VIT-8.25%-22-9-29-PVT (4)
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Vertis Infrastructure Trust has fixed a record date of 16 March 2026 for part redemption of debentures and payment of interest on two NCD … | |||||||||||||||
Vertis Infrastructure Trust has fixed a record date of 16 March 2026 for part redemption of debentures and payment of interest on two NCD series, with reduced face values effective the same date.
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Vertis Infrastructure Trust has fixed a record date of 16 March 2026 for part redemption and interest payment on two series of … | |||||||||||||||
Vertis Infrastructure Trust has fixed a record date of 16 March 2026 for part redemption and interest payment on two series of Non-Convertible Debentures, with reduced face values effective from the same date.
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BSE notifies trading members of Vertis Infrastructure Trust's record date for part redemption and interest payment on two NCD series, with … | |||||||||||||||
BSE notifies trading members of Vertis Infrastructure Trust's record date for part redemption and interest payment on two NCD series, with reduced face values effective 16 March 2026.
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Vertis Infrastructure Trust has fixed a Record Date of 16 March 2026 for part redemption of two series of Non-Convertible Debentures along … | |||||||||||||||
Vertis Infrastructure Trust has fixed a Record Date of 16 March 2026 for part redemption of two series of Non-Convertible Debentures along with payment of interest, with reduced face values effective the same date.
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