Details about Shriram Transport Fin Co. NCD 2012
Issuer Shriram Transport Finance Co.
Issue Open 26 Jul 2012
Issue Close 1 Aug 2012
Allotment Link : http://www.iepindia.com/irncd_detail_2.asp
BSE Listing Date : 21 August 2012
Listing Date Trading Price & Volume Detail
Shriram Transport Fin Co. NCD
Shriram Transport Fin Co. NCD
Scrip | Script Code | Last Trade Price | High | Low | Volume | Date |
STFC2012A | 934850 | 990 | 994.9 | 990 | 64231 | 8/21/2012 15:09 |
STFC2012B | 934851 | 990 | 995 | 989.75 | 34083 | 8/21/2012 15:12 |
STFC2012C | 934852 | - | ||||
STFC2012D | 934853 | 971 | 1024 | 970.32 | 3637 | 8/21/2012 15:13 |
Registrar of Issue :
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Integrated Enterprises India Limited
2nd Floor, Kences Towers, No.1, Ramakrishna Street, North Usman Road,
T. Nagar, Chennai -600017
Tel: (91 44) 2814 0801/0802/0803 Fax: (91 44) 2814 2479
Email:stfcipo@integratedindia.in
Investor Grievance Email: sureshbabu@ integratedindia.in
The address and contact details of the Company are as below:
I) At Shriram Transport Finance Company Limited
Mr. Vivek Madhukar Achwal (Compliance officer)
Tel: (91 22) 4095 9595 ; Fax : (91 22) 4095 9596/97 Email: stfcncd4comp@stfc.in
Name of the Company
|
Shriram Transport Finance Company Limited
| |||
Face Value/Paid Up Value of Bonds
|
Rs. 1,000/-
| |||
Issue Price
|
Rs. 1,000/-
| |||
Scrip Code
|
934850
|
934851
|
934852
|
934853
|
Scrip ID
|
STFC2012A
|
STFC2012B
|
STFC2012C
|
STFC2012C
|
Security Description
|
Series I
|
Series II
|
Series III
|
Series IV
|
No. of Securities
|
2346416
|
2621121
|
388610
|
643853
|
Distinctive Numbers
|
1 to 2346416
|
1 to 2621121
|
1 to 388610
|
1 to 643853
|
ISIN
|
INE721A07DL1
|
INE721A07DM9
|
INE721A07DN7
|
INE721A07D05
|
Abbrv. Name
|
STFC2012A
|
STFC2012B
|
STFC2012C
|
STFC2012D
|
Coupon
|
10.25%
|
10.50%
|
NA
|
NA
|
Addition Incentive for Individuals | 0.90% | 0.90% | ||
Deemed Date of Allotment
|
10-Aug-12
| |||
Date of Allotment
|
10-Aug-12
| |||
Redemption/Maturity Date
|
09-Aug-15
|
09-Aug-17
|
09-Aug-15
|
09-Aug-17
|
Tenor
|
36 Months
|
60 Months
|
36 Months
|
60 Months
|
Redemption Amount per Bond (Individual Cat)
|
Rs. 1,000/-
|
Rs. 1,000/-
|
Rs. 1,373.19
|
Rs. 1,716.15
|
First Interest Paymnt Due Date
|
1-Apr-13
|
1-Apr-13
|
NA
|
NA
|
Credit Rating
|
CRISIL AA/Stable
| |||
[CARE] AA+/Stable
| ||||
Rating Agency
|
CRISIL Limited
| |||
CARE
| ||||
Put/Call Option
|
None
| |||
Market Lot
|
1 NCD
|
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