computech International
Ltd.(IN200328)
Mr. Mukesh Gupta
Company Secretary
001 to 030 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. Sandip Sultania
Secretary & Compliance Officer
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr.C.Radhakrishnan
Company Secretary
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr.C.Radhakrishnan
Company Secretary
1-127 IN200465
SKDC CONSULTANTS LTD.
MR.JAYAKUMAR
SKDC CONSULTANTS LTD.
1-446 IN200465
SKDC CONSULTANTS LTD.
MR.JAYAKUMAR
SKDC CONSULTANTS LTD.
SKDC CONSULTANTS LTD.
IN200465
MR. JAYAKUMAR
NA IN200465
SKDC CONSULTANTS LTD.
MR. JAYAKUMAR
SKDC CONSULTANTS LTD.
NA IN200465
SKDC CONSULTANTS LTD.
MR. JAYAKUMAR
SKDC CONSULTANTS LTD.
NA IN200465
SKDC CONSULTANTS LTD.
MR. JAYAKUMAR
SKDC CONSULTANTS LTD.
1 to 2500000 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr.Hitesh Patel
SENIOR ASSISTANT
NA IN200512
UNIVERSAL CAPITAL SECURITIES
MR. CS ASHISH BHATTAD
AUTHORISED SIGNATORY
Cert No. 10075001 to 10825000 MAS Services Pvt. Ltd.
(IN200133)
Mr. P.K. Singh
Company Secretary, Legal &
105/(8575001 - 9575000) MAS Services Pvt. Ltd.
(IN200133)
Mr. P.K. Singh
Company Secretary, Legal &
11325001 to 11825000 MAS Services Pvt. Ltd.
(IN200133)
Mr. P.K. Singh
Company Secretary, Legal &
9575001 to 10075000 MAS Services Pvt. Ltd.
(IN200133)
Mr. P.K. Singh
Company Secretary, Legal &
1 TO 50 IN200800
KARVY COMPUTERSHARE-4
MS.VILMA MATHIAS GANGAHER
COMPANY SECRETARY
1-1000 IN200035
KARVY COMPUTERSHARE
Mr. P. A. Varghese
General Manager
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. RAJESH A.
COMPANY SECRETARY
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. RAJESH A.
COMPANY SECRETARY
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. RAJESH A.
COMPANY SECRETARY
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. RAJESH A.
COMPANY SECRETARY
NA IN200264
INTEGRATED ENTP. (I) LTD
Mr. Suresh Babu
AGM
NA SATHGURU MGMT CONSULTANT LTD.
IN200352
Mr M V Srinivasa Murthy
Company Secretary
01 to 900000 TSRL
IN200125
Ms. Nandini Nair
Manager
Cert No. 1 to 2873
Dist Nos : 1 to 10000
Mennen Financial Services Ltd.
(IN200682)
Mr. Sandeep T. Madhavi
Manager R & T
N.A. has in-house Share Registry (BP Id
IN100149).
Mr. D. M. Rao, Senior Manager (Co-
ordinator)
N.A. DATAMATICS
IN200336
Mr.V.M. Balekundri
Asst General Manager - Resource
NA DATAMATICS
IN200336
Mr.V.M. Balekundri
Asst General Manager - Resource
NA DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LT
Mr. Rohit Misra
Asst. Gen Manager
NA MCS LTD, MUMBAI
IN200019
Mr. Suresh Iyengar
Manager
NA MCS LTD, MUMBAI
IN200019
Mr. Suresh Iyengar
Manager
na MCS LTD, MUMBAI
IN200019
Mr. Sunil Bhoite
Manager
na MCS LTD, MUMBAI
IN200019
Mr. Sunil Bhoite
Manager
NA MCS LTD, MUMBAI
IN200019
Mr. Suresh Iyengar
Manager
NA MCS LTD, MUMBAI
IN200019
Mr. Suresh Iyengar
Manager
NA MCS LTD, MUMBAI
IN200019
Mr. Suresh Iyengar
Manager
NA MCS LTD, MUMBAI
IN200019
Mr. V.R. Khusro
Asst. General Manager
NA MCS LTD, MUMBAI
IN200019
Mr. V.R. Khusro
Asst. General Manager
NA DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LT
Mr. Rohit Misra
Asst. Gen Manager
NA DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LT
Mr. P Satish
Chief General Manager
NA DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LT
Mr. P Satish
Chief General Manager
NA DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LT
Mr. S Balan
Chief General Manager
NA DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LT
Mr. S Balan
Chief General Manager
NA DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LT
Mr. S Balan
Chief General Manager
NA DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LT
Mr. S Balan
Chief General Manager
NA IN200336
DATAMATICS FINANCIAL SERVICES
Mr S Balan
Chief General Manager - Finance
Dist Nos : 2839 to 4528 Karvy Consultants Limited(IN200035) Same as above
Dist Nos : 4529 to 8146
8185 to 9028
Karvy Consultants Limited(IN200035) Mr. V.K. Jayaraman
Asst. Gen. Manager
NA TSR DARASHAW LIMITED
IN200125
Mr. Pradeep Sharma
Branch Manager
NA BEETAL FINAN.AND COMPU.
IN200504
Mr. Punit Mittal
General Manager
50292-52540 ; 158406-491734 MAS SERVICES LTD.
IN200133
MR. ASHOK GUPTA
GENERAL MANAGER
54077-54977;689990-798683 MAS SERVICES LTD.
IN200133
MR. ASHOK GUPTA
GENERAL MANAGER
54978-55934;798684-934692 MAS SERVICES LTD.
IN200133
MR. ASHOK GUPTA
GENERAL MANAGER
55935-56777;934693-1044591 MAS SERVICES LTD.
IN200133
MR. ASHOK GUPTA
GENERAL MANAGER
56779-57649;1044592-1156360 MAS SERVICES LTD.
IN200133
MR. ASHOK GUPTA
GENERAL MANAGER
57654-58609,1156361-1268739 MAS SERVICES LTD.
IN200133
MR. ASHOK GUPTA
GENERAL MANAGER
58615-59571 ; 1268741-1377312 MAS SERVICES LTD.
IN200133
MR. ASHOK GUPTA
GENERAL MANAGER
59572-60487 ; 1377314-1491889 MAS SERVICES LTD.
IN200133
MR. ASHOK GUPTA
GENERAL MANAGER
60504-62566 ; 1491890-1730176 MAS SERVICES LTD.
IN200133
MR. ASHOK GUPTA
GENERAL MANAGER
BEETAL FINAN.AND COMPU.
IN200504
Mr. Punit Mittal
General Manager
BEETAL FINAN.AND COMPU.
IN200504
Mr. Punit Mittal
General Manager
BEETAL FINAN.AND COMPU.
IN200504
Mr. Punit Mittal
General Manager
BEETAL FINAN.AND COMPU.
IN200504
Mr. Punit Mittal
General Manager
BEETAL FINAN.AND COMPU.
IN200504
Mr. Punit Mittal
General Manager
BEETAL FINAN.AND COMPU.
IN200504
Mr. Punit Mittal
General Manager
BEETAL FINAN.AND COMPU.
IN200504
Mr. Punit Mittal
General Manager
BEETAL FINAN.AND COMPU.
IN200504
Mr. Punit Mittal
General Manager
BEETAL FINAN.AND COMPU.
IN200504
Mr. Punit Mittal
General Manager
BEETAL FINAN.AND COMPU.
IN200504
Mr. Punit Mittal
General Manager
40182307 to 40366404 IN200504
BEETAL FINAN.AND COMPU.
MR. PUNIT MITTAL
GENERAL MANAGER
N.A. BEETAL FINAN.AND COMPU.
IN200504
Mr. Ramesh Gupta
Director
NA BEETAL FINAN.AND COMPU.
IN200504
Mr. Puneet Mittal
Manager
na BEETAL FINAN.AND COMPU.
IN200504
Mr. Puneet Mittal
Manager
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V. Mahesh
Vice President
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V. Mahesh
Vice President
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V. Mahesh
Vice President
N.A. BEETAL FINAN.AND COMPU.
IN200504
Mr. Ramesh Gupta
Director
N.A. BEETAL FINAN.AND COMPU.
IN200504
Mr. Ramesh Gupta
Director
N.A. BEETAL FINAN.AND COMPU.
IN200504
Mr. Ramesh Gupta
Director
N.A. BEETAL FINAN.AND COMPU.
IN200504
Mr. Ramesh Gupta
Director
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. M. S. Madhusudhan / Mr. Mohd
Mohsinuddin
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. M. S. Madhusudhan / Mr. Mohd
Mohsinuddin
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V. Mahesh
Vice President
N.A. BEETAL FINAN.AND COMPU.
IN200504
Mr. Ramesh Gupta
Director
N.A. BEETAL FINAN.AND COMPU.
IN200504
Mr. Ramesh Gupta
Director
NA KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr.V. Mahesh
Vice President
NA KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr.V. Mahesh
Vice President
N.A. BEETAL FINAN.AND COMPU.
IN200504
Mr. Punit Mittal
Manager
NA BEETAL FINAN.AND COMPU.
IN200504
Mr. Puneet Mittal
Manager
NA BEETAL FINAN.AND COMPU.
IN200504
Mr. Punit Mittal
Manager
NA BEETAL FINAN.AND COMPU.
IN200504
Mr. Punit Mittal
Manager
na BEETAL FINAN.AND COMPU.
IN200504
Mr. Puneet Mittal
Manager
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V. Mahesh
Vice President
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V. Mahesh
Vice President
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr.V. Mahesh
Vice President
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr.V. Mahesh
Vice President
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr.V. Mahesh
Vice President
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr.V. Mahesh
Vice President
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V. Mahesh
Vice President
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V. Mahesh
Vice President
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V. Mahesh
Vice President
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V. Mahesh
Vice President
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V. Mahesh
Vice President
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V. Mahesh
Vice President
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V. Mahesh
Vice President
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V. Mahesh
Vice President
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V. Mahesh
Vice President
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V. Mahesh
Vice President
NA KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V. Mahesh
Vice President
NA KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V. Mahesh
Vice President
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. M. S. Madhusudhan / Mr. Mohd
Mohsinuddin
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. M. S. Madhusudhan / Mr. Mohd
Mohsinuddin
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. M. S. Madhusudhan / Mr. Mohd
Mohsinuddin
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. M. S. Madhusudhan / Mr. Mohd
Mohsinuddin
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr.V. Mahesh
Vice President
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr.V. Mahesh
Vice President
NA KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr.V. Mahesh
Vice President
NA KARVY COMPUTERSHARE PVT. LTD.
