| Date |
Announcement Under SEBI (LODR) Regulations |
Downloads |
| 04 Mar 2026 |
Intimation of the Record Date of NCD Srs.XXIX and Srs.XXXIII. |
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| 04 Mar 2026 |
List of Bondholders for the month ended FEBRUARY, 2026 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No. SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 02 Mar 2026 |
`No Default Statement' (NDS) for the month of FEBRUARY, 2026 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 14 Feb 2026 |
The Statement of `Security Cover Certificate' for the Quarter ended as on 31st December, 2025 as per Regulation 54 read with 56(1)(d) of SEBI(LODR) Regulations, 2015. |
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| 14 Feb 2026 |
The Covenant Certificate for the Quarter ended as on 31st December, 2025. |
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| 14 Feb 2026 |
Statement of Utilization Certificate for the Quarter ended as on 31st December, 2025 as per Regulation 52(7) and 52(7A) of SEBI (LODR) Regulations, 2015. |
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| 13 Feb 2026 |
'Statutory Compliance Report' for the Quarter ended as on 31st December, 2025 as forwarded to M/s.Beacon Trusteeship Limited (Debenture Trustee). |
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| 13 Feb 2026 |
'Statutory Compliance Report' for the Quarter ended as on 31st December, 2025 as forwarded to M/s.Catalyst Trusteeship Limited (Debenture Trustee). |
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| 13 Feb 2026 |
'Statutory Compliance Report' for the Quarter ended as on 31st December, 2025 as forwarded to M/s.SBICAP Trustee Company Limited (Debenture Trustee). |
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| 13 Feb 2026 |
'Statutory Compliance Report' for the Quarter ended as on 31st December, 2025 as forwarded to M/s.IDBI Trusteeship Services Limited (Debenture Trustee). |
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| 05 Feb 2026 |
Intimation to Debenture Trustees for Half-Yearly Interest payment made for Series 31 NCD due on 04.02.2026. |
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| 04 Feb 2026 |
Payment of Half-Yearly Interest made to all the Bondholders of 8.23% Series. XXXI- of NPCIL Bonds on its due date viz. 04.02.2026 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 03 Feb 2026 |
List of Bondholders for the month ended JANUARY, 2026 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No. SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 02 Feb 2026 |
No Default Statement (NDS) for the month of JANUARY, 2026 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 23 Jan 2026 |
Intimation to Debenture Trustee regarding Half-Yearly Interest payment for Series XXVIII-Tranche B to E and Redemption of Series 28- Tranche B on its due date 23.01.2026. |
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| 23 Jan 2026 |
Intimation to Debenture Trustees for Yearly Interest payment for Series 34 NCD due on 23.01.2026. |
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| 23 Jan 2026 |
Payment of Yearly Interest made to all the Bondholders of 7.34% Series. XXXIV of NPCIL Bonds on its due date viz. 23.01.2026 in compliance with Regulation 57 of BI(LODR) Regulations, 2015. |
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| 23 Jan 2026 |
Payment of Yearly Interest made to all the Bondholders of 7.34% Series. XXXIV of NPCIL Bonds on its due date viz. 23.01.2026 in compliance with Regulation 57 of BI(LODR) Regulations, 2015. |
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| 23 Jan 2026 |
Payment of Half-yearly Interest made to all the Bondholders of 9.18% Series XXVIII-Tranche B to E and Redemption of Tranche B on its due date viz. 23.01.2026 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 13 Jan 2026 |
Statement of `Investor Grievances/Complaints' under Regulation 13(3) of SEBI (LODR)-Regulations, 2015 for the Quarter (Q3-FY2025-26) ended as on 31st December, 2025. |
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| 06 Jan 2026 |
List of Bondholders for the month ended DECEMBER, 2025 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 01 Jan 2026 |
No Default Statement (NDS) for the month of DECEMBER, 2025 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 23 Dec 2025 |
Prior Intimation of Interest payment and Redemption payment to the Debenture Trustees -M/s.IDBI Trusteeship Services Limited for Series 30, 31,32 and Series 35 of NPCIL Bonds. |
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| 23 Dec 2025 |
Prior Intimation of Interest payment and Redemption payment to the Debenture Trustees - M/s.SBICAP Trustee Company Limited for Series 28 and Series 38 of NPCIL Bonds. |
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| 23 Dec 2025 |
Prior Intimation of Interest payment to the Debenture Trustees - M/s.Catalyst Trusteeship Limited for Series 34 and Series 36 of NPCIL Bonds. |
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| 23 Dec 2025 |
Intimation to Debenture Trustees for Yearly Interest payment for Series 37 NCD due on 23.12.2025. |
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| 23 Dec 2025 |
Payment of Yearly Interest made to all the Bondholders of 7.55% Series XXXVII- of NPCIL Bonds on its due date viz. 23.12.2025 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 17 Dec 2025 |
Intimation to Debenture Trustees for Yearly Interest payment for Series 39 NCD due on 17.12.2025. |
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| 17 Dec 2025 |
Payment of Yearly Interest made to all the Bondholders of 7.14% Series. XXXIX- of NPCILBonds on its due date viz. 17.12.2025 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 15 Dec 2025 |
Intimation to NSE and Debenture trustees on change in Bank account for interest and debenture payments. |
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| 15 Dec 2025 |
Intimation to debenture Trustees for Half-yearly Interest payment for Series 33 NCD due on 15.12.2025. |
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| 15 Dec 2025 |
Payment of Half-yearly Interest made to all the Bondholders of 7.25% Series. XXXIII-Tranche A to E of NPCILBonds on its due date viz. 15.12.2025 in compliance with Regulation 57 of BI(LODR) Regulations, 2015. |
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| 05 Dec 2025 |
Intimation of the Record Date of NCD Srs.XXVIII, Srs.XXX, Srs.XXXI, Srs.XXXII, Srs.XXXIV, Srs.XXXV, Srs.XXXVI and Srs.XXXVIII. |
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| 02 Dec 2025 |
List of Bondholders for the month ended NOVEMBER, 2025 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 01 Dec 2025 |
No Default Statement (NDS) for the month of NOVEMBER, 2025 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 28 Nov 2025 |
Payment of Half-yearly Interest made to all the Bondholders of 8.40% Series.XXIX-Tranche A to E and Redemption (Srs.XXIX-Tranche A) of NPCIL Bonds on its due date viz. 28.11.2025 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 28 Nov 2025 |
Intimation for Half-yearly Interest payment (8.40% -Series XXIX - Tranche A to E) and Redemption (Series XXIX-Tranche -A) to Debenture Trustee viz. M/s. IDBI TRUSTEESHIP SERVICES LIMITED on its due date viz. 28.11.2025. |
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| 14 Nov 2025 |
