General information about company | |
| NSE Symbol | |
| MSEI Symbol | |
| Name of the listed entity* | North Eastern Electric Power Corporation Limited |
| Reporting date* | 19-08-2024 |
| Book Closure (BC) / Record Date (RD) Information* | New Announcement |
| Sr | Scrip Code * | ISIN * | BCRD | Purpose | If purpose is selected as Part Redempton of NCD/Bonds | If Part Redemption pursuant to face value | Old Face Value | New Face Value | If Part Redemption pursuant to Number of NCD/Bonds | Old No. Of NCDs | New No. Of NCDs | Record Date | Start Date Book Closure | End Date Book Closure | Remark |
| 1 | 951024 | INE636F07183 | Record Date | Redemption of Bonds | 13-09-2024 | Textual Information(1) | |||||||||
| 2 | 951890 | INE636F07191 | Record Date | Payment of Interest | 10-09-2024 | ||||||||||
| 3 | 959013 | INE636F07258 | Record Date | Redemption of Bonds | 10-09-2024 | Textual Information(2) | |||||||||
| 4 | 973864 | INE636F08066 | Record Date | Payment of Interest | 06-09-2024 |
Text Block | |
| Textual Information(1) | Final redemption of remainng 20% of FV |
| Textual Information(2) | Full redemption on exercise of Call Option |