IN200035
Ms. Vandana Mehrotra
Manager
N.A. BEETAL FINAN.AND COMPU.
IN200504
Mr. Punit Mittal
Manager
NA BEETAL FINAN.AND COMPU. IN200504 Mr. Ramesh Gupta
Director
1 -29/(1 - 22850) Alankit Assignments Ltd.(IN200086) Mr. J.P. Rustagi,
Manager - Shares,
XVA1 to XVA8500 MCS LTD
IN200424
Mr.S.P. Bansal,
Asst.Vice President,
909 to 1388 CAMEO CORPORATE SERVICES LTD
IN200176
Mr. D. P. Parija
Company Secretary
D 01 (0001-8000) LINK INTIME INDIA PRIVATE LIMITED
IN200094
CCD1 : 1-80000 ; CCD2 : 80001-435000
& CCD3 : 435001-510000
INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. Nikunj Daftary
Head - Depository & IPO
OCD1 ; 1-250000 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. Nikunj Daftary
Head - Depository & IPO
26 to 35, 26 to 35 ALANKIT ASSIGNMENTS LTD
IN200086
Mr. K.K. Darbha
Vice President - Legal & Company
36 to 50, 36 to 50 ALANKIT ASSIGNMENTS LTD
IN200086
Mr. K.K. Darbha
Vice President - Legal & Company
NCE001 - 001 TO NCE 001 - 001 Sharepro Services (India)Pvt.Ltd.
IN200043
MR. NIMISH MEHTA
ASST. VICE PRESIDENT - LEGAL
J0000001 to J0000950 MCS Limited
(IN200424)
Mr. B. Deori
Asst. Manager (F) - Bonds Section
NA UTI TECHNOLOGY SERVICES LIMITED
IN200631
Mr.Swapan Kundu
Asst.Vice President
NA UTI TECHNOLOGY SERVICES LIMITED
IN200631
Mr.Swapan Kundu
Asst.Vice President
NA UTI TECHNOLOGY SERVICES LIMITED
IN200631
Mr Ajit Guruji
Vice President - Operation
NA MONDKAR COMPUTERS P.LTD
IN200512
Mr. S.C. Rangani
Senior V.P - Finance & Company
XXI I1 TO XXI I5000 MAS SERVICES LTD.
IN200133
Mr. Pawan Puniani
Manager (Finance/Bond)
XXV E1 TO XXV E 715 MAS SERVICES LTD.
IN200133
Mr.Narender Rastogi
Managing Director
XXVI E1 TO XXVI E 715 MAS SERVICES LTD.
IN200133
Mr.Narender Rastogi
Managing Director
171000001-020
1710500001-23000
Tata Share Registry Limited (BP Id
IN200125).
Ms. Nandini Nair
Manager
162000001-08
1620700001-09940
Tata Share Registry Limited (BP Id
IN200125).
Ms. Nandini Nair
Manager
Dist Nos : 104231 to 135001
LOA Nos :
Tata Share Registry Limited (BP Id
IN200125).
Same as above
N.A. Tata Share Registry Limited (BP Id
IN200125).
Ms. Nandini Nair
Manager
881831-994884 IN200800
KARVY COMPUTERSHARE-4
MR. P.A. VARGHESE
ZONAL HEAD - CORPORATE REGISTRY
NA INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Ms. Bhavini Modi
Company Secretary
N.A. MCS Ltd.
(IN200424)
Mr. S.P. Bansal
Asst. Vice President
NA TSR DARASHAW LIMITED
IN200125
MS. VIDYA BRAHME
MANAGER
TSR DARASHAW LIMITED
IN200125
MS. VIDYA BRAHME
MANAGER
NA IN200125
TSR DARASHAW LIMITED
MS. VIDYA BRAHME
MANAGER
TSR DARASHAW LIMITED
IN200125
Mr Prasad Vaikul
Finance Manager
1 - 1500 IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAV
INTIME SPECTRUM REGISTRY LTD.
3001-6000 LINK INTIME INDIA PRIVATE LIMITED
IN200094
Mr. Nikunj Daftary
Head - Depository & IPO
D01 to D52 LINK INTIME INDIA PRIVATE LIMITED
IN200094
MR. Deepak Kewaliya
Company Secretary
N.A. MCS Ltd.
(IN200424)
Mr. T.K. Banerjee
Company Secretary
1 to 840 KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr Shekhar Gandhi
AVP/Commercial
Dist Nos : 00148116 to 00153340,
00119361 to 00125360,
Cameo Corporate Services Ltd.
(IN200176)
Mr. N. Ramanathan
Director
NA ALANKIT ASSIGNMENTS LTD
IN200086
Mr.Alok Kumar Agarwal
Managing Director
NA ALANKIT ASSIGNMENTS LTD
IN200086
Mr.Alok Kumar Agarwal
Managing Director
Na ALANKIT ASSIGNMENTS LTD
IN200086
Mr. Harish Chandra Agarwal
President
NA ALANKIT ASSIGNMENTS LTD
IN200086
Mr. Harish Chandra Agarwal
President
NA SKYLINE FIN.SERV PVT LTD
IN200432
Mr. Milind.M.Dafade
Manager (Finance - RMU)
N.A. SKYLINE FIN.SERV PVT LTD
IN200432
Mr. Subhas Agarwal
Director
N.A. RCMC Share Registry (P) Ltd.
(IN200301)
Same as above
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. B KALYANARAMAN
CHIEF GENERAL MANAGER
D/1 - 12750 KARVY COMPUTERSHARE PVT LTD.-4
IN200800
MR. P.A.VARGHESE
GENERAL MANAGER
1-222;1-14950 ALANKIT ASSIGNMENTS LTD
IN200086
Mr. Mahesh Jairath
Vice President
DA 1 - 1 ; DA1-000000001 to DA1-
014281250
Sharex Dynamic (India) Pvt. Ltd.
IN200393
MR. SHAILESH S. BAGAITKAR
FINANCE & ACCOUNTS MANAGER
DA 2 - 1 ; DA2-000000001 to DA2-
014281250
Sharex Dynamic (India) Pvt. Ltd.
IN200393
MR. SHAILESH S. BAGAITKAR
FINANCE & ACCOUNTS MANAGER
DA3 - 1 ; DA3-000000001 to DA3-
28562500
Sharex Dynamic (India) Pvt. Ltd.
IN200393
MR. SHAILESH S. BAGAITKAR
FINANCE & ACCOUNTS MANAGER
DA4 - 1 ; DA4-000000001 to DA4-
057125000
Sharex Dynamic (India) Pvt. Ltd.
IN200393
MR. SHAILESH S. BAGAITKAR
FINANCE & ACCOUNTS MANAGER
N.A. MAS SERVICES
IN200133
Mr. R.S. Gupta
General Manager (Finance)
N.A. MAS SERVICES
IN200133
Mr. R.S. Gupta
General Manager (Finance)
Dist Nos : 200000001 to 200040000 In house Share Registry (IN200449) Mr. J.P. Vijai
Special Officer ( B&R)
Cert No. 1 to 191
Dist Nos : 00001 to 28805
IIT Corporate Services Ltd.(IN200150) Mr. D.K. Sharma
Secretary
NCD-36 ; 1006341 to 1008340 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. Ganesh Jadhav
Officer
NCD-37 ; 1008341 to 1010340 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. Ganesh Jadhav
Officer
NA UTI TECHNOLOGY SERVICES LIMITED
IN200631
Mr.Swapan Kundu
Asst.Vice President
001-0100 LINK INTIME INDIA PRIVATE LIMITED
IN200094
Mr. L. Vednarayanan
Managing Director
001 - 0100 LINK INTIME INDIA PRIVATE LIMITED
IN200094
Mr. L. Vednarayanan
Managing Director
NA INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr Shivaji Gunware
Asst Vice President
NA LINK INTIME INDIA PRIVATE LIMITED
IN200094
Ms Poonam Mirchandani
Compliance Officer
1-1980 MAHESHWARI DATAMATICS LTD.
IN200369
Mr. S Rajgopal
Vice President
2801-5600 MAHESHWARI DATAMATICS LTD.
IN200369
Mr. S Rajgopalan
Vice President
NA IN200078
KARVY COMPUTERSHARE - RIL
MR. V.R. MOHAN
COMPANY SECRETARY
N.A. IN200078
KARVY COMPUTERSHARE - RIL
MR. V.R. MOHAN
COMPANY SECRETARY & MANAGER
NA IN200078
KARVY COMPUTERSHARE - RIL
MR. V.R. MOHAN
COMPANY SECRETARY
NA IN200078
KARVY COMPUTERSHARE - RIL
MR. V.R. MOHAN
COMPANY SECRETARY
NA IN200078
KARVY COMPUTERSHARE - RIL
MR. V.R. MOHAN
COMPANY SECRETARY
NA IN200078
KARVY COMPUTERSHARE - RIL
MR. V.R. MOHAN
COMPANY SECRETARY
NA IN200078
KARVY COMPUTERSHARE - RIL
MR. V.R. MOHAN
COMPANY SECRETARY
NA IN200078
KARVY COMPUTERSHARE - RIL
MR. V.R. MOHAN
COMPANY SECRETARY
NA IN200078
KARVY COMPUTERSHARE - RIL
MR. V.R. MOHAN
COMPANY SECRETARY
NA IN200078
KARVY COMPUTERSHARE - RIL
MR. V.R. MOHAN
COMPANY SECRETARY
NA IN200078
KARVY COMPUTERSHARE - RIL
MR. V.R. MOHAN
COMPANY SECRETARY & MANAGER
NA IN200078
KARVY COMPUTERSHARE - RIL
MR. V.R. MOHAN
COMPANY SECRETARY
NCD (SERIES 2) 1200 IN200078
KARVY COMPUTERSHARE - RIL
MR. ANIL C SHAH
COMPANY SECRETARY
Cert No.: 000001 to 000104
Dist Nos. :
Same as above Same as above
1 to 2250 Karvy Consultants Limited (BP Id
IN200078).