Statutory Compliance Report for the Quarter ended as on 30th September, 2025 as forwarded to M/s.Beacon Trusteeship Limited (Debenture Trustee). |
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| 14 Nov 2025 |
Statutory Compliance Report for the Quarter ended as on 30th September, 2025 as forwarded to M/s.Catalyst Trusteeship Limited (Debenture Trustee). |
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| 14 Nov 2025 |
Statutory Compliance Report for the Quarter ended as on 30th September, 2025 as forwarded to M/s.SBICAP Trustee Company Limited (Debenture Trustee). |
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| 14 Nov 2025 |
Statutory Compliance Report for the Quarter ended as on 30th September, 2025 as forwarded to M/s.IDBI Trusteeship Services Limited (Debenture Trustee). |
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| 14 Nov 2025 |
The Statement of Security Cover Certificate for the Quarter ended as on 30th September, 2025 as per Regulation 54 read with 56(1)(d) of SEBI(LODR) Regulations, 2015. |
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| 14 Nov 2025 |
The Covenant Certificate for the Quarter ended as on 30th September, 2025. |
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| 14 Nov 2025 |
Statement of Utilization Certificate for the Quarter ended as on 30th September, 2025 as per Regulation 52(7) and 52(7A) of SEBI (LODR) Regulations, 2015. |
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| 06 Nov 2025 |
List of Bondholders for the month ended OCTOBER, 2025 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No. SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 14 Oct 2025 |
Statement of Investor Grievances/Complaints under Regulation 13(3) of SEBI (LODR) Regulations, 2015 for the Quarter (Q2-FY2025-26) ended as on 30th September, 2025. |
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| 10 Oct 2025 |
Intimation of Half-Yearly Interest Payment NCD Bond Series 29-Tranche A to E and Redemption of Series 29-Tranche A to Debenture Trustee and Credit Rating Agencies in pursuant to Masterm Circular for Debenture Trustee Circular No. SEBI/HO/DDHS-PoD3/P/CIR/2024/46 dated May 16, 2024. |
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| 06 Oct 2025 |
List of Bondholders for the month ended SEPTEMBER, 2025 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 06 Oct 2025 |
List of Bondholders for the month ended SEPTEMBER, 2025 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 01 Oct 2025 |
No Default Statement (NDS) for the month of SEPTEMBER, 2025 informed to all the Credit Rating Agencies (CRAs) as per SEBI Master Circular No. SEBI/HO/DDHS-POD3/P/CIR/2024/47 dated May 16, 2024. |
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| 01 Oct 2025 |
No Default Statement' (NDS) for the month of SEPTEMBER, 2025 informed to all the Credit Rating Agencies (CRAs) as per SEBI Master Circular No. SEBI/HO/DDHS-POD3/P/CIR/2024/47 dated May 16, 2024. |
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| 01 Oct 2025 |
Intimation to Stock Exchange regarding Specification related to International Securities Identification Number (ISIN) for Outstanding Private Placement Non-convertible Debt Securities for the half-year ended as on 30th September, 2025. |
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| 29 Sep 2025 |
Intimation for Half-yearly Interest payment 8.13% -Series XXXII - Tranche A to E to Debenture Trustee viz. M/s. IDBI TRUSTEESHIP SERVICES LIMITED on its Effective due date viz. 29.09.2025. |
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| 29 Sep 2025 |
Payment of Half-yearly Interest made to all the Bondholders of 8.13% Series.XXXII-Tranche A to E of NPCIL Bonds on its Effective due date viz. 29.09.2025 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 25 Sep 2025 |
Intimation for Half-yearly Interest payment 8.14% -Series XXX - Tranche A to E to Debenture Trustee viz. M/s. IDBI TRUSTEESHIP SERVICES LIMITED on its due date viz. 25.09.2025. |
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| 25 Sep 2025 |
Payment of Half-yearly Interest made to all the Bondholders of 8.14% Series.XXX-Tranche A to E of NPCIL Bonds on its due date viz. 25.09.2025 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 10 Sep 2025 |
Intimation of the Record Date for Payment of Interest NCD Srs.XXIX-Tranche A to E, Series XXXIII, Series XXXVII and Series XXXIX and Redemption of Series XXIX-Tranche A to NSDL, CDSL, RTAs and Debenture Trustee(s). |
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| 03 Sep 2025 |
List of Bondholders for the month ended AUGUST, 2025 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019 |
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| 01 Sep 2025 |
No Default Statement (NDS) for the month of AUGUST, 2025 informed to all the Credit Rating Agencies (CRAs) as per SEBI Master Circular No. SEBI/HO/DDHS-POD3/P/CIR/2024/47 dated May 16, 2024. |
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| 25 Aug 2025 |
Monitoring of the Investor Grievance Report as per the Scores and ODR Portal as on 25/08/2025. |
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| 06 Aug 2025 |
List of Bondholders for the month ended JULY, 2025 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 05 Aug 2025 |
The information about Utilization Certificate, Covenant Certificate, Security Cover and Financials for the for the Quarter ended as on 30th June, 2025 forwarded to all the Debenture Trustee(s), NSDL and CDSL as uploaded in Neaps portal of NSEIL. |
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| 04 Aug 2025 |
Payment of Half-yearly Interest made to all the Bondholders of 8.23% Series.XXXI-Tranche A to E of NPCIL Bonds on its due date viz. 04.08.2025 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 04 Aug 2025 |
Intimation for Half-yearly Interest payment 8.23% -Series XXXI - Tranche A to E to Debenture Trustee viz. M/s.IDBI TRUSTEESHIP SERVICES LIMITED on its due date viz. 04.08.2025. |
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| 01 Aug 2025 |
No Default Statement (NDS) for the month of JULY, 2025 informed to all the Credit Rating Agencies as per SEBI Master Circular No. SEBI/HO/DDHS-POD3/P/CIR/2024/47 dated May 16, 2024. |
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| 23 Jul 2025 |
Intimation for Half-yearly Interest payment 9.18% -Series 28 - Tranche B to E to Debenture Trustee viz. M/s.SBICAP Trustee Company Limited on its due date viz. 23rd July, 2025. |
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| 23 Jul 2025 |
Payment of Half-yearly Interest made to all the Bondholders of 9.18% Series.XXVIII-Tranche B to E of NPCIL Bonds on its due date viz. 23.07.2025 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 08 Jul 2025 |
Statement of Investor Grievances/Complaints under Regulation 13(3) of SEBI (LODR) Regulations, 2015 for the Quarter ended 30th June, 2025. |
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| 07 Jul 2025 |
List of Bondholders for the month ended JUNE, 2025 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 01 Jul 2025 |
No Default Statement (NDS) for the month of JUNE, 2025 informed to all the Credit Rating Agencies as per SEBI Master Circular No. SEBI/HO/DDHS-POD3/P/CIR/2024/47 dated May 16, 2024. |
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| 23 Jun 2025 |
