Description
BSE Daily Bulletin dated 12 March 2026 listing book-closure and record dates for multiple companies, primarily for NCD interest payments and partial redemptions scheduled in March-June 2026.
Summary
BSE Daily Bulletin No. 236/2025-2026 dated 12 March 2026 publishes book-closure and record date information for privately placed non-convertible debentures (NCDs) of several companies. The bulletin covers upcoming record dates primarily in March through June 2026 for interest payments and partial redemptions.
Key Points
- Bulletin No. 236/2025-2026 issued on 12 March 2026
- All listed securities are Privately Placed Non-Convertible Debentures (NCDs)
- Record dates span from 13 March 2026 to 15 June 2026
- Purposes include partial NCD redemptions and periodic interest payments
- Multiple record dates listed for Aptus Finance India Private Limited (codes 976302 and 976464) covering interest and redemption schedules through June 2026
Regulatory Changes
No regulatory changes announced. This is a routine informational bulletin.
Compliance Requirements
NCD holders should note their respective record dates to be eligible for interest payments and/or partial redemption proceeds. Investors must hold the securities on the record date to qualify for the corporate action.
Important Dates
| Code | Company | Record Date | Purpose |
|---|---|---|---|
| 977310 | Achiievers Finance India Limited | 16/03/2026 | Interest Payment & Partial Redemption of NCD |
| 977232 | Adani Transmission Step-Two Limited | 13/03/2026 | Partial Redemption & Interest Payment of NCD |
| 976306 | Akara Capital Advisors Private Limited | 16/03/2026 | Interest Payment & Partial Redemption of NCD |
| 977096 | Akara Capital Advisors Private Limited | 16/03/2026 | Partial Redemption & Interest Payment of NCD |
| 976068 | Ambit Finvest Private Limited | 16/03/2026 | Partial Redemption & Interest Payment of NCD |
| 977319 | Anzen India Energy Yield Plus Trust | 16/03/2026 | Interest Payment & Partial Redemption of NCD |
| 976302 | Aptus Finance India Private Limited | 16/03/2026 | Interest Payment & Partial Redemption of NCD |
| 976302 | Aptus Finance India Private Limited | 15/04/2026 | Interest Payment |
| 976302 | Aptus Finance India Private Limited | 16/05/2026 | Interest Payment |
| 976302 | Aptus Finance India Private Limited | 15/06/2026 | Partial Redemption & Interest Payment |
| 976464 | Aptus Finance India Private Limited | 13/04/2026 | Interest Payment |
| 976464 | Aptus Finance India Private Limited | 13/05/2026 | Partial Redemption of NCD |
| 976464 | Aptus Finance India Private Limited | 13/06/2026 | Interest Payment |
Impact Assessment
Minimal broader market impact. These are routine corporate actions for privately placed NCD holders. The most active issuer is Aptus Finance India Private Limited with multiple record dates across two scrip codes (976302 and 976464) spanning April through June 2026. NCD holders in the listed instruments should update their records accordingly to ensure timely receipt of interest and redemption proceeds.
Impact Justification
Routine daily bulletin listing scheduled NCD record dates for interest payments and partial redemptions across multiple issuers; no new regulatory changes or broad market impact.