Power-Grid (7)
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BSE announces listing of PGCIL 6.98% debt securities worth ₹500 crore on private placement basis with 10-year maturity. | |||||||||||||||
BSE announces listing of PGCIL 6.98% debt securities worth ₹500 crore on private placement basis with 10-year maturity.
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BSE announces listing of ₹500 crore debt securities issued by POWER GRID CORPORATION with 6.98% interest rate and 10-year maturity. | |||||||||||||||
BSE announces listing of ₹500 crore debt securities issued by POWER GRID CORPORATION with 6.98% interest rate and 10-year maturity.
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BSE announces listing of new debt securities worth Rs. 5,000 crores issued by POWER GRID CORPORATION OF INDIA LIMITED on private placement … | |||||||||||||||
BSE announces listing of new debt securities worth Rs. 5,000 crores issued by POWER GRID CORPORATION OF INDIA LIMITED on private placement basis.
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NSE notifies listing of Power Grid Corporation of India Limited's 6.98% 2035 bonds on capital market segment effective August 13, 2025. | |||||||||||||||
NSE notifies listing of Power Grid Corporation of India Limited's 6.98% 2035 bonds on capital market segment effective August 13, 2025.
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Power Grid Corporation fixes record date for interest payment and part redemption of bonds with reduced face value effective August 8, 2025. | |||||||||||||||
Power Grid Corporation fixes record date for interest payment and part redemption of bonds with reduced face value effective August 8, 2025.
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POWER GRID CORPORATION OF INDIA LIMITED has fixed record date for payment of interest and part redemption of bonds with reduced face value … | |||||||||||||||
POWER GRID CORPORATION OF INDIA LIMITED has fixed record date for payment of interest and part redemption of bonds with reduced face value effective August 8, 2025.
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BSE notice regarding part redemption of three PGCIL bond series with reduced face values effective August 1, 2025. | |||||||||||||||
BSE notice regarding part redemption of three PGCIL bond series with reduced face values effective August 1, 2025.
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