Intimation of Half-Yearly Interest Payment NCD Bond Series 28, 30, 31 and 32 to the Debenture Trustees and Credit Rating Agencies in pursuant to Master Circular for Debenture Trustee Circular no. SEBI/HO/DDHS-PoD3/P/CIR/2024/46 dated May 16, 2024. |
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| 16 Jun 2025 |
Payment of Half-yearly Interest made to all the Bondholders of 7.25% Series.XXXIII-Tranche A to E of NPCIL Bonds on its due date viz. 16.06.2025 (Effective Due Date) in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 16 Jun 2025 |
Intimation for Half-yearly Interest payment 7.25% -Series XXXIII - Tranche A to E to Debenture Trustee viz. M/s.IDBI TRUSTEESHIP SERVICES LIMITED on its due date viz. 16.06.2025 (Effective Due Date). |
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| 10 Jun 2025 |
Intimation of the Record Date for Payment of Interest of NCD Srs.XXVIII, Srs.XXX, Srs.XXXI and Srs.XXXII to NSDL, CDSL, RTAs and Debenture Trustees. |
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| 05 Jun 2025 |
List of Bondholders for the month ended MAY, 2025 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 28 May 2025 |
Intimation for Half-yearly Interest payment 8.40% -Series 29 - Tranche A to E to Debenture Trustee viz. M/s.IDBI TRUSTEESHIP SERVICES LIMITED on its due date viz. 28th May, 2025. |
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| 28 May 2025 |
Payment of Half-yearly Interest made to all the Bondholders of 8.40% Series.XXIX of NPCIL Bonds on its due date viz. 28.05.2025 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 23 May 2025 |
The Statement of `Security Cover Certificate' for the Quarter ended as on 31st March, 2025 as per Regulation 54 read with 56(1)(d) of SEBI(LODR) Regulations, 2015. |
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| 23 May 2025 |
The Covenant Certificate for the Quarter ended as on 31st March, 2025. |
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| 23 May 2025 |
Statement of Utilization Certificate for the Quarter ended as on 31st March, 2025 as per Regulation 52(7) and 52(7A) of SEBI(LODR) Regulations, 2015. |
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| 13 May 2025 |
Compliance Report for the Quarter ended as on 31st March, 2025 as forwarded to M/s.Beacon Trusteeship Limited (Debenture Trustee). |
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| 13 May 2025 |
Quarterly Report for the Quarter ended as on 31st MARCH, 2025 as forwarded to M/s.SBICAP Trustee Company Limited (Debenture Trustee). |
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| 13 May 2025 |
Statutory Compliance Report for the Quarter ended as on 31st March, 2025 as forwarded to M/s.Catalyst Trusteeship Limited (Debenture Trustee). |
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| 13 May 2025 |
Quarterly Compliance Report for the Quarter ended as on 31st March, 2025 as forwarded to M/s.IDBI Trusteeship Services Limited (Debenture Trustee). |
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| 05 May 2025 |
List of Bondholders for the month ended APRIL, 2025 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 02 May 2025 |
No Default Statement (NDS) for the month of APRIL, 2025 informed to all the Credit Rating Agencies as per SEBI Master Circular No. SEBI/HO/DDHS-POD3/P/CIR/2024/47 dated May 16, 2024. |
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| 24 Apr 2025 |
Intimation of creation of Fixed deposit towards DRF in accordance with rule 18(7) of the Companies (Share capital and debentures) Rules 2014. |
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| 22 Apr 2025 |
Payment made to National Stock Exchange of India Limited (NSEIL) as Listing Fees for Listed Debt Securities for the Financial Year 2025-26. |
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| 22 Apr 2025 |
Reaffirmation and Review of Non-Convertible Debentures of NPCIL for the Financial Year 2024-25. |
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| 22 Apr 2025 |
Initial Disclosure in respect of Large Corporate Entity - FY2024-25. |
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| 16 Apr 2025 |
Statement of Investor Grievances/Complaints under Regulation 13(3) of SEBI (LODR) Regulations, 2015 for the Quarter ended 31st March, 2025. |
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| 11 Apr 2025 |
Annual Information pursuant to Chapter XIV-Centralized Database for Corporate Bonds/Debentures for the year ended 31.03.2025. |
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| 02 Apr 2025 |
Specifications related to International Securities Identification Number (ISINs) for the Debt Securities issued under the Regulation 17 of SEBI (Issue and Listing of Debt Securities) Regulations, 2021 read with SEBI Circular dated 10.08.2021 and 22.05.2024 for Half-Year ending as on 31.03.2025 (FY2024-25). |
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| 02 Apr 2025 |
List of Bondholders for the month ended MARCH, 2025 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 01 Apr 2025 |
No Default Statement (NDS) for the month of MARCH, 2025 informed to all the Credit Rating Agencies as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 28 Mar 2025 |
Payment of Half-yearly Interest made to all the Bondholders of 8.13% Series.XXXII of NPCIL Bonds on its due date viz. 28.03.2025 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 25 Mar 2025 |
Payment of Half-yearly Interest made to all the Bondholders of 8.14% Series.XXX of NPCIL Bonds on its due date viz. 25.03.2025 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 24 Mar 2025 |
Payment of Annual Interest made to all the Bondholders of 6.89% Series.XXXVI of NPCIL Bonds on its due date viz. 24.03.2025 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 24 Mar 2025 |
Payment of Annual Interest made to all the Bondholders of 6.80% Series.XXXV of NPCIL Bonds on its Effective due date viz. 24.03.2025 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 21 Mar 2025 |
Payment of Annual Interest made to all the Bondholders of 7.70% Series.XXXVIII of NPCIL Bonds on its Due Date viz. 21.03.2025 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 12 Mar 2025 |
Board Sub-Committee on Stakeholders Relationship Committee Meet (SRC-23) was held at Mumbai on 12th March, 2025 (Wednesday). |
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| 07 Mar 2025 |
Intimation to Debenture Trustee viz. M/s.IDBI Trusteeship Services Limited, regarding of Half-yearly Interest Payment(s) for 8.40% Series XXIX and 7.25% Series XXXIII of NPCIL Bonds due on 28.05.2025 and 16.06.2025 (Effective Due Date) respectively. |
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| 06 Mar 2025 |
Intimation of the Record Date for Payment of Interest (NCD Srs.XXXIII-Tranche A to E) to NSDL, CDSL, RTAs and Debenture Trustee. |
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| 06 Mar 2025 |
Intimation of the Record Date for Payment of Interest (NCD Srs.XXIX-Tranche A to E) to NSDL, CDSL, RTAs and Debenture Trustee. |
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| 05 Mar 2025 |
List of Bondholders for the month ended FEBRUARY, 2025 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 03 Mar 2025 |
No Default Statement (NDS) for the month of FEBRUARY, 2025 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 06 Feb 2025 |
List of Bondholders for the month ended JANUARY, 2025 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 05 Feb 2025 |
