- Compliance as per Regulation 57(4) of SEBI (LODR) Regulations, 2015
- Compliance as per Regulation 57(5) of SEBI (LODR) Regulations, 2015
- For the quarter ended 30th June, 2023
- For the quarter ending 31st March 2023
- For the Quarter ended 31st December, 2022
- For the Quarter ended 30th September 2022
- For the Quarter ended 30th June 2022
- For the quarter ending 31st March 2022
- For the Quarter ended 31st December 2021
- For the Quarter ended 30st September 2021
- Compliance as per Regulation 57 (1) of SEBI (LODR) Regulation, 2015
- Certificate of payment of Principal and Interest amount due on BASEL III Compliant Tier II Bond Series IV (ISIN: INE483A08023)
- Certificate of payment of Interest and Principal amount - BASEL III Compliant Tier II Bonds Series IV (ISIN - INE483A08023) on exercise of call option due date i.e 30.11.2024
- Certificate of payment of Annual Interest on Basel III Compliant Tier II Bonds series IV @ 9.80% (ISIN -INE483A08023) on due date 30.09.2024
- Intimation of Record date for Payment of Interest amount on Basel III Compliant Tier II Bonds Series IV (ISIN - INE483A08023
- Certificate of payment of Annual Interest on Basel III Compliant Tier II Bonds series VI @ 8.80% (ISIN -INE483A08049) on due date 30.08.2024
- Certificate of payment of Interest and Principal amount - BASEL III Compliant Tier II Bonds Series III@10.80% (ISIN - INE483A09286) on exercise of call option due date i.e 29.05.2024
- Certificate of payment of Annual Interest on Basel III Compliant Tier II Bonds series III @ 10.80% (ISIN -INE483A09286) on due date 29.03.2024
- Certificate of payment of Annual Interest on Basel III Compliant Tier II Bonds series V @ 9.20% (ISIN - INE483A08031) on due date 20.03.2024
- Certificate of payment of Annual Interest and Principal amount - BASEL III Compliant Tier II Bonds Series I@9.90% (ISIN - INE483A09260) ON due date i.e 08.11.2023
- Certificate of payment of Annual Interest on Basel III compliant Tier II Bonds series IV @ 9.80% (ISIN - INE483A08023) on due date 30.09.2023
- Certificate of payment of Annual Interest on Basel III compliant Tier II Bonds series III @ 10.80% (ISIN - INE483A09286) on due date 29.03.2023
- Certificate of payment of Annual Interest on Basel III compliant Tier II Bonds series V @ 9.20% (ISIN - INE483A08031) on due date 20.03.2023
- Certificate of payment of Annual Interest on Basel III compliant Tier II Bonds series I @ 9.90% (ISIN - INE483A09260)
- Certificate of payment of Annual Interest on Basel III Tier II Bonds Series IV @ 9.80 % (lSIN INE483A08023) on due date 30.09.2022
- Certificate of payment of Annual Interest and Principal amount on Tier I Bonds PDI Series II @ 9.40 % (ISIN INE483A09252) on exercise of call option due date 28.09.2022
- Certificate of payment of Part Interest and Principal amount on Basel III compliant Tier II Bonds Series II (ISIN : INE483A09278) upon exercise of call option, due date 07.05.2022
- Certificate of payment of Annual Interest on Basel III Compliant Tier II Series III on due date 29.03.2022
- Information, Report, Notices etc. concerning Non-Convertible Debt Securities
- Intimation of Record date for Payment of Interest amount on Basel III Compliant Tier II Bonds (ISIN - INE483A08049)
- Intimation of Record date for Payment of Interest & Principal amount on redemption of Basel III Compliant Tier II Bonds (ISIN - INE483A09286)
- Intimation of Record date for Payment of Interest on Basel III Compliant Tier II Bonds (ISIN - INE483A09286 & INE483A08031)
- Newspaper Publications - Redemption of BASEL III Compliant Tier II Bonds Series - I @9.90% (ISIN - INE483A09260)
- Intimation of Record date for Payment of Interest & Principal on BASEL III Compliant Tier II Bonds Series - I@9.90% (ISIN -INE483A09260)
- Intimation of Record Date for payment of Annual Interest on Basel III Compliant Tier II Bonds Series IV -9.80% (ISIN : lNE483A08023) due on 30.09.2023
- Intimation of Record Date for payment of Annual Interest on Basel III Compliant Tier II Bonds Series III @ 10.80 % (ISIN : INE483A09286) due on 29.03.2023