Mr. V. Mahesh, Vice President
Karvy Consultants Limited
N.A. Same as above Same as above
N.A. Same as above Same as above
N.A. MCS Ltd., New Delhi
(IN200424)
Same as above
N.A. MCS Ltd., New Delhi
(IN200424)
Same as above
N.A. MCS Ltd., New Delhi
(IN200424)
Mr. Rakesh Jamwal
Manager
N.A. MCS Limited(IN200424) Same as above
N.A. MCS Limited(IN200424) Mr. Rakesh Jamwal
Manager
N.A. MCS Limited(IN200424) Mr. Rakesh Jamwal
Manager
N.A. MCS Limited(IN200424) Mr. Rakesh Jamwal
Manager
N.A. MCS Limited(IN200424) Mr. Rakesh Jamwal
Manager
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr. Naresh Chander
Director
N.A. RCMC SHARE REGISTRY
IN200301
Mr. Naresh Chander
Director
N.A. RCMC SHARE REGISTRY
IN200301
Mr. Naresh Chander
Director
N.A. RCMC SHARE REGISTRY
IN200301
Mr. Naresh Chander
Director
N.A. RCMC SHARE REGISTRY
IN200301
Mr. Naresh Chander
Director
N.A RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr. Naresh Chander
Director
N.A. MCS Ltd., New Delhi
(IN200424)
Mr. Rakesh K. Arora
Dy. Chief (Bonds)
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr. Naresh Chander
Director
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr Vice President
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr Vice President
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr. Naresh Chander
Director
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr Vice President
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr. Naresh Chander
Director
Cert No. 001 to 200
501 to 594
Same as above Shri. Rakesh Jamwal
Manager,
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
Cert No. 1001 to 1115
501 to 543
Same as above Shri. Rakesh Jamwal
Manager,
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr. Naresh Chander
Director
NA BEETAL FINAN.AND COMPU.
IN200504
Mr S P Gupta
Vice President
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
na RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr. Naresh Chander
Director
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
na RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr. Naresh Chander
Director
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
NA RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
NA BEETAL FINAN.AND COMPU.
IN200504
Mr S P Gupta
Vice President
RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
NA BEETAL FINAN.AND COMPU.
IN200504
Mr S P Gupta
Vice President
RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
NA BEETAL FINAN.AND COMPU.
IN200504
Mr S P Gupta
Vice President
RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
RCMC SHARE REGISTRY PVT. LTD.
IN200301
Mr Rakesh Adhana
Sr. Vice President
IN200301
RCMC SHARE REGISTRY
MR RAKESH ADHANA
SR. VICE PRESIDENT
IN200301
RCMC SHARE REGISTRY
MR RAKESH ADHANA
SR. VICE PRESIDENT
NA BEETAL FINAN.AND COMPU.
IN200504
Mr S P Gupta
Vice President
001; 1 to 30450000 BIGSHARE SERVICES LTD
IN200117
Mr.N. V. K.Mohan
Managing Director
300 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. Vijay Kalyani
Company Secretary
NCD-V/01
(1 to 1500000)
Intime Spectrum Registry Private
Limited (BP Id IN200094).
Same as above
34,00,001 to 46,00,000 Sharepro Services
(IN200043)
Mr. Ramesh Vaidya
Senior Secretarial Officer
Cert No. 70001 to 70005
Dist Nos. 129601to 130000
Same as above Same as above
Cert No. 1 to 216
Dist Nos. 1 to 53798
MCS Limited
(IN200019)
Mr. Harisingh Gehlot
Sr.Manager,
N.A. MCS Limited
(IN200019)
Mr. Harisingh Gehlot
Sr.Manager,
N.A. MCS Limited
(IN200019)
Mr. Harisingh Gehlot
Sr.Manager,
Cert No. 1 to 58
Dist Nos. 1 to 39399
Same as above Same as above
MCS Limited
(IN200019)
Mr. Harisingh Gehlot
Sr.Manager,
N.A. MCS Limited
(IN200019)
Mr. Harisingh Gehlot
Sr.Manager,
N.A. MCS Limited
(IN200019)
Mr. Harisingh Gehlot
Sr.Manager,
N.A. MCS
IN200019
Mr. Mahendra Singh
Manager
Same as Above Same as Above
N.A. IIT Corporate Services Ltd.
(IN200150)
Mr. A. Srinivasan
Vice President & Company Secretary
00001-800000 IN200800
KARVY COMPUTERSHARE-4
Mr. P.A.Varghese
Zonal Head
000001-392500 IN200800
KARVY COMPUTERSHARE-4
Mr. P.A.Varghese
Zonal Head
00001-00800 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. Brajesh Palsaniya
Manager- Finance
00801 to 01000 INTIME SPECTRUM REGISTRY, MUMBAI
IN200094
Mr. Brajesh Palsaniya
Manager- Finance
OCD- 001 TO 2500 IN200449
LINK INTIME INDIA PVT LTD, DELHI
MR. VIMAL CHADHA
COMPANY SECRETARY
Cert No. NCD-01
Dist Nos : 0000001 to 1000000
Karvy Consultants Ltd.
(IN200035)
Mr. V.K. Jayaraman
Asst. General Manager
Cert No. NCD-01
Dist Nos : 0000001 to 650000
Karvy Consultants Ltd.
(IN200035)
Mr. V.K. Jayaraman
Asst. General Manager
1/(1 - 750000) Karvy Consultants Ltd(IN200035) Mr. V. Mahesh
Vice President
N.A. Karvy Consultants Ltd(IN200035) Mr. V. Mahesh
Vice President
N.A. Karvy Consultants Ltd(IN200035) Same as above
N.A. Karvy Consultants Ltd(IN200035) Same as above
NCD/B/1 000001 TO 167000 AOK inhouse Share Registry-BP ID
IN200449
Mr.V.K.Bhatia,
Authorise signotary/Secretarial
60518464 TO 60518613 IN200264
INTEGRATED ENTP. (I) LTD
MR. SURESH BABU K.
ASSISTANT VICE PRESIDENT
60518814 - 60519103 IN200264
INTEGRATED ENTP. (I) LTD
MR. SURESH BABU K.
ASSISTANT VICE PRESIDENT
8100000866-8100001028 IN200264
INTEGRATED ENTP. (I) LTD
Mr. Parag Sharma
Authorised Signatory
60508651 to 60509250 INTEGRATED ENTP. (I) LTD
IN200264
Mr. Parag Sharma
Vice President - Finance
8000022353 - 8000022452 IN200264
INTEGRATED ENTP. (I) LTD
Mr. Parag Sharma
Chief Financial Officer
STN01-00001 to
STN01-02500
Intime Spectrum Registry
Ltd.(IN200094)
Mr. Ateesh A. Samant
Dy. General Manager - Treasury Dept
NA THE INDIAN HOTELS COMPANY LTD
IN100261
N.A. Karvy Consultants Ltd.
(IN200035)
Same as above
N.A. Karvy Consultants Ltd.
(IN200035)
Same as above
N.A. Karvy Consultants Ltd.
(IN200035)
Same as above
N.A. DATAMATICS
IN200336
Ms. Manisha Srivastva
Executive
N.A. Karvy Consultants Ltd.
(IN200035)
Mr. Ganapathy Subramaniam
Vice President
N.A. Karvy Consultants Ltd.
(IN200035)
Mr. Ganapathy Subramaniam
Vice President
N.A. Karvy Consultants Ltd.
(IN200035)
Mr. Ganapathy Subramaniam
Vice President
N.A. Karvy Consultants Ltd.
(IN200035)
Mr. Ganapathy Subramaniam
Vice President
N.A. Karvy Consultants Ltd.
(IN200035)
Mr. Ganapathy Subramaniam
Vice President
N.A. Karvy Consultants Ltd.
(IN200035)
Mr. Ganapathy Subramaniam
Vice President
N.A. Karvy Consultants Ltd.
(IN200035)
Mr. Ganapathy Subramaniam
Vice President
N.A. Karvy Consultants Ltd.
(IN200035)
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY CONSULTANTS LIMITED
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY CONSULTANTS LIMITED
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY CONSULTANTS LIMITED
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY CONSULTANTS LIMITED
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY CONSULTANTS LIMITED
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY CONSULTANTS LIMITED
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. DATAMATICS
IN200336
Ms. Manisha Srivastva
Executive
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
NA KARVY
IN200035
Mr.P. K. Agrawal
Asst. General Manager
NA KARVY
IN200035
Mr.P. K. Agrawal
Asst. General Manager
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. Karvy Consultants Ltd.
(IN200035)
Same as above
N.A. Karvy Consultants Ltd.
(IN200035)
Same as above
N.A. Karvy Consultants Ltd.
(IN200035)
Same as above
N.A. Karvy Consultants Ltd.
(IN200035)
Same as above
N.A. Datamatics Financial Software &
Services Ltd.(IN200336)
Mr. Abhay Sarfare
Datamatics Financial Software and
N.A. Karvy Consultants Ltd.
(IN200035)
Same as above
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. Karvy Consultants Ltd.
(IN200035)
Mr. Ganapathy Subramaniam
Vice President
N.A. Karvy Consultants Ltd.
(IN200035)
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. Karvy Consultants Ltd.
(IN200035)
Mr. Ganapathy Subramaniam
Vice President
N.A. Karvy Consultants Ltd.
(IN200035)
Mr. Ganapathy Subramaniam
Vice President
N.A. Karvy Consultants Ltd.
(IN200035)
Mr. Ganapathy Subramaniam
Vice President
N.A. Karvy Consultants Ltd.
(IN200035)
Mr. Ganapathy Subramaniam
Vice President
N.A. Karvy Consultants Ltd.
(IN200035)
Mr. Ganapathy Subramaniam
Vice President
N.A. Karvy Consultants Ltd.
(IN200035)
Mr. Ganapathy Subramaniam
Vice President
N.A. Karvy Consultants Ltd.