Compliance Report for the Quarter ended as on 31st December, 2024 as forwarded to M/s.Beacon Trusteeship Limited (Debenture Trustee). |
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| 05 Feb 2025 |
Quarterly Report for the Quarter ended as on 31st December, 2024 as forwarded to M/s.SBICAP Trustee Company Limited (Debenture Trustee). |
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| 05 Feb 2025 |
Statutory Compliance Report for the Quarter ended as on 31st December, 2024 as forwarded to M/s.Catalyst Trusteeship Limited (Debenture Trustee). |
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| 05 Feb 2025 |
Quarterly Compliance Report for the Quarter ended as on 31st December, 2024 as forwarded to M/s.IDBI Trusteeship Services Limited (Debenture Trustee). |
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| 04 Feb 2025 |
Intimation for Half-yearly Interest payment 8.23% -Series 31 - Tranche A to E to Debenture Trustee viz. M/s.IDBI TRUSTEESHIP SERVICES LIMITED on its due date viz. 04th February, 2025. |
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| 04 Feb 2025 |
Payment of Half-yearly Interest for Series 31 - Tranche A to E made to all the Bondholders on its Due date viz.04.02.2025 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 03 Feb 2025 |
No Default Statement (NDS) for the month of JANUARY, 2025 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 31 Jan 2025 |
Information to Board regarding Quarterly Report on Grievance Redressal Mechanism for the Quarter ended 31st December 2024 under regulation 13(4) of SEBI(LODR) Regulations, 2015. |
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| 31 Jan 2025 |
Submission of the Security Cover Certificate for the period ended 31.12.2024. |
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| 31 Jan 2025 |
Submission of Covenant Certificate for the Period ended 31st December 2024 for submission to Debenture Trustees. |
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| 31 Jan 2025 |
Submission of the Utilization Certificate to NSEIL for the period ended 31.12.2024. |
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| 24 Jan 2025 |
Intimation for Half-yearly Interest payment (9.18% -Series 28 - Tranche A to E) and Redemption payment (9.18%-Series 28 - Tranche A) to Debenture Trustees viz. M/s.SBICAP TRUSTEE COMPANY LIMITED on its due date viz. 23rd January, 2025. |
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| 24 Jan 2025 |
Intimation of payment of Annual Interest for 7.34% Series XXXIV to Debenture Trustee viz. M/s. CATALYST TRUSTEESHIP LIMITED on its Due date viz. 23rd JANUARY, 2025. |
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| 23 Jan 2025 |
Payment of Annual Interest (Srs.34) , Half-yearly Interest (Srs.28-Tranche A to E) and Redemption (Srs.28-Tranche A) made to all the Bondholders on its Due date viz. 23.01.2025 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 14 Jan 2025 |
Statement of Investor Complaints under Regulation 13(3) of SEBI (LODR) Regulations, 2015 for the Quarter ended as on 31st December, 2024. |
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| 01 Jan 2025 |
No Default Statement (NDS) for the month of DECEMBER, 2024 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 31 Dec 2024 |
Intimation of Annual Interest Payment for NCD Bond Series 34, 35, 36 and 38 and Half-Yearly Interest Payment NCD Bond Series 28, 30, 31 and 32 to all the Debenture Trustees and Credit Rating Agencies in pursuant to Master Circular for Debenture Trustee Circular no. SEBI/HO/DDHS-PoD3/P/CIR/2024/46 dated May 16, 2024. |
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| 23 Dec 2024 |
Intimation of payment of Annual Interest for 7.55% Series XXXVII to Debenture Trustee viz. M/s. SBICAP Trustee Company Limited on its Due date viz. 23rd December, 2024. |
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| 23 Dec 2024 |
Payment of Annual Interest made to all the Bondholders of 7.55% Series.XXXVII of NPCIL Bonds on its Due date viz. 23.12.2024 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 19 Dec 2024 |
Listing of Non-convertible Debentures issued by NPCIL NPC 7.14% 2039 Sr 39 for Rs 4600 Crores - Listing Letter from NSE. |
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| 17 Dec 2024 |
Intimation of payment of Interest for 7.25% Srs.XXXIII to Debenture Trustees viz. M/s. IDBI TRUSTEESHIP SERVICES LIMITED on its Effective due date viz. 16th December, 2024. |
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| 17 Dec 2024 |
Payment of Half-yearly Interest made to all the Bondholders of 7.25% Series.XXXIII of NPCIL Bonds on its Effective due date viz. 16.12.2024 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 05 Dec 2024 |
List of Bondholders for the month ended NOVEMBER, 2024 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 04 Dec 2024 |
Intimation of the Record Date for Payment of Interest for the NCD Series XXX, XXXI, XXXII-(Tranche A to E) and NCD Series XXXIV, XXXV, XXXVI and XXXVIII to NSDL, CDSL, RTAs and Debenture Trustees. |
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| 03 Dec 2024 |
Intimation of the Record Date for Payment of Interest (NCD Srs.XXVIII-Tranche A to E) and Payment of Redemption (NCD Series XXVIII-Tranche A) to NSDL, CDSL, RTAs and Debenture Trustee. |
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| 02 Dec 2024 |
No Default Statement (NDS) for the month of NOVEMBER, 2024 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 29 Nov 2024 |
Intimation of payment of Interest for 8.40% Srs.XXIX to Debenture Trustees viz. M/s. IDBI TRUSTEESHIP SERVICES LIMITED on due date viz. 28th November, 2024. |
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| 28 Nov 2024 |
Payment of Half-yearly Interest made to all the Bondholders of 8.40% Series.XXIX of NPCIL Bonds on due date viz. 28.11.2024 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 11 Nov 2024 |
Quarterly Report for the Quarter ended as on 30th September, 2024 as forwarded to M/s.SBICAP Trustee Company Limited (Debenture Trustee). |
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| 11 Nov 2024 |
Statutory Compliance Report for the Quarter ended as on 30th September, 2024 as forwarded to M/s.Catalyst Trusteeship Limited (Debenture Trustee). |
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| 11 Nov 2024 |
Quarterly Compliance Report for the Quarter ended as on 30th September, 2024 as forwarded to M/s.IDBI Trusteeship Services Limited (Debenture Trustee). |
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| 11 Nov 2024 |
List of Bondholders for the month ended OCTOBER, 2024 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 07 Nov 2024 |
Information to Board regarding Quarterly Report on Grievance Redressal Mechanism for the Quarter ended 30th September 2024 under regulation 13(4) of SEBI(LODR) Regulations, 2015. |
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| 07 Nov 2024 |
Submission of the Security Cover Certificate for the period ended 30.09.2024. |
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| 07 Nov 2024 |
Submission of Covenant Certificate for the Period ended 30th September 2024. |
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| 07 Nov 2024 |
Submission of the Utilization Certificate to NSEIL for the period ended 30.09.2024. |
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| 01 Nov 2024 |