- Intimation of Record date for payment of Annual Interest on Basel III compliant Tier II Bonds series V - 9.20% (ISIN - INE483A08031) due on 20.03.2023
- Intimation of Record date for payment of Annual Interest on Basel III compliant Tier II Bonds series I - 9.90% (ISIN - INE483A09260) due on 08.11.2022
- Intimation of Record Date for payment of Annual Interest on Basel III Compliant Tier II Bonds Series IV -9.80% (lSIN : lNE483A08023) due on 30.09.2022
- Press Clippings - Exercise of Call Option for TIER I Bonds PDI series II (ISIN : INE483A09252) due on 28.09.2022
- Intimation of Record Date for payment of Annual Interest & Principal on Tier I Bonds PDI Series II @ 9.40 % (ISIN - INE483A09252)
- Press Clippings - Exercise of Call Option for Basel III Compliant Tier II Bonds Series II (ISIN : INE483A09278) due on 07.05.2022
- Intimation for Record Date for payment of Part Interest and Principal amount on Redemption of Basel III Tier II Bonds Series II - 8.62% (ISIN - INE483A09278) due on 07.05.2022
- Intimation for Record Date for payment of Annual Interest on Basel III Compliant Tier II Bonds Series III - 10.80% (ISIN : INE483A09286)
- Intimation for Record Date for payment of Annual Interest on Basel III Compliant Tier II Bonds Series V - 9.20% (ISIN - INE483A08031) due on 21.03.2022
- Intimation for Record Date for payment of Annual Interest on Basel III Compliant Tier II Bonds Series II - 8.62% (ISIN - INE483A09278) due on 07.03.2022
- Press Clippings - Exercise of call option for Lower Tier II Bonds Series XIV - 9.33 % (ISIN : INE483A09245) due on 21.12.2021
- Intimation for Record Date for payment of Interest & Principal amount on redemption of Lower Tier II Bonds Series XIV - 9.33 % (ISIN : INE483A09245) due on 21.12.2021
- Intimation for Record Date for Annual Interest payment on Basel III Compliant Tier II Bonds Series I - 9.90 % (ISIN : INE483A09260) due on 08.11.2021
- Intimation of record date for annual interest payment on TIER I PDI Bonds SR II (ISIN : INE483A09252)
- Intimation for Record Date for Annual Interest payment on Basel III Compliant Tier II Bonds Series IV - 9.80 % (ISIN : INE483A08023)
- Intimation for Record Date for payment of Annual Interest on Basel III Compliant Tier II Bonds Series III - 10.80% (ISIN: INE483A09286)
- Intimation for Record Date for payment of Annual Interest on Basel III Compliant Tier II Bonds Series V - 9.20% (ISIN: INE483A08031)
- Intimation for Record Date for payment of Annual Interest on Basel III Compliant Tier II Bonds Series II - 8.62% (ISIN: INE483A09278)
- Press Clippings - Exercise of call option for Upper TIER II Bonds SR VI
- Intimation for Record Date for payment of Annual Interest and Principal on Upper Tier II Bonds Series VI - 9.20% (ISIN INE483A08015)
- Intimation for Record Date for Annual Interest payment on Lower Tier II Bonds Series XIV - 9.33% (ISIN : INE483A09245)
- Intimation for Record Date for Annual Interest payment on Basel III Compliant Tier II Bonds Series I - 9.90 % (ISIN : INE483A09260)
- Intimation for Record Date for Annual Interest payment on Basel III Compliant Tier II Bonds Series IV - 9.80 % (ISIN : INE483A08023)
- Intimation of record date for payment of annual interest and principal on Upper TIER II Bonds SR V
- Press Clippings - Exercise of call option for Upper TIER II Bonds SR V
- Intimation to BSE for Basel III Tier II Series I
- Intimation of record date for annual interest payment on TIER I PDI Bonds SR II
- Intimation of Record Date for payment of Annual Interest & Principal amount on Upper Tier II Bonds Series III – 8.80 % (ISIN : INE483A09203)
- Intimation of Record Date for payment of Annual Interest on Upper Tier II Bonds Series V – 8.57 % (ISIN : INE483A09229)
- Intimation for Record Date for payment of Annual Interest on Basel III Compliant Tier II Bonds Series II - 8.62 % (ISIN : INE483A09278)
- Intimation of Record Date for payment of Annual Interest & Principal amount on Upper Tier II Bonds Series II – 9.40 % (ISIN : INE483A09195)
- Intimation of Record Date for Annual Interest Payment on Upper Tier II Bonds Series VI - 9.20 % (ISIN : INE483A08015)
- Intimation of Record Date for Annual Interest Payment on Upper Tier II Bonds Series IV - 8.63 % (ISIN : INE483A09211)