(IN200035)
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY CONSULTANTS LIMITED
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY CONSULTANTS LIMITED
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY CONSULTANTS LIMITED
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY CONSULTANTS LIMITED
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY CONSULTANTS LIMITED
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY CONSULTANTS LIMITED
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
NA KARVY
IN200035
Mr.P.K. Agarwal
Asst. General Manager
NA KARVY
IN200035
Mr.P. K. Agrawal
Asst. General Manager
NA KARVY
IN200035
Mr.P. K. Agrawal
Asst. General Manager
N.A. KARVY
IN200035
Ms. Manisha Srivastava
Executive
N.A. KARVY
IN200035
Ms. Manisha Srivastava
Executive
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
N.A. KARVY
IN200035
Mr. Ganapathy Subramaniam
Vice President
NA DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LT
Mr.Deepak Phanse
Senior Manager
na DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LTD
Mr.Deepak Phanse
Senior Manager
na DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LTD
Mr.Deepak Phanse
Senior Manager
na DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LTD
Mr.Deepak Phanse
Senior Manager
na DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LTD
Mr.Deepak Phanse
Senior Manager
NA DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LT
Mr.Deepak Phanse
Senior Manager
NA DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LT
Mr.Deepak Phanse
Senior Manager
NA DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LT
Mr.Deepak Phanse
Senior Manager
NA DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LT
Mr.Deepak Phanse
Senior Manager
NA DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LT
Mr.Deepak Phanse
Senior Manager
NA DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LTD
Mr.Deepak Phanse
Senior Manager
NA DATAMATICS FINANCIAL SOFTWARE
AND SERVICES LTD
Mr.Deepak Phanse
Senior Manager
01-50 RCMC SHARE REGISTRY PVT. LTD.
IN200301
2 ; 7500001 to 10000000 CAMEO CORPORATE SERVICES LTD
IN200176
Mr. N. Ramkrishnan
Vice President - Corporate Affairs
Cert No. 1 to 13
Dist Nos : 1 to 100
Cameo Corporate Services Ltd.
(IN200176)
Mr. M. Vasanthan
Jt. General Manager (Secretarial)
1 to 200 BIGSHARE SERVICES LTD
IN200117
Mr.Prem Iyes
Compant Secretary
1-20 BIGSHARE SERVICES LTD
IN200117
Mr.Prem Iyes
Compant Secretary
1-700 BIGSHARE SERVICES LTD
IN200117
Mr.Prem Iyes
Compant Secretary
D001 - D500 BEETAL FINAN.AND COMPU.
IN200504
Mr. Pradeepta Kumar Puhan
Company Secretary
NA IN200596
S. K. INFOSOLUTIONS PRIVATE LIMITED
MR. DILIP BHATTACHARYA
DIRECTOR
NA IN200596
S. K. INFOSOLUTIONS PRIVATE LIMITED
MR. DILIP BHATTACHARYA
SENIOR MANAGER
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MS. B. BISWAS
MANAGER (R & T)
NA MCS,KOLKATA
IN200328
MR. ALOK MUKHERJEE
PRESIDENT
NA MCS,KOLKATA
IN200328
MR. ALOK MUKHERJEE
PRESIDENT
MCS,KOLKATA
IN200328
MCS,KOLKATA
IN200328
MCS,KOLKATA
IN200328
MCS,KOLKATA
IN200328
NA MCS,KOLKATA
IN200328
MR. ALOK MUKHERJEE
PRESIDENT
NA MCS,KOLKATA
IN200328
MR. ALOK MUKHERJEE
PRESIDENT
NA MCS,KOLKATA
IN200328
MR. ALOK MUKHERJEE
PRESIDENT
NA MCS,KOLKATA
IN200328
MR. ALOK MUKHERJEE
PRESIDENT
NA MCS,KOLKATA
IN200328
MR. ALOK MUKHERJEE
PRESIDENT
N.A. MCS,KOLKATA
IN200328
MR. ALOK MUKHERJEE
PRESIDENT
N.A. MCS,KOLKATA
IN200328
MR. ALOK MUKHERJEE
PRESIDENT
N.A. MCS,KOLKATA
IN200328
MR. ALOK MUKHERJEE
PRESIDENT
NA MCS,KOLKATA
IN200328
MR. ALOK MUKHERJEE
PRESIDENT
NA MCS,KOLKATA
IN200328
NA MCS,KOLKATA
IN200328
NA MCS,KOLKATA
IN200328
NA MCS,KOLKATA
IN200328
NA MCS,KOLKATA
IN200328
MR. ALOK MUKHERJEE
PRESIDENT
NA MCS,KOLKATA
IN200328
MR. ALOK MUKHERJEE
PRESIDENT
NA MCS,KOLKATA
IN200328
MR. ALOK MUKHERJEE
PRESIDENT
NA MCS,KOLKATA
IN200328
MR. ALOK MUKHERJEE
PRESIDENT
NA MCS,KOLKATA
IN200328
MR. ALOK MUKHERJEE
PRESIDENT
NA MCS,KOLKATA
IN200328
MR. ALOK MUKHERJEE
PRESIDENT
NA MCS,KOLKATA
IN200328
MR. ALOK MUKHERJEE
PRESIDENT
NA MCS,KOLKATA
IN200328
MR. ALOK MUKHERJEE
PRESIDENT
NA MCS,KOLKATA
IN200328
MR. ALOK MUKHERJEE
PRESIDENT
1 5266075 AMI Computers (India) Limited (BP Id
IN200385).
Mr. Ratan Mishra
Director
1 to 1500 IN200800
KARVY COMPUTERSHARE-4
Mr.Anoop K.Joshi
VICE- PRESIDENT & COMPANY
NA KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. H.R. Sankhla
Chief Manager
001-420 RCMC SHARE REGISTRY IN200301 Mr. S. K. Gupta
Manager (Bonds & Services)
0001 to 2300 RCMC Share Registry(IN200301) Mr.S.K.Gupta/Mr. Deninder Kumar,
Manager(bonds)/Secretary,
0001 to 3900 RCMC Share Registry(IN200301) Mr.S.K.Gupta/Mr. Deninder Kumar,
Manager(bonds)/Secretary,
N.A. Sharepro Services
(IN200043)
Mr.K.G. Abraham
Manager - Depository
NA IN200176
CAMEO CORPORATE SERV LTD
Mr. V.Swaminathan
Company Secretary
IN200176
CAMEO CORPORATE SERV LTD
Mr. V.Swaminathan
Company Secretary
NA IN200176
CAMEO CORPORATE SERV LTD
Mr. V.Swaminathan
Company Secretary
0001-0100 IN200176
CAMEO CORPORATE SERV LTD
MR. S.BALAKRISHNAN
MANAGER - FINANCE
0001 - 0500 IN200176
CAMEO CORPORATE SERV LTD
MR. P VISWANATHAN
SECRETARY AND COMPLIANCE OFFICER
0001 - 0250 IN200176
CAMEO CORPORATE SERV LTD
MR. S.BALAKRISHNAN
MANAGER - FINANCE
0001 - 0100 IN200176
CAMEO CORPORATE SERV LTD
MR. S.BALAKRISHNAN
MANAGER - FINANCE
0001 - 0150 IN200176
CAMEO CORPORATE SERV LTD
MR. S.BALAKRISHNAN
MANAGER - FINANCE
0001 - 0060 IN200176
CAMEO CORPORATE SERV LTD
MR. S.BALAKRISHNAN
MANAGER - FINANCE
0001-0250 IN200176
CAMEO CORPORATE SERV LTD
MR. S.BALAKRISHNAN
MANAGER - FINANCE
0001-0350 IN200176
CAMEO CORPORATE SERV LTD
MR. S.BALAKRISHNAN
MANAGER - FINANCE
0001 - 0100 IN200176
CAMEO CORPORATE SERV LTD
MR. S.BALAKRISHNAN
MANAGER - FINANCE
NA BIGSHARE SERVICES LTD
IN200117
Mr. Chain Sukh Jain
Vice President Finance
N.A. KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. Sunil Y. Barve
Manager
1 to 1000, 1001 to 4000, 4001 to 7500 INTEGRATED ENTP. (I) LTD
IN200264
Mr. M. Maheswari Bai
Dy. Financial Controller (Funds)
Cert No. 1 to 275
Dist Nos : 1 to 52486
Same as above Same as above
Cert No. 1 to 155
Dist Nos : 24102 to 43873
Mennen Financial Services Ltd.
(IN200682)
Same as above
Cert No. 1 to 130
Dist Nos : 74817 to 84565
Mennen Financial Services Ltd.
(IN200682)
Same as above
cert. No1-55 ,Dist. NO 102724-125861 MENNEN FIN.SERVICES LTD
IN200682
Mr. R.S. Pandey
Mr. Sandeep T. Madhavi
Cert No. 1 to 147
Dist Nos : 57118 to 74816
Mennen Financial Services Ltd.
(IN200682)
Same as above
1-1623793 IN200800
KARVY COMPUTERSHARE-4
MR. S.V. RAJU
Vice President
1-3026458 IN200800
KARVY COMPUTERSHARE-4
MR. S.V. RAJU
Vice President
1-1994554 IN200800
KARVY COMPUTERSHARE-4
MR. S.V. RAJU
Vice President
1 - 875288 IN200800
KARVY COMPUTERSHARE-4
MR. S.V. RAJU
Vice President
NA Sharepro Services (India)Pvt.Ltd.
IN200043
MR. S. H. RAJADHYAKSHA
HEAD - LEGAL & COMPLIANCE AND
NA IN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. KAMLESH PAREKH
HEAD LEGAL & COMPLIANCE
NA KARVY COMPUTERSHARE PVT LTD.-4
IN200800
MR. S. H. RAJADHYAKSHA
HEAD - LEGAL & COMPLIANCE AND
NA KARVY COMPUTERSHARE PVT LTD.-4
IN200800
MR. S. H. RAJADHYAKSHA
HEAD - LEGAL & COMPLIANCE AND
NA KARVY COMPUTERSHARE PVT LTD.-4
IN200800
MR. S. H. RAJADHYAKSHA
HEAD - LEGAL & COMPLIANCE AND
NA IN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. S. H. RAJADHYAKSHA
HEAD- LEGAL & COMPLIANCE &
NA TSR DARASHAW LIMITED
IN200125
MS NANDINI NAIR
MANAGER - OPERATIONS
N.A. Tata Share Registry Limited (BP Id
IN200125).