No Default Statement (NDS) for the month of OCTOBER, 2024 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 24 Oct 2024 |
Intimation of Half-Yearly Interest Payment(s) for 8.40% Series 29, 7.25% Series 33 and Yearly Interest Payment for 7.55% Series 37 of NPCIL Bonds due on 28.11.2024, 16.12.2024 and 23.12.2024 respectively. |
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| 16 Oct 2024 |
Statement of Investor Complaints under Regulation 13(3) of SEBI (LODR) Regulations, 2015 for the Quarter ended as on 30th September, 2024. |
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| 08 Oct 2024 |
List of Bondholders for the month ended SEPTEMBER, 2024 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 07 Oct 2024 |
Specifications related to International Securities Identification Number (ISINs) for the Debt Securities issued under the Regulation 17 of SEBI (Issue and Listing of Debt Securities) Regulations, 2021 read with SEBI Circular dated 10.08.2021 and 22.05.2024 for Half-Year ending as on 30.09.2024 (FY2024-25). |
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| 03 Oct 2024 |
No Default Statement (NDS) for the month of SEPTEMBER, 2024 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 01 Oct 2024 |
Intimation of payment of Interest for 8.13% Srs.XXXII to Debenture Trustees viz. M/s. IDBI TRUSTEESHIP SERVICES LIMITED on its Effective due date viz. 30th September, 2024. |
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| 01 Oct 2024 |
Payment of Half-yearly Interest made to all the Bondholders of 8.13% Series.XXXII of NPCIL Bonds on its Effective due date viz. 30.09.2024 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 26 Sep 2024 |
SEBI/HO/MIRSD/MIRSD_CRADT/CIR/P/2021/618 dated 13.08.2021. |
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| 26 Sep 2024 |
Intimation of payment of Interest for 8.14% Srs.XXX to Debenture Trustees viz. M/s. IDBI TRUSTEESHIP SERVICES LIMITED on due date viz. 25th September, 2024. |
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| 26 Sep 2024 |
Payment of Half-yearly Interest made to all the Bondholders of 8.14% Series.XXX of NPCIL Bonds on due date viz. 25.09.2024 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 13 Sep 2024 |
Submission of the Annual Utilization Certificate to all the Debenture Trustees for the FY 2023-2024. |
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| 05 Sep 2024 |
List of Bondholders for the month ended AUGUST, 2024 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 03 Sep 2024 |
No Default Statement (NDS) for the month of AUGUST, 2024 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 30 Aug 2024 |
Intimation of the Record Date for Payment of Interest(NCD Srs.XXIX, XXXIII and XXXVII) to NSDL, CDSL, RTAs and Debenture Trustees. |
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| 30 Aug 2024 |
Intimation of the Record Date for Payment of Interest (NCD Srs.XXIX, XXXIII and XXXVII) under Regu.60 of SEBI (LODR) Regulations, 2015. |
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| 26 Aug 2024 |
Intimation to RTAs and DTs regarding the 37 AGM of NPCIL on 20th Sep, 2024. |
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| 13 Aug 2024 |
Quarterly Report for the Quarter ended as on 30th June, 2024 as forwarded to M/s.SBICAP Trustee Company Limited (Debenture Trustee). |
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| 13 Aug 2024 |
Statutory Compliance Report for the Quarter ended as on 30th June, 2024 as forwarded to M/s.Catalyst Trusteeship Limited (Debenture Trustee). |
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| 12 Aug 2024 |
Quarterly Compliance Report for the Quarter ended as on 30th June, 2024 as forwarded to M/s.IDBI Trusteeship Services Limited (Debenture Trustee). |
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| 09 Aug 2024 |
Information to Board regarding Quarterly Report on Grievance Redressal Mechanism for the quarter ended 30th June,2024 under Regulation 13(4) of SEBI(LODR)Regulations,2015. |
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| 09 Aug 2024 |
Submission of the Covenant Certificate for the Quarter ended 30.06.2024. |
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| 09 Aug 2024 |
Submission of the Security Cover Certificate for the Quarter ended 30.06.2024. |
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| 09 Aug 2024 |
Submission of the Utilization Certificate to NSEIL for the Quarter ended 30.06.2024. |
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| 05 Aug 2024 |
Updation of the Payment of Interest of NCD Srs.XXXI in the DLT Platform of NSDL. |
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| 05 Aug 2024 |
Payment of Half-yearly Interest made to all the Bondholders of 8.23% Series.XXXI of NPCIL Bonds on due date viz. 05.08.2024 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 05 Aug 2024 |
Intimation of payment of Interest for 8.23% Srs.XXXI to Debenture Trustees viz. M/s. IDBI TRUSTEESHIP SERVICES LIMITED on due date viz. 05th August, 2024. |
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| 01 Aug 2024 |
No Default Statement (NDS) for the month of JULY, 2024 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 24 Jul 2024 |
Intimation of payment of Interest for 9.18% Srs.XXVIII to Debenture Trustees viz. M/s.SBICAP TRUSTEE COMPANY LIMITED due date viz. 23rd July, 2024. |
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| 24 Jul 2024 |
Updation of the Payment of Interest of NCD Srs.XXVIII in the DLT Platform of NSDL. |
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| 23 Jul 2024 |
Intimation of `Interest Paymeny' for Half-Yearly Interest Payment NCD Bond Series XXVIII on the due date of 23/07/2024. |
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| 19 Jul 2024 |
Statement of Investor Complaints under Regulation 13(3) of SEBI (LODR) Regulations, 2015 for the Quarter ended as on 30th June, 2024. |
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| 10 Jul 2024 |
Request for submission of the TDS Exemption Undertaking Form for NCD Srs.XXVIII and the Due Date of Interest 23/07/2024. |
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| 04 Jul 2024 |
Intimation of Half-yearly Interest Payment for 9.18% Series 28 of NPCIL Bonds due on 23rd July, 2024. |
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| 04 Jul 2024 |
Intimation of Half-yearly Interest Payment for 8.23% Series 31, 8.14% Series 30 and 8.13% Series 32 of NPCIL Bonds due on 05.08.2024, 25.09.2024 and 30.09.2024 respectively. |
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| 04 Jul 2024 |
Intimation of `Record Date' for Half-Yearly Interest Payment of NCD Bonds 8.23% Series XXXI, 8.14% Series XXX, 8.13% Series XXXII. |
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| 03 Jul 2024 |
List of Bondholders for the month ended JUNE, 2024 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No. SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 01 Jul 2024 |
Intimation of Record Date for Half-Yearly Interest Payment NCD Bond Series XXVIII (Technical Glitch faced for several days). |
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| 01 Jul 2024 |
No Default Statement (NDS) for the month of JUNE, 2024 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 18 Jun 2024 |
Intimation of payment of Interest for 7.25% Srs.XXXIII to Debenture Trustees viz. M/s.IDBI TRUSTEESHIP SERVICES LIMITED due on 15th June, 2024. |