- Intimation of Record Date for Annual Interest on Lower Tier II Bonds Series XIV - 9.33 % (ISIN : INE483A09245)
- Intimation of Record Date for Annual Interest & Principal payment on Upper Tier II Series I - 11.45 % (ISIN : INE483A09179)
- Intimation for Record Date for Annual Interest payment on Basel III Compliant Tier II Bonds Series I - 9.90 % (ISIN : INE483A09260)
- Intimation for Record Date for Annual Interest payment on Tier I PDI Bonds Series II - 9.40 % (ISIN : INE483A09252)
- Intimation for Record Date for Annual Interest on Upper Tier II Bond Series III - 8.80 % (ISIN : INE483A09203)
- Intimation for Record Date for Annual Interest payment on Upper Tier II Bond Series V - 8.57 % (ISIN : INE483A09229)
- Intimation for Record Date for payment of Interest & Principal amount on redemption of Lower Tier II Bonds Series XIII - 9.35 % (ISIN : INE483A09187)
- Intimation for Record Date for payment of First Annual Interest on Basel III Compliant Tier II Bonds Series II - 8.62% (ISIN: INE483A09278)
- Intimation for Record Date for payment of Annual Interest on Upper Tier II Bonds Series II - 9.40% (ISIN: INE483A09195)
- Intimation for Record Date for payment of Annual Interest on Lower Tier II Bonds Series XIII - 9.35 % (ISIN : INE483A09187) due on 10.02.2018
- Intimation for Record Date for payment of Annual Interest on Upper Tier II Bonds Series VI - 9.20 % (ISIN : INE483A08015) due on 21.01.2018
- Intimation for Record Date for payment of Annual Interest on Upper Tier II Bonds Series IV - 8.63 % (ISIN : INE483A09211) due on 20.01.2018
- Intimation of Record Date for payment of Annual Interest on Lower Tier II Bond Series XIV due on 21.12.2017 (ISIN : INE483A09245)
- Intimation of Record Date for payment of Annual Interest on Upper Tier II Bonds Series I due on 14.11.2017 (ISIN : INE483A09179)
- Intimation of Record Date for Annual Interest payment on Basel III Compliant Tier II Series I due on 08/11/2017 (ISIN : INE483A09260)
- Intimation for Record Date for Annual Interest on Tier I PDI Series II - 9.40% (ISIN : INE483A09252) due on 28/09/2017
- Intimation of Record Date for Annual Interest payment on Upper Tier II Bond Series III - 8.80 % (ISIN-INE483A09203)
- Intimation of Record Date for Annual Interest payment on Upper Tier II Bond Series V - 8.57 % (ISIN : INE483A09229) due on 11/06/2017
- Intimation of Record Date for payment of Interest & Principal amount on redemption of Lower Tier II Bonds Series XII (ISIN : INE483A09161) due on 03/05/2017
- Intimation for Record Date for payment of Annual Interest on Lower Tier II Bonds Series XII due on 03.03.2017
- Intimation for Record Date for payment of Annual Interest on Upper Tier II Bonds Series II due on 17.02.2017
- Intimation of Record Date for payment of Annual Interest on Lower Tier II Bonds Series XIII due on 10.02.2017
- Intimation of Record Date for payment of Annual Interest on Upper Tier II Bonds Series VI due on 21.01.2017
- Intimation of Record Date for payment of Annual Interest on Upper Tier II Bonds Series IV due on 20.01.2017
- Intimation of Record Date for payment of Annual Interest on Lower Tier II Bonds Series XIV
- Intimation for Record date_Annual Interest_Upper Tier II Sr. I_14.11.2016
- Intimation to NSE BSE 10.10.2016
- Intimation of Record date PDI SrII 28.09.2016
- Intimation_of_Record_date_SrXI_04-10-2016
- Intimation of Record Date for Ann Int Pay CBI TR II Bonds Series III_23062016
- Intimation of Record Date of Ann Int on CBI Tr II Bonds Series V
- Intimation of Record Date of Ann Int on Tier II Series XII to NSE BSE NSDL CDSL
- Intimation for Record Date to BSE for Annual Int on Upper Tier II Bonds Series II_17.02.2016
- Others
- Compliance as per Regulation 52(4) of SEBI (Listing Obligation and Disclosures Requirements) Regulations, 2015 for the Half Year ended on 31St March, 2021
- Certificate under Regulation 52(5) of SEBl (Listing Obligations and Disclosure Requirements) Regulations, 2015
- Announcement for Premature Redemption of 9.40% unsecured perpetual BASEL II compliant Tier I (IPDI) Bonds Aggregating Rs.500 Crores