Ms. S.R. Billimoria
Sr. Manager
TCD/001 ( TCD/001 TO TCD/750 ) LINK INTIME INDIA PRIVATE LIMITED
IN200094
MR. AMIT SHAH
COMPANY SECRETARY
NA IN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Vinay Lavannis
Dy Company Secrectary
NA IN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Vinay Lavannis
Dy Company Secrectary
1 - 1400 IN200800
KARVY COMPUTERSHARE-4
Mr. P.A.Varghese
General Manager
1 - 1400 IN200800
KARVY COMPUTERSHARE-4
Mr. P.A.Varghese
General Manager
N.A. Karvy Consultants Ltd.
(IN200035)
Mr. M.S. Madhusudan
Asst. General Manager
N.A. KARVY
IN200035
Mr. M.S. Madhusudan
Asst. General Manager
NA BIGSHARE SERVICES LTD
IN200117
Mr. Sushil Agarwal
Director
NA BIGSHARE SERVICES LTD
IN200117
Mr. Sushil Agarwal
Director
1 to 8, 1 to 11 SKDC CONSULTANTS LTD.
IN200465
Mr. K.P. Mohanakumar
Company Secretary-Board & Shares
1- 1432053 Alankit Assignments Limited (BP Id
IN200086).
Mr. J. P. Rustagi
Manager Shares
N.A. Computech Sharecap Ltd.
(IN200310)
Mr. Dadyburjor
Mr. Polaad Dadyburjor
PP7/1 to PP7/20 (1 - 2385) Integrated Enterprises (India)
Limited.(IN200264)
Mr. G. Balakrishnan
Company Secretary
PP7/1 to PP7/20 (1 - 2385) Integrated Enterprises (India) Limited.
(IN200264)
Mr. G. Balakrishnan
Company Secretary
1 - 30/(1 - 7630) Same as above Same as above
1-60285150 THE INDIAN HOTELS COMPANY LTD
IN100261
Mr.Dev Bajpai
Vice President - Legal & Company
N.A Integrated Enterprises (India) Ltd.
(IN200264)
Mr. S. Venkateswaran
Company Secretary, Secretarial Dept
1 to 10152 In-house Share Registry
(IN200449)
Same as above
1 to 9448 In-house Share Registry
(IN200449)
Same as above
1 to 8829 In-house Share Registry
(IN200449)
Same as above
1 to 1185 In-house Share Registry
(IN200449)
Same as above
1 to 1376 In-house Share Registry
(IN200449)
Same as above
1 to 3665 In-house Share Registry
(IN200449)
Same as above
Cert Nos 99000001 to 99001985
Dist Nos : 01000001 to
Same as above Same as above
Cert Nos : 20000001 to 20002683
Dist Nos : 1 to 2683
Same as above Same as above
NA CAMEO CORPORATE SERVICES LTD
IN200176
Mr. A.R. Alagappan
General Manager ( F & R)
NA CAMEO CORPORATE SERVICES LTD
IN200176
Mr. A.R. Alagappan
General Manager ( F & R)
NA CAMEO CORPORATE SERVICES LTD
IN200176
Mr. A.R. Alagappan
General Manager ( F & R)
Cert No. 1 to 153
Dist Nos 1 to 3850
IIT Corporate Services Ltd.
(IN200150)
Ms. Asha Shetty
IIT Corporate Services Ltd.
Cert No. 26
3021 to 3120
IIT Corporate Services Ltd.
(IN200150)
Ms. Asha Shetty
IIT Corporate Services Ltd.
CERTI NO- (1-1) DIST NO- (1-377500) IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. SHADAB ALAM
ADMINISTRATION
NA TATA SHARE REGISTRY LTD.
IN200125
Mr. S.R. Billimoria
Sr. Manager
Cert No. G
Dist Nos : 2400009 to 2400020
Trident Investment & Portfolio
Services Pvt. Ltd.
Same as above
49195 to 50000 KARVY
IN200035
Mr. V.K. Jayaraman
Asst. General Manager
25695 to 40694 KARVY
IN200035
Mr. V.K. Jayaraman
Asst. General Manager
40695 to 49194 KARVY
IN200035
Mr. V.K. Jayaraman
Asst. General Manager
32102 to 142789 KARVY
IN200035
Mr. V.K. Jayaraman
Asst. General Manager
76 to 1626, 11100 to 39489, 51501 to
80000
KARVY
IN200035
Mr. V.K. Jayaraman
Asst. General Manager
12856 to 12916
13066 to 13635
KARVY
IN200035
Mr. V.K. Jayaraman
Asst. General Manager
6220 to 17126 KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V.K. Jayaraman
Asst. General Manger
1071 to 1323 KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V.K. Jayaraman
Asst. General Manger
26061 to 29739 KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V.K. Jayaraman
Asst. General Manger
3719 to 5520, 6120 to 6219 KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. V.K. Jayaraman
Asst. General Manger
NA ABHIPRA CAPITAL LTD-SHR
IN200699
Mr. A.K. Bansal
Sr. Vice President & Finance &
N.A. ABHIPRA CAPITAL LTD-SHR
IN200699
Mr. A.K. Bansal
Sr. Vice President & Finance &
1 to 1311776 TATA SHARE REGISTRY LTD.
IN200125
Ms.Madhuri Narang
Manager
1 to 1000 KARVY COMPUTERSHARE PVT LTD.-4
IN200800
Mr.Dinesh Kaushal
CFO & Company Secretary
1 to 750 KARVY COMPUTERSHARE PVT LTD.-4
IN200800
Mr.Manjeet Singh Thakur
Company Secretary
1 to 500 KARVY COMPUTERSHARE PVT LTD.-4
IN200800
Mr.Deepinder Singh Bedi
Executive Director
na KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr. M.S. Madhusudan
Asst. General Manager
1679 1728 Sharepro Services (IN200043) Mr. G. R. Rao
Managing Partner
0001-2000 ALANKIT ASSIGNMENTS LTD
IN200086
Mr. Deepak Jain
Company Secretary
2251-3250 ALANKIT ASSIGNMENTS LTD
IN200086
Mr. Deepak Jain
Company Secretary
4251-5250 ALANKIT ASSIGNMENTS LTD
IN200086
Mr. Deepak Jain
Company Secretary
00000001 to 15000000 ALANKIT ASSIGNMENTS LTD
IN200086
Mr. Deepak Jain
Company Secretary
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh Jadhav
Senior Executive-Operation,
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh Jadhav
Senior Executive-Operation,
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh Jadhav
Senior Executive-Operation,
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh Jadhav
Senior Executive-Operation,
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh Jadhav
Senior Executive-Operation,
NA IN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh Jadhav
Senior Executive-Operation,
N.A. KARVY
IN200035
Shri. V. K. Jayaraman
Mr. K.S. Reddy
NA INTIME SPECTRUM,DELHI
IN200449
Mr. M.K. Shah
Senior Manager (Finance Division)
N.A. INTIME SPECTRUM,DELHI
IN200449
Mr. R.K. Maheshwari
Chief Manager(Fin. Div.)
NA INTIME SPECTRUM,DELHI
IN200449
Mr. M.K. Shah
Senior Manager (Finance Division)
NA INTIME SPECTRUM,DELHI
IN200449
Mr. M.K. Shah
Senior Manager (Finance Division)
NA INTIME SPECTRUM,DELHI
IN200449
Mr. M.K. Shah
Senior Manager (Finance Division)
NA INTIME SPECTRUM,DELHI
IN200449
Mr. M.K. Shah
Senior Manager (Finance Division)
NA INTIME SPECTRUM,DELHI
IN200449
Mr. M.K. Shah
Senior Manager (Finance Division)
N.A. INTIME SPECTRUM,DELHI
IN200449
Mr. R.K. Maheshwari
Chief Manager(Fin. Div.)
N.A. INTIME SPECTRUM,DELHI
IN200449
Mr. R.K. Maheshwari
Chief Manager(Fin. Div.)
N.A. INTIME SPECTRUM,DELHI
IN200449
Mr. R.K. Maheshwari
Chief Manager(Fin. Div.)
2011426 to 2011455 INTIME SPECTRUM,DELHI
IN200449
Mr. R.K. Maheshwari
Chief Manager (Fin. Div.)
1 - 1200 IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. A S ANANTHARMAN
ACCOUNT & FINANCE
001-024, 01 to 480550, 025-048,
480551 to 1025310, 049-072, 1025311
INTIME SPECTRUM,DELHI
IN200449
Mr. Sanjeev Gupta
Company Secretary
001 to 500 AARTHI CONSULTANTS LTD.
IN200256
Mr.G.Bhaskar Murthy
Manager
Cert No. 1 to 86, 278 to 279
87 to 149 & 280 to 282
Mennen Financial Services Ltd.
(IN200682)
Mr. R.S. Pandey
Mr. Sandeep T. Madhavi
1 to 3, 7 to 9, 143539 to 143613 &
143816 to 145017
MENNEN FIN.SERVICES LTD
IN200682
Mr. R.S. Pandey
Mr. Sandeep T. Madhavi
Cert No. 150 to 191 & 283 to 283
Dist Nos : 107682 to 109176 &
Mennen Financial Services Ltd.
(IN200682)
Mr. R.S. Pandey
Mr. Sandeep T. Madhavi
Cert No. 277
Dist Nos : 120104 to 120105
Mennen Financial Services Ltd.
(IN200682)
Mr. R.S. Pandey
Mr. Sandeep T. Madhavi
8 to 8, 79 to 85, 120723 to 120732 &
134688 to 135081
MENNEN FIN.SERVICES LTD
IN200682
Mr. R.S. Pandey
Mr. Sandeep T. Madhavi
Cert No. 192 to 276 & 284 to 288
Dist Nos : 109177 to 120103 & 120147
Mennen Financial Services Ltd.
(IN200682)
Mr. R.S. Pandey
Mr. Sandeep T. Madhavi
10, 145018 to 145257 MENNEN FIN.SERVICES LTD
IN200682
Mr. R.S. Pandey
Mr. Sandeep T. Madhavi
Cert No.000001 - 00267
Dist No.0001 - 10234
MCS Limited, Mumbai(IN200019) Same as above
OCD 1 TO OCD 06 KARVY COMPUTERSHARE PVT. LTD.