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| 18 Jun 2024 |
Updation of the Payment of Interest of NCDs Srs.XXXIII on DLT Platform of NSDL. |
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| 18 Jun 2024 |
Payment of Half-yearly Interest made to all the Bondholders of 7.25% Series.XXXIII of NPCIL Bonds on due date viz. 15.06.2024 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 06 Jun 2024 |
List of Bondholders for the month ended MAY, 2024 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 03 Jun 2024 |
No Default Statement (NDS) for the month of MAY, 2024 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 31 May 2024 |
Revision made in the Payment of Yearly Interest of 6.89% Srs.XXXVI of NPCIL Bonds on due date viz. 26.03.2024 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 29 May 2024 |
Intimation of payment of Interest for 8.40% Srs.XXIX to Debenture Trustees viz. M/s.IDBI TRUSTEESHIP SERVICES LIMITED. |
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| 29 May 2024 |
Payment of Half-yearly Interest made to all the Bondholders of 8.40% Srs.XXIX of NPCIL Bonds on due date viz. 28.05.2024 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 29 May 2024 |
Updation of the Payment of Interest of NCDs Srs.XXIX on DLT Platform of NSDL (SEBI Circular-SEBI/HO/MIRSD/MIRSD_CRADT/CIR/P/2021/618 dated 13.08.2021). |
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| 22 May 2024 |
Intimation of Quarterly Compliance Report ended 31.03.2024 as per SEBI Compliance. |
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| 22 May 2024 |
Intimation of Quarterly Compliance Report ended 31.03.2024 as per SEBI Compliance. |
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| 22 May 2024 |
Intimation of Quarterly Compliance Report to SBICAP Trustee Company Limited as per SEBI Compliances. |
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| 17 May 2024 |
Intimation of payment of the Annual Custodian Fees for the FY 2024-2025. |
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| 16 May 2024 |
Submission of the TDS Exemption Certificate for the Interest on NCD Srs.XXIX-Due on 28.05.2024 (Last date of submission the documents-21-05-2024). |
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| 15 May 2024 |
Submission of the Utilization Certificate for the Quarter ended 31.03.2024 under Regulation 52(7) and 52(7A) of SEBI (LODR) Regulations,2015. |
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| 15 May 2024 |
Submission of the Financial Results, Security Cover and Covenant Certificates (Q4-FY 2023-2024) to the Debenture Trustees. |
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| 15 May 2024 |
Submission of the Large Corporate Entity Disclosures in excle form with Financial Results to NSEIL as per NSE guidelines. |
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| 15 May 2024 |
Submission of the Covenant Certificateto the Debenture Trustees for the Quarter ended 31.03.2024. |
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| 14 May 2024 |
Intimation of Half-yearly Interest Payment for 8.40% Series 29 and 7.25% Series 33 of NPCIL Bonds due on 28.05.2024 and 15.06.2024 respectively. |
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| 06 May 2024 |
List of Bondholders for the month ended APRIL, 2024 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 03 May 2024 |
No Default Statement (NDS) for the month of April, 2024 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 29 Apr 2024 |
Payment Confirmation of the Annual Listing Fees for the FY 2024-2025 under Regulation 14 of SEBI(LODR)Regulations,2015. |
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| 29 Apr 2024 |
Initial Disclosure and Annual Disclosure in respect of Large Corporate Entity for FY 2023-2024 under SEBI Circular. |
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| 26 Apr 2024 |
Intimation regarding FD with State Bank of India dated 25-04-2024 towards Debenture Redemption Fund(DRF)-Rule 18(7) of the Companies (Share Capital and Debentures) Rules,2014. |
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| 25 Apr 2024 |
Initial Disclosure and Annual Disclosure in respect of Large Corporate Entity for FY 2023-2024 under SEBI Circular. |
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| 24 Apr 2024 |
Intimation of `Record Date' for Half-Yearly Interest Payment of NCD Bond Series XXIX and Series XXXIII. |
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| 19 Apr 2024 |
Compliance Certificate under Regulation 7(3) of SEBI(LODR)Regulations,2015 for the Financial Year 2023-2024. |
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| 16 Apr 2024 |
Certificate under Reg.40(9) read with Reg.61(4) of SEBI(LODR)Reg.,2015 for the year ended 31.03.2024. |
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| 12 Apr 2024 |
Annual Information pursuant to Chapter XIV-Centralized Database for Corporate Bonds/Debentures for the year ended 31.03.2024. |
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| 08 Apr 2024 |
Intimation of information about Reaffirmation of the NCDs ratings by Credit Rating Agencies (CRAs) for the Financial Year 2023-24 to NSEIL. |
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| 04 Apr 2024 |
Statement of Investor Complaints/Grievance under Reg.13(3)of SEBI(LODR)Reg.2015 for the Quarter ended 31.03.2024. |
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| 03 Apr 2024 |
Policy of NPCIL for Unclaimed Interest/Redemption Amount on Non-Convertible Securities: effective from 01.03.2024. |
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| 02 Apr 2024 |
List of Bondholders for the month ended March, 2024 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 01 Apr 2024 |
No Default Statement (NDS) for the month of March, 2024 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 01 Apr 2024 |
Specifications related to International Securities Identification Number (ISINs) for the Debt Securities issued under the SEBI (Issue and Listing of Debt Securities) Regulations, 2008- for Half-Year ending as on 31.03.2024 (FY2023-24). |
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| 28 Mar 2024 |
Intimation of Half-Yearly Interest payment for 8.13% Srs.XXXII of NPCIL Bonds as per the SEBI Circular dated 30.06.2017 and dated 23.06.2020 to Debenture Trustee (M/s.IDBI Trusteeship Services Limited) and Credit Rating Agencies (CRAs) on the due date viz. 28.03.2024. |
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| 28 Mar 2024 |
Intimation of Half-Yearly Interest payment for 8.13% Srs.XXXII of NPCIL Bonds as per Regulation 57 under Chapter V of SEBI(LODR) Regulations, 2015 to Debenture Trustee (M/s.IDBI Trusteeship Services Limited) on the due date viz. 28.03.2024. |
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| 28 Mar 2024 |
Payment of Half-yearly Interest made to all the Bondholders of 8.13% Srs.XXXII, of NPCIL Bonds on due date viz. 28.03.2024 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 27 Mar 2024 |
Intimation of Timely Payment of Yearly Interest to all the Bondholders of 6.89% Srs.XXXVI of NPCIL Bonds as per the SEBI Circular No.SEBI/HO/MIRSD3/CIR/P/2017/72 dated 30.06.2017 read with SEBI/HO/DDHS/CIR/P/103/2020 dated 23.06.2020 to Debenture Trustee (M/s.Catalyst Trusteeship Limited) and Credit Rating Agencies (CRAs) on the due date viz. 26.03.2024. |
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| 27 Mar 2024 |
Intimation of Timely Payment of Yearly Interest to all the Bondholders of 6.89% Srs.XXXVI of NPCIL Bonds as per Regulation 57 under Chapter V of SEBI(LODR) Regulations, 2015 to Debenture Trustee (M/s.Catalyst Trusteeship Limited) on the due date viz. 26.03.2024. |
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| 27 Mar 2024 |
Intimation of Timely Payment of Half-Yearly and Yearly Interest to all the Bondholders of 8.14% Srs.XXX and 6.80% Srs.XXXV of NPCIL Bonds as per the SEBI Circular No.SEBI/HO/MIRSD3/CIR/P/2017/72 dated 30.06.2017 read with SEBI/HO/DDHS/CIR/P/103/2020 dated 23.06.2020 to Debenture Trustee (M/s.IDBI Trusteeship Services Limited) and Credit Rating Agencies (CRAs) on the due date viz. 26.03.2024. |
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| 27 Mar 2024 |
Intimation of Timely Payment of Half-Yearly and Yearly Interest to all the Bondholders of 8.14% Srs.XXX and 6.80% Srs.XXXV of NPCIL Bonds as per Regulation 57 under Chapter V of SEBI(LODR) Regulations, 2015 to Debenture Trustee T(M/s.IDBI Trusteeship Services Limited) on the due date viz. 26.03.2024. |
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| 27 Mar 2024 |
Payment of Half-yearly and Yearly Interest made to all the Bondholders of 8.14% Srs.XXX, 6.80% Srs.XXXV and 6.89% Srs.XXXVI of NPCIL Bonds on due date viz. 26.03.2024 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 22 Mar 2024 |
Intimation of Timely Payment of Yearly Interest to all the Bondholders of 7.70% Srs.XXXVIII of NPCIL Bonds as per Regulation 57 under Chapter V of SEBI(LODR) Regulations, 2015 to Debenture Trustee T(M/s.SBICAP Trustee Company Limited) on the due date viz. 21.03.2024. |
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| 22 Mar 2024 |
Intimation of Timely Payment of Yearly Interest made to all the Bondholders of 7.70% Srs.XXXVIII of NPCIL Bonds as per the SEBI Circular No.SEBI/HO/MIRSD3/CIR/P/2017/72 dated 30.06.2017 read with SEBI/HO/DDHS/CIR/P/103/2020 dated 23.06.2020 to Debenture Trustee (M/s.SBICAP Trustee Company Limited) and Credit Rating Agencies (CRAs) on the due date viz. 21.03.2024 |
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| 22 Mar 2024 |
Payment of Yearly Interest to all the Bondholders of 7.70% Srs.XXXVIII of NPCIL Bonds on due date viz. 21.03.2024 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 22 Mar 2024 |
Payment of Yearly Interest to all the Bondholders of 7.70% Srs.XXXVIII of NPCIL Bonds on due date viz. 21.03.2024 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 22 Mar 2024 |
Information on payment of interest on NCD Srs.XXXVIII uploaded on the DLT Platform as per SEBI Circular Ref. No - SEBI/HO/MIRSD/MIRSD_CRADT/CIR/P/2021/618 dated 13.08.2021. |
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| 12 Mar 2024 |
The Stakeholders Relationship Committee Meet held on 12th March, 2024. |
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| 05 Mar 2024 |
List of Bondholders for the month ended February, 2024 of all live NCDs Bond Series forwarded to the respective Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 04 Mar 2024 |
Intimation of Half-Yearly Interest Payment for NPCIL Bond 8.13% Series 32 due on 28/03/2024. |
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| 04 Mar 2024 |
Intimation of Yearly Interest Payment for NPCIL Bond 7.70% Series 38 due on 21/03/2024. |
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| 01 Mar 2024 |
No Default Statement (NDS) for the month of February, 2024 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 01 Mar 2024 |
For Quarterly TDS Certificate(Form No.16A)in respect of TDS on NCDs. |
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| 01 Mar 2024 |
Statement showing of Unclaimed Interest/Dividend/Redemption Amount as on 29.02.2024. |
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| 16 Feb 2024 |
Intimation of Yearly Interest Payment for NPCIL Bond 6.89% Series 36 due on 26.03.2024 (Effective Interest Due Date). |
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| 16 Feb 2024 |
Intimation of Yearly Interest Payment for NPCIL Bond 6.80% Series 35 due on 26.03.2024 (Effective Interest Due Date). |
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| 16 Feb 2024 |
Intimation of Half-Yearly Interest Payment for NPCIL Bond 8.14% Series 30 due on 26.03.2024 (Effective Interest Due Date). |
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| 09 Feb 2024 |
Quarterly Report for the Quarter ended as on 31st December 2023 as forwarded to M/s.SBICAP Trustee Company Limited (Debenture Trustee). |
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| 09 Feb 2024 |
Quarterly Report for the Quarter ended as on 31st December 2023 as forwarded to M/s.IDBI Trusteeship Services Limited (Debenture Trustee). |
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| 09 Feb 2024 |
Quarterly Report for the Quarter ended as on 31st December 2023 as forwarded to M/s.Catalyst Trusteeship Limited (Debenture Trustee). |
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| 06 Feb 2024 |
List of Bondholders as on 31st January, 2024 of all live NCDs Bond Series forwarded to Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 06 Feb 2024 |
Intimation of the Interest Payment and uploading the data on NSDL DLT Platform as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD_CRADT/CIR/P/2021/618 dated 13.08.2021. |
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| 05 Feb 2024 |
Intimation to the Debenture Trustee(M/s.IDBI Trusteeship Services Limited) for interest payment of NCD SRS.XXXI, due date-05.02.2024. |
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| 05 Feb 2024 |
Payment of Half-yearly Interest to all the Bondholders of 8.23% Srs.XXXI of NPCIL Bonds on due date viz. 05.02.2024 in compliance with Regulation 57 of SEBI(LODR) Regulations, 2015. |
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| 02 Feb 2024 |
Covenant Certificate as on 31st December, 2023. |
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| 02 Feb 2024 |
Information to Board regarding Quarterly Report on Grievance Redressal Mechanism for the Quarterly ended 31st December,2023 under Regulation 13(4) of SEBI(LODR)Regulations,2015. |
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| 01 Feb 2024 |
No Default Statement (NDS) for the month of January, 2024 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 24 Jan 2024 |
Intimation of Payment of Interest on NCD SRS.XXVIII and XXXIV under Regulation 57(1) of SEBI(LODR)Regulations,2015. |
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| 23 Jan 2024 |
Intimation of Half-Yearly Interest Payment for NPCIL Bond 8.23% Series 31 due on 05.02.2024 (Effective Interest Due Date). |
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| 19 Jan 2024 |
Investor Grievances/Complaints Report for the Quarter ended 31.12.2023 (FY 2023-24). |
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| 09 Jan 2024 |
Request for submission of the relevant documents for TDS Exemption on payment of interest -NCD Srs.XXVIII(Due Date of Payment of Interest-23/01/2024). |
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| 08 Jan 2024 |
Intimation of interest payment for NPCIL NCD 9.18% SRS.XXVIII and 7.34% SRS.XXXIV due on 23-01-2024 to Debenture Trustees and all the Credit Rating Agencies(CRAs) in compliance with SEBI Circular(s) dated June 30,2017 and June 23,2020 respectively. |