IN200035
Mr Nitin Naik
CEO
0001-6750 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr M.Suryanarayana Raju
6751-13500 Sharepro Services (India)Pvt.Ltd.
IN200043
Mr M.Suryanarayana Raju
N.A. CB Management Services Pvt. Ltd.
(IN200221)
Mr. M.M. Chakraborty
General Manager
N.A. CB Management Services Pvt. Ltd.
(IN200221)
Same as above
N.A. CB Management Services Pvt. Ltd.
(IN200221)
Same as above
N.A. CB MGMT SERV PVT. LTD
IN200221
Mr. M.M. Chakraborty
General Manager
NA CB MGMT SERV PVT. LTD
IN200221
Mr. T.K.Sinha
Managing Director
1 to 26060 KARVY IN200035 Mr. V. Mahesh/Mr. V.K. Jayaraman
Vice President
1 to 13895 KARVY
IN200035
Mr. V. Mahesh
Mr. V.K. Jayaraman
1 to 7164 KARVY
IN200035
Mr. V. Mahesh
Mr. V.K. Jayaraman
1 to 21240 KARVY
IN200035
Mr. V. Mahesh
Mr. V.K. Jayaraman
0000001 to 7080425 Intime Spectrum Registry Ltd.
(IN200094)
Mr. J.C.F. Sequeira
G.M. (Company Affairs) & Company
1, 1 to 25,00,000 ALPHA SYSTEMS
IN200248
Mr. L.R. Neelakanta
DGM (Finance) & Company Secretary
1 to 3700 (1 to 574826) ALPHA SYSTEMS PVT. LTD.
IN200248
Mr. Vijayagopalan
Vice-President
Credit Rating with name of Credit
Rating Agency and Date of Credit
Arranger/Lead Manager to the issue Remarks
For further detail refer to the issuer
Mr. Parag Sharma
Vice President - Finance
NA NA
Redemption dates : 28/07/03
'29/01/04
9.20% for 1st 10 years and step up
rate of 9.55% for last 5 year if call
Remark on Redemption date : Partial-
Rs. 19,000 on 10.01.2003,
Remark on Redemption date : In 3
Instalments :
NA NA
Debentures are also issued on
06/11/2002
Remark on Redemption date : Partial-
Redemption
Coupon rate step up 10.45% if call
option is not exercised.
9.95% for 1st 10 years and step up
rate of 10.45% if call option is not
NA NA
NA NA
NA NA
NA NA
NA NA
NA NA
NA NA
Debenture will be redeemable in 3
equal instalment of Rs.50/- each on
AA+,ICRA,DT-02-12-2011
LAA+,ICRA,DT-29-03-2011
ParticipationRatio -120%
Rating:AAAr(so)/(stable).Refer Issuer
NA
Refer issuer for further details.
Redeemable as 30% on 05/8/2013; 30%
on 05/08/2014 & 40% on 05/08/2015
N.A. N.A.
NA NA
For further detail refer to the issuer
Refer to issuer for further detail
Ms Parminder Chopra
DGM - Finance, Resourse Mobilisation
Step up of 50bps over & above the
initial coupon rate of 10.25% if call
The Bonds are also held in the Book
Entry form(Certificate of holdings)
Refer issuer for further detail
AAA CRISIL DTD 27.07.2012 ARRANGER - HONGKONG AND
SHANGHAI BANKING CORPORATION
Contact issuer for conversion details
Contact issuer for conversion details
Interest will be compounded daily
except over bank holidays in Mumbai.
Mr. B.K. Daga
Company Secretary
AA ICRA DTD 01.08.2012 NA
LAA+pp,ICRA
LAA+pp,ICRA,DT-31-08-2010 NA
12/08/2009 is subject to Modified
following business day convention as
Mr. L. Vednarayanan
Managing Director
NA NA
A+,CARE,DT-02-02-2011
A+,CARE,DT-18-01-2011 Arranger- A K CAPITAL SERVICES PVT
LTD
PP-MLD AA+r CRISIL DT 07.08.2012 NA
PR1+,CARE,DT-08-06-2011 Arranger- IDFC CAPITAL LTD
A1+,CARE,DT-16-08-2011 Arranger- IDFC LTD
Debenture will be redeemable in 3
equal annual installments on
AA+r,CRISIL,DT-08-11-2010 NA
Debenture will be redeemable in 15
MR. B.R. RAGHUNANDAN
GM & COMPANY SECRETARY
LAA+,ICRA,DT-19-11-2010
9.10% from 14/08/2009 upto but
excluding 14/08/2019. if Bonds are
Mr. S. Krishna Kumar
Compliance Officer
Mr. S. Krishna Kumar
Compliance Officer
Mr M M Surti
Company Secretary
Mr. H.L. Dave
Chief Manager - Forex
AA-r CRISIL DT 07.02.2012 NA
AA-r,CRISIL,DT-31.12.12 NA
AA-r,CRISIL,DT-31.12.2012 NA
AA-r CRISIL DT 07.02.2012 NA
AA CARE DTD 04.09.13 NA
AA-r,CRISIL,DT-23-11-2010 NA
LAA-pp(so),ICRA.18-1-11
AA- CRISIL DTD 13.06.2012 NA
NA CENTRUM
The Company has issued Post Dated
Warrants along with the security.
NA NA
NA NA
Contact issuer for conversion details
Refer issuer for further detail
Bonds will be redeemable in 3
installments. 30% on 09/07/2017,30%
The Bonds are maintained by the
issuer in book enty form
Debenture will be partially redeemed
Rs 3.333 Lacs on 13/03/2014,Rs 3.333
AA+,CARE,DT-16-09-2011 Arranger- DERIVIUM TRADITION
SECURITIES (INDIA) PVT LTD
NA
NA Debenture will be redeemed at a
premium of 10% IRR on maturity.
NA NA
Debenture will be redeemable in 3
equal installments. 33.33% on
Mr. S. Balakrishnan
Manager - Finance
Mr.Ramesh Haran
Head - Compliance
Mr. Mahendra N. Shah
Company Secretary
NA NA REDEMPTION OF 12.5% EACH ON
02/11/13,02/12/13,02/01/14,02/02/1
NA
Remark on Redemption date : Rs.
33.33/-
Ist inst. Has already been paid &
negotiations are being made for
Ist inst. Has already been paid &
negotiations are being made for
LBBB,ICRA NA Debenture will be redeemable in 4
installments, 20% on 24/01/2018, 20%
Remark on Redemption date : 25% on
01-07-02, 25% on 01-07-03, 25% on 01-
Remark on Redemption date : Rs.
20000/- on
Mr.Ramesh Haran
Head - Compliance
Mr Subhendu Tripathy
Deputy General Manager
Mr.Ramesh Haran
Head - Compliance
Mr Subhendu Tripathy
Deputy General Manager
Remark on Redemption date : Rs.
30,000 on
Remark on Redemption date : 30% on
21-Nov-2007
Remark on Redemption date : 30% on
21-June-2008, 30% on 21-June-2009 &
Remark on Redemption date : 30% on
21-June-2011, 30% on 21-June-2012 &
NA NA
Remark on Redemption date : 3
instalments on
Mr. Anurag Madan
Director
Remark on Redemption date :
In Three Annual instalments on 21-Nov-
Remark on Redemption date : In Three
Annual instalmentts on 30-Nov-2014,
Remark on Redemption date : In 24
quarterly Installments on 1st Jan,1st
Remark on Redemption date : 36
Quarterly instalments commencing
AAA CRISIL DTD 11.04.2012 ARRANGER - YES BANK LTD
AAA CRISIL DTD 11.04.2012 ARRANGER - HSBC
Mr.Deepinder Singh Bedi
Executive Director
Remark on Redemption date :
At par in one instalment on 11-3-2013
Remark on Redemption date :
At par in one instalment on 26-3-2013
Remark on Redemption date :
At par in three installments in the
Remark on Redemption date :
Redeemable in Five equal Annual
Remark on Redemption date :
Redemption in 14 Instalments From
Remark on Redemption date : 8 annual
instalments form
Remark on Redemption date : 30% on
21-Nov-2010
Issue date / Allotment date : 01-Jan-
02 to
Issue date / allotment date : 17-Jul-93
30-Sep-93
Remark on Redemption date : Partial-
Rs. 30000 on 13-Nov-05
Coupon Rate 0% till step up date i.e.
07th Nov 2000 and 11.5% thereafter
Coupon Rate 0% till step up date i.e.
07th Nov 2000 and 11.5% thereafter
Coupon Rate 0% till step up date i.e.
07th Nov 2000 and 11.5% thereafter
AA+,CRISIL.DT-30-07-2001 NA
Contact issuer for Redemption
Premium details.
Contact issuer for Redemption
Premium details
AA- CARE DT-08.11.13 LEAD MANAGER- AXIS CAPITAL LTD,
SMC CAPITALS LTD, ETC
Refer issuer for further detail
Remark on Redemption date : Partial-
Rs.33.33 On 17-Jan-03
Mr. N. C. Gupta
Company Secretary & Compliance
Mr. N. C. Gupta
Company Secretary & Compliance
NA NA
NA NA
AA+,CARE,DT- 28-11-2011 REDEMPTION WOULD BE AT PREMIUM.
REDEMPTION VALUE PER SECURITY RS
AA+ CARE DTD 01/10/2012 NA AA+ CARE DTD 01/10/2012
A+,CARE,DT-16-02-2011 Arranger- YES BANK LTD
A+,CARE,DT-16-02-2011 Arranger- YES BANK LTD
Interest rate will be reset (subject to
redemption of bonds if earlier) on Sept
Refer Issuer for Redemption details
Debenture will be redeemable in 22
Debenture will be redeemable in 3
annual installments.30% on
Remark on Redemption date : In 24
Equal Quarterly instalments
Remark on Redemption date : Partial-
10 Equal annual instalments from 18-
Remark on Redemption date : 30% on
21-Nov-2007
The bonds have a lock in period of
three years from their deemed date of
The debenture holder-UTI Bank Ltd.
would have the right to reset the
Remark on Redemption date : 5 Half
yearly instalments commencing from
Remark on Redemption date : 36
Quarterly instalments commencing
Remark on Redemption date : 25% on
17-Mar- 05
Remark on Redemption date : Partial-4
equal annual instalments starting from
Issue date / Allotment date :
01/01/2004 to 31/01/2004
Remark on Redemption date : Rs.
2000/- on 01-Oct-04
The Bonds have lock-in period for 3
years from deemed date of allotment
Remark on Redemption date : Partial-
monthly instalments from 31-May-02
Remark on Redemption date : 30% on
24-Oct-04, 30% on 24-Oct-05 & 40% on
Remark on Redemption date : At par in
3 Annual instalments in the ratio of
Remark on Redemption date : At par in
the ratio of 30:30:40 through annual
Same as above
Same as above
Rs.20/- out of Rs.150.- shall be
converted into 2 equity shares of
Redemption at the end of 8th , 9th &
10th year from the date of allotment
The Investors will have the option to
hold bonds in the form of Promissory
Issue date / Allotment date :
01/01/2004 to 31/01/2004
Remark on Redemption date : Partial
redemption in 3 instalments
Remark on Redemption date : 15 Equal
annual instalments from 17th march,
Remark on Redemption date : Rs.
2,50,000 on 27-Jun-11
Remark on Redemption date :
60 Equal Quarterly Instalments From
Remark on Redemption date : Rs.
2000/- on 01-Oct-04
Remark on Redemption date : In 3
equal Annual instalments on 17th
The Bonds are also held in the Book
Entry form(Certificate of holdings)
The Bonds are also held in the Book
Entry form(Certificate of holdings)
Remark on Redemption date : In 10
Half Yearly instalments commencing
Remark on Redemption date : At par in
the ratio of 30:30:40 through annual
Rs.20/- out of Rs.150.- shall be
converted into 2 equity shares of
Remark on Redemption date :
25% on 09-Mar-2012, 25% on 09-Mar-
The Investors will have the option to
hold bonds in the form of Promissory
The Bonds are also held in the Book
Entry form(Certificate of holdings)
The Bonds are also held in the Book
Entry form(Certificate of holdings)
Remark on Redemption date : At par in
three Annual instalments in the ratio
The Bonds are also held in the Book
Entry form(Certificate of holdings)
Bonds have a lock in period of 3 years
for 3 years from deemed date of
The Bonds are also held in the Book
Entry form(Certificate of holdings)
Taxation Benefit Under Section 88 of
IT Act, 1961. Full Redemption
Taxation Benefit Under Section 88 of
IT Act, 1961
Taxation Benefit Under Section 88 of
IT Act, 1961. Full Redemption
Taxation Benefit Under Section 88 of
IT Act, 1961. Full Redemption
Full Redemption
Rs 10,000/- on 05.05.2007
Full Redemption
[Rs 10,000/- on 30.10.2007]
Part Redemption
[From 11th Sept 2004, 10 equal
Debenture will be redeemable in 3
installments starting from 17/02/2016
Partial Quarterly Redemption from
01/04/2006 to 01/07/2012 (for Further
Partial Redemption of 50% on
Interest will be payable at a fixed rate
as follows :
The Bonds are also held in the Book
Entry form(Certificate of holdings)
The Bonds are also held in the Book
Entry form(Certificate of holdings)
The Bonds are also held in the Book
Entry form(Certificate of holdings)
The Bonds are also held in the Book
Entry form(Certificate of holdings)
The Bonds are also held in the Book
Entry form(Certificate of holdings)
Remark on Redemption date : Rs.
33.33/- on 08-July-2002
The Bonds are also held in the Book
Entry form(Certificate of holdings)
The Bonds are also held in the Book
Entry form(Certificate of holdings)
The Bonds are also held in the Book
Entry form(Certificate of
Remark on Redemption date : Rs.
10,000/- on 31st December w.e.f.
The Bonds are also held in the Book
Entry form(Certificate of holdings)
The Bonds are also held in the Book
Entry form(Certificate of holdings)
The Bonds are also held in the Book
Entry form(Certificate of holdings)
For further detail refer to the issuer
STRPP-> Separately Tranferable
Redeemable Principal Parts
Remark on Redemption date : Five
equal annual instalments commencing
Remark on Redemption date : Five
equal annual instalments commencing
Debenture will be redeemable Rs.33
Lacs on 01/11/2014, Rs 33 Lacs on
Debenture will be redeemable in the
ratio of 10% through annual instalment
Bond will bear interest rate of 8.85%
p.a. & step up of 0.50% after lapse of
A+,CARE,DT-03/01/2011 AXIS BANK LIMITED
BB+ CRISIL DTD 14/01/2011 ARRANGER - UNITUS CAPITAL
Remark on Redemption date : Rs.
33,000/- on 30-Jun-2004
Coupon rate: Fixed @9.25% p.a. if the
bank does not exercise call option five
Coupon rate: Fixed @9.50% p.a. if the
bank does not exercise call option ten
Refer issuer for further detail
NA NA
A, CARE,DT-16-08-2010 Lead Manager to the issue- CENTRUM
CAPITAL LTD
Remark on Redemption date : Partial-
12 Equal annual instalments from 21-
A ICRA DTD 19.04.2012 NA A ICRA DTD 19.04.2012
NA NA Debenture will be redeemable in 10
equal quarterly installments starting
Remark on Redemption date : Rs. 4/-
on 01-Jul-2001
Remark on Redemption date : Partial-
Rs.1,50,000 on 30-Jan-04
Remark on Redemption date :
Optionally exercisable by junior
Debenture will be redeemable in 4
equal installments on
LAApp, ICRA,DT-19/01/2011 NA
Mr. Harish Shah
Company Secretary
AA+ CRISIL DTD 14.12.2012 NA
AA+ CRISIL DTD 13.03.2012 NA
AA+,CRISIL,DT-26-07-2011 NA
08/10/2010 is
subject to Modified following business
The Bonds are also held in the Book
Entry form(Certificate of holdings)
Remark on Redemption date : Rs.
30,000/- on
NA NA
Remark on Redemption date : In Three
Annual instalments of 30%, 30% & 40%
Bonds have a lock in period of 3 years
for 3 years from deemed date of
Redemption after 5 years from the
date of allotment ie 7th July, 2010 @
Contact Issuer for furhter detail on
coupon rate.
Debenture will be redeemed at par in
three annual instalment at the end of
8.98% for 1st 10 years and step up
rate of 9.48% for last 5 year if call
Debenture will be redeemable
In tweleve quarterly instalments
Coupon rate step up 9.84% if call
option is not exercised at the end of
Debenture will be redeemable in 3
equal instalment of Rs.1000/- each on
Mr. Harish Shah
Company Secretary
LAA+,ICRA, Arranger- DERIVIUM TRADITION
SECURITIES PVT LTD, STANDARD
LAAA+,ICRA dt 25/05/22011 Arranger-Edelweiss Capital ltd
ICRA-APRIL 19, 2012 ARRANGER- KOTAK MAHINDRA BANK
AND IDFC
ICRA- BBB DTD 19.04.2012 NA YIELD OF 9.97% ON XIRR BASIS
Partial Redemption case 8.33%
on30/06/2007
Coupon rate: If the barrier condition
has not been met: Max( 0%,PR*Gold
AAA CRISIL DTD 28.05.2012 N.A.
Remark on Redemption date : Half
Yearly commencing from 10th March,
AAA(emr)(ind),FITCH,27-4-
8.90% for 1st 10 years and 9.40% for
the subsequent years if call option is
Issue date / Allotment date : 01-Dec-
02 to 31-Dec-02
Remark on Redemption date : 30% on
21-June-2013, 30% on 21-June-2014 &
Debenture will be redeemable in 3
Equal instalments -
The Investors will have the option to
hold bonds in the form of Promissory
Remark on Redemption date : Rs.
50000 on 15-Dec-05
Partial redemption at par in 3 annual
instalments 30% on 21.10.2015, 30% on
AA+ CRISIL DTD 19/04/2013 ARRANGER - DBS BANK LTD., DERIVIUM
TRADITION SECURITIES (I) PVT LTD.
19/01/2011 is subject to Modified
following business day convention as
AA,CARE DT 21/07/2011
AA,CARE DT 21/07/2011
Mr.C.Radhakrishnan
Company Secretary
A+ CRISIL ARRANGER - MORGAN STANLEY
Mr.C.Radhakrishnan
Company Secretary
A+ CRISIL ARRANGER - MORGAN STANLEY
A+,CRISIL DT 07/04/2011
LA,ICRA dt 08/04/2011
A+,CRISIL DT 07/04/2011
NA NA
Remark on Redemption date : Rs.
1,50,000/- on 08-Aug-2010
AAA(emr)(ind)FITCH,14-5-1
AA CRISIL DTD 26.07.2012 N.A.
AA-,CRISIL DT 25/07/2011 Lead Manager-ICICI Securities Ltd,Hdfc
Bank,JM Financial,Kotak Mahindra
AA- CRISIL DTD 14.08.2012
AA,CRISIL,DT-29-11-2011
AA-,CRISIL,DT-06-02-2012
A+,CRISIL,DT-04-03-2011 Arranger- A K CAPITAL SERVICES LTD
Remark on Redemption date : 50% on
15-Jul-2006 & 50% on 15-Jul-2007
Remark on Redemption date : 2
instalments on
Part Redemption
[Rs 333/- on 25th March 2003
30% on 29/11/2014, 30% on
Partial Redemption as follows:08th
July, 2023: Rs. 3, 33,333/- ; 08th July,
8.95% for 1st 10 years and step up
rate of 9.45% for last 5 year if call
G-Sec rate (annualised) on the date of
issue + 250bps for 1st 10 years and for
Refer issuer for further detail
Refer issuer for further detail
AAA,CRISIL,DT-02-11-2011 Arranger- DARASHAW & CO PVT LTD,
ICICI BANK , SBI CAPITAL , TRUST
For further detail refer to the issuer
Debentures will be redeemable in 3
installments. 33.333% on
Step up of 50bps over & above the
initial coupon rate of 10.25% if call
Senior Citizen (First allottee) in the
reserved individual portion shall be
Debenture will be redeemable in 3
installments. 40% (Rs.400) on
Final payout date is 29th May 2014
AAA,CRISIL,DT-31-03-2011
The bonds have lock in period of three
years from deemed date of allotment
The bonds have lock in period of three
years from deemed date of allotment
Remark on Redemption date : Six
Equal Annual Instalments As Follows:
Under the Scheme of Arrangement/
compromise sanctioned by Gujarat
bonds has a lockin period of three
years
Remark on Redemption date : Rs.1585
per 6 bonds from 20th July 2007 to
Remark on Redemption date : 175000
on 8th Dec, 2002
Remark on Redemption date : 30% on
21-June-2008, 30% on 21-June-2009 &
11.40% p.a.upto 29/09/2018,
thereafter step up of coupon by 50bps
Issue date / Allotment date :
30/11/1997
1st Redemption on 08.05.2014 of
Partial Redemption
[Rs. 30,000/- on 31.03.2004;
NA NA
Remark on Redemption date : 30% on
21-Nov-2012
Refer Issuer for further details.
AA, CARE,DT-08/10/2010 Arranger- A K CAPITAL SERVICES LTD
Fixed Coupon: 7.00% p.a. for first 2
years from the date of issue and
AA,CARE,DT-07-02-2011 Arranger- AXIS BANK LTD, A.K.
CAPITAL SERVICES LTD
MS. DIVYA TANSON
COMPANY SECRETARY
Debenture will be partially
redeemable
Isuue date are from 01/02/2005 to
28/02/2005
Isuue date are from 01/02/2005 to
28/02/2005
NA
Coupon rate will be step up to 9.60% ,
for subsequent years if call option is
Redeemable in 3 equated installments
on 23/10/2013 ; 23/10/2014 &
Remark on Redemption date : Rs.
33,333/- on 29.07.2003
Same as above
Coupon rate step up 9.90% if call
option is not exercised at the end of
AAA,CARE,DT-13-04-2011
PP MLD AAA N.A.
PP-MLD AAA NA
PP-MLD AAA NA
PP-MLD AAA,CARE,DT-01-11-
PP-MLD AAA.CARE,01-11-11 NA
PP-MLD AAA NA
PP-MLD AAA NA
PP-MLD AAA NA
PP-MLD AAA NA
CARE AAA DT 14/09/2010
AAA CARE DTD 07.02.2012 NA
NA NA
Remark on Redemption date : Partial-
Rs.33.33 On 28-Apr-03
Remark on Redemption date : Partial-
Rs. On 19-Nov-02
Partial Redemption 6 instalment
30/06/2010 16.66%; 31/12/2010
The bonds have a lock in period of
three years from deemed date of
The Bonds are also held in the Book
Entry form(Certificate of holdings)
For further detail refer to the issuer
For further detail refer to the issuer
8% coupon for the first five years with
reset at the end of 5th yr.
Remark on Redemption date : Partial-
On 19-Nov-02
Debenture will be redeemable in 22
equal half yearly installments
Debenture will be redeemable in 22
equal half yearly installments
Remark on Redemption date : 50% on
01-Aug-02
09/09/2011 is subject to Modified
following business day convention as
Debenture will be redeemable in 3
06/09/2011 is conversion date. If the
option of conversion not excercised
Redemption amount per bond Rs
13,382
10.00% p.a. upto 31/10/2018 & 10.50%
from 31/10/2018 upto 19/06/2023
Debenture will be redeemable in 3
250bps over 10 year G Sec yield to be
reset on an annual basis
Mr. N.K. Basu
General Manager (R&A)
Mr.Ramesh Haran
Head - Compliance
8.25% p.a. for the 1st 10 years & step
up coupon rate of 8.75% for last 5
The Bonds are also held in the Book
Entry form(Certificate of holdings)
Remark on Redemption date : In 5
Equal instalments of Rs. 2 lacs per
NA NA
NA NA
BBB+,CARE,DT-07-02-2011 NA
Remark on Redemption date : Rs.
33.33/-
Issue date / Allotment date : 28-Jan-
02
Remark on Redemption date : Rs. 34/-
on 15-Apr-03
AA,CARE,DT-14-11-2011
AA,CARE,DT-14-11-2011 Arranger- DERIVIUM TRADITION
SECURITIES (INDIA) PVT LTD
AA,CRISIL DT 14/10/2011 10.75%,The issuer retains the option to
step up the interest rate only once
AA+,CARE,DT-23-11-2011
Mr. T.K. Sadhu
Company Secretary
The Bonds are also held in the Book
Entry form(Certificate of holdings)
The Investors will have the option to
hold bonds in the form of Promissory
Remark on Redemption date : 30% on
03.01.2011
Remark on Redemption date : 5 Equal
Annual instalments commencing from
Int period starting from 9thNov,01 to
8th Nov,02, bankrateprevailingon
The Investors will have the option to
hold bonds in the form of Promissory
Remark on Redemption date :
Partial Redemption in 3 annual
The Bonds are also held in the Book
Entry form(Certificate of holdings)
The Bonds are also held in the Book
Entry form(Certificate of holdings)
The Bonds are also held in the Book
Entry form(Certificate of holdings)
The Bonds are also held in the Book
Entry form(Certificate of holdings)
Remark on Redemption date : Rs.
30,000/- on 22-Jan-05
Stepped up Rate of Interest
The Investors will have the option to
hold bonds in the form of Promissory
Int period starting from 9thNov,01 to
8th Nov,02, bankrateprevailingon
Remark on Redemption date : 30% on
07/08/2013, 30% on 07/08/2014 and
Remark on Redemption date : In 3
instalments
1st Redemption :18-12-2012 Rs.3 Lacs
2nd Redemption:18-12-2013 Rs. 3 Lacs
Debenture holders shall have option to
convert ZRD in the equity shares at
Debenture will be redeemable in 3
installments.30% on 19/02/2018; 30%
08/11/2013 is
subject to Modified following business
AA CARE DTD 14.06.2012 ARRANGER - STANDARD CHARTERED
BANK, ICICI BANK LTD
AA(ind)FITCH,15-06-2011 NA
10.15% upto 29/04/2018 & 10.65%
from 30/04/2018,if the call option not
9.70% upto 29/04/2018 & 10.20% from
30/04/2018,if the call option not is
For further detail refer to the issuer
Contact Issuer for conversion details.
For further detail refer to the issuer
Coupon rate step up 10.40% if call
option is not exercised at the end of
Contact issuer for coupon rate details
Debenture will be redeemable in 3
equal installments on
Refer issuer for further detail
9.30% ( If call is not exercised at the
end of 10th year form the deemed

MR. AMITABH VERMA


COMPANY SECRETARY
Mr. Suhas Patwardhan
Company Secretary
Mr Shekhar Khanna
General Manager (Finance)
MR. AMITABH VERMA
COMPANY SECRETARY
Refer issuer for further details.
The Bank may have a step up option
which may be exercised only once
Mr. A. K. Rastogi
Company Secretary
MR. K. RAMDAS PRABHU
ASST. GENERAL MANAGER
Mr. Devinder Kumar
Secretary
Ms. P. Sujatha
Company Secretary
Full
[Rs. 15/- on 25.08.2006, Rs. 15/- on
AA(IND),FITCH Arranger- JP MORGAN SECURITIES
INDIA PVT LTD
AA+ CARE DTD 24.07.2012 ARRANGER - TRUST INVESTMENT
ADVISORS PRIVATE LIMITED
AA+,CARE,DT-18-11-2011 Arranger- DERIVIUM TRADITION
SECURITIES PVT LTD
AA+,CARE,DT-18-11-2011 Arranger- PREBON YAMANE (INDIA) LTD
AA+ ICRA DTD 11.07.2012 ARRANGER - HDFC BANK
AA+ CRISIL DTD 03.08.2012 ARRANGER - EQUATOR CORPORATE
SERVICES LTD.
AA+,ICRA,DT-04-07-2011 Arranger- ICICI BANK
AA+,ICRA,DT-04-07-2011 Arranger- EDELWISE SECURITIES LTD
LAA+,ICRA,DT-31-05-2011
LAA+,ICRA,DT-31-05-2011
LAA+ ICRA 01/11/2010
LAA+,ICRA DT 01/11/2010
LAA+,ICRA,DT-31-05-2011
Partail Redemption in 12 Annual equal
at par Instalments from 01/07/2009 to
The Bonds are also held in the Book
Entry form(Certificate of holdings)
Issue date / Allotment date : 01-Jul-02
to
Remark on Redemption date : In five
equal instalments from 24th Aug 2009
The Bonds are also held in the Book
Entry form(Certificate of holdings)
AA+ ICRA AND CARE NA
AA+ ICRA AND CARE NA
AA+ ICRA AND CARE NA
AA+ ICRA AND CARE NA
AA+,CARE,DT- 07-12-2011
8.75% for 10 years & 9.25% after 10
years if call option is not exercised.
Debenture will be redeemable in 3
installments.25% on 04/02/2012,25%
AA+,CARE,DT-11-10-2011 Arranger- ICICI BANK LTD
8.90% p.a for 10 years with a step up
by 0.50% for further 5 years tenor if
AA,CRISIL,DT-27-09-2011
AA+ CRISIL DTD 15.05.2012 NA
C CARE DTD 05.06.2012 NA
C CARE DTD 05.06.2012 NA
Remark on Redemption date : Rs. 3.50
on 05-Aug-06
Contact issuer for conversion details
Remark on Redemption date : Partial-
Rs. ,125,000 on 25-May-02
Remark on Redemption date : 3
instalments on
Remark on Redemption date : 3
instalments on
Remark on Redemption date : 3
instalments on
Remark on Redemption date : 50% on
29th Mar, 2004,
Remark on Redemption date : 50% on
30th Mar, 2004,
Debenture will be redeemable in equal
5 instalments on 01/06/2012,
Under the Scheme of Arrangement/
compromise sanctioned by Gujarat
Mr.Ramesh Haran
Head - Compliance
Sub to RBI guideline, 8.80% for first
ten years (upto 21/04/2019) & 9.30%
16.50% p.a payable quarterly on linked
to base rate of Kotak Mahindra Bank
Debenture will be redeemable in 4
equal annual installments beginning
Redeemable in three equal
installments at the end of 8th, 9th and
NA NA
For further detail refer to the issuer
Remark on Redemption date : Rs.
3,00,000/- on 27-Nov-2008
Remark on Redemption date : Partial-
12 quarterly instalments from 01-Apr-
For further detail refer to the issuer
Remark on Redemption date : 3 annual
instalments