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| 05 Jan 2024 |
List of Bondholders as on 30th December, 2023 of all live NCDs Bond Series forwarded to Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 02 Jan 2024 |
Statement of Utilization Certificate for the Quarter ended as on 31st December, 2023 as per Regulation 52(7) and 52(7A) of SEBI(LODR) Regulations, 2015. |
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| 02 Jan 2024 |
No Default Statement (NDS) for the month of December, 2023 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 27 Dec 2023 |
Record of Interest Payment on NCD SRS.XXXVII(Due Date-26/12/2023)under DLT Platform provided by NSDL as per the SEBI Circular Ref.No-SEBI/HO/MIRSD/MIRSD_CRADT/CIR/P/2021/618 dated 13.08.2021(URN-0600123361479883). |
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| 27 Dec 2023 |
Intimation of Yearly Interest Payment for NPCIL Bond SRS.XXXVII to SBICAP Trustee Company Ltd. copy to Credit Rating Agencies as per SEBI Circular Ref.No-SEBI/HO/MIRSD/MIRSD3/CIR/P/2017/72 dated 30.06.2017 read with SEBI Circular No. SEBI/HO/DDHS/CIR/P/103/2020 dated 23.06.2020 and Regulation 57(1) of SEBI(LODR)Regulations,2015. |
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| 26 Dec 2023 |
Payment of Annually Interest to all the Bondholders of 7.55% SRS.XXXVII of NPCIL Bonds-Due date - 26.12.2023 in Compliance with Regulation 57(1) of SEBI(LODR)Regulations,2015. |
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| 22 Dec 2023 |
Intimation of `Record Date' for Half-Yearly Interest Payment NCD Bond Series XXVIII, XXX to XXXII and Yearly Interest Payment for XXXIV to XXXVI & XXXVIII. |
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| 15 Dec 2023 |
Payment of Half-yearly Interest to all the Bondholders of 7.25% Srs.XXXIII of NPCIL Bonds on due date viz. 15.12.2023 in compliance with Regulation 57(1) of SEBI(LODR) Regulations, 2015. |
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| 14 Dec 2023 |
Covenant Certificate for the Quarter ended 30th September, 2023. |
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| 07 Dec 2023 |
Legal Entity Identifier Code(LEI Code) in compliance with SEBI Circular No.SEBI/HO/DDHS/DDHS_Div1/P/CIR/2023/64 dtd. 03.05.2023. |
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| 05 Dec 2023 |
List of Bondholders as on 30th November, 2023 of all live NCDs Bond Series forwarded to Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 01 Dec 2023 |
No Default Statement (NDS) for the month of November, 2023 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 28 Nov 2023 |
Payment of Half-yearly Interest to all the Bondholders of 8.40% Srs.XXIX of NPCIL Bonds on due date viz. 28.11.2023 in compliance with Regulation 57(1) of SEBI(LODR) Regulations, 2015. |
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| 17 Nov 2023 |
Intimation of Half-Yearly Interest Payment for NPCIL Bond 8.40% Series 29 and 7.25% XXXIII due on 28.11.2023 and 15.12.2023 respectively to Debenture Trustee and all Credit Rating Agencies (CRAs) in compliance with SEBI Circular(s) dated June 30, 2017 and June 23, 2020 respectively. |
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| 17 Nov 2023 |
Intimation of Yearly Interest Payment for NPCIL Bond 7.55% Series 37 due on 26.12.2023 (Effective Interest Due Date) to Debenture Trustee and all Credit Rating Agencies (CRAs) in compliance with SEBI Circular(s) dated June 30, 2017 and June 23, 2020 respectively. |
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| 14 Nov 2023 |
Quarterly Report for the Quarter ended as on 30th September 2023 as forwarded to M/s.SBICAP Trustee Company Limited (Debenture Trustees). |
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| 14 Nov 2023 |
Quarterly Compliance Report for the Quarter ended as on 30th September, 2023 as forwarded to M/s.IDBI Trusteeship Services Limited (Debenture Trustees). |
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| 14 Nov 2023 |
Statutory Compliance Report for the Quarter ended as on 30th September, 2023 as forwarded to M/s.Catalyst Trusteeship Limited (Debenture Trustees). |
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| 08 Nov 2023 |
Information to Board regarding Quarterly Compliance Report on Grievance Redressal Mechanism for the Quarterly ended 30th Sep,2023 under Regulation 13(4) of SEBI (LODR) Regulations,2015. |
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| 03 Nov 2023 |
List of Bondholders as on 31st October, 2023 of all live NCDs Bond Series forwarded to Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 01 Nov 2023 |
No Default Statement (NDS) for the month of October, 2023 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 31 Oct 2023 |
Statement of Utilization Certificate for the Quarter ended as on 30th September, 2023 as per Regulation 52(7) and 52(7A) of SEBI(LODR) Regulations, 2015. |
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| 25 Oct 2023 |
Intimation of `Record Date' for Half-Yearly Interest Payment of Series XXIX (8.40%) - Tranche A to E & Series XXXIII (7.25%)- Tranche A to E; Yearly Interest Payment of Series XXXVII (7.55%) of NPCIL Bonds which are due on 28.11.2023, 15.12.2023 and 26.12.2023 respectively as per Regulation 60(1) and 60(2) of SEBI (LODR) Regulations, 2015. |
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| 09 Oct 2023 |
Investor Grievances/Complaints Report for the quarter ended as on 30.09.2023 (FY2023-24). |
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| 09 Oct 2023 |
Specifications related to International Securities Identification Number (ISINs) for the Debt Securities issued under the SEBI (Issue and Listing of Debt Securities) Regulations, 2008- for Half-Year ending as on 30.09.2023 (FY2023-24). |
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| 06 Oct 2023 |
List of Bondholders as on 30th September, 2023 of all live NCDs Bond Series forwarded to Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 03 Oct 2023 |
No Default Statement (NDS) for the month of September, 2023 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 29 Sep 2023 |
Payment of Half-yearly Interest to all the Bondholders of 8.13% Srs.XXXII of NPCIL Bonds on due date viz. 29.09.2023 paid on 28.09.2023 in compliance with Regulation 57(1) of SEBI(LODR) Regulations, 2015. |
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| 25 Sep 2023 |
Payment of Half-yearly Interest -8.14% Srs.XXX on due date viz. 25.09.2023 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD3/CIR/P/2017/72 dtd. 30.06.2017 read with SEBI Circular No.SEBI/HO/DDHS/CIR/P/103/2020 dtd. 23.06.2020. |
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| 25 Sep 2023 |
Payment of Half-yearly Interest to all the Bondholders of 8.14% Srs.XXX of NPCIL Bonds on due date viz. 25.09.2023 in compliance with Regulation 57(1) of SEBI(LODR) Regulations, 2015. |
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| 15 Sep 2023 |
Intimation of Interest on Non-Convertible Debentures-TDS under Section 193 with effect from 1st April,2023(NCD Bond Series XXXII). |
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| 12 Sep 2023 |
Intimation of Interest on Non-Convertible Debentures-TDS under Section 193 with effect from 1st April,2023(NCD Bond Series XXX). |
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| 12 Sep 2023 |
Intimation of Half-Yearly Interest Payment for NPCIL Bond 8.14% Srs.30 and 8.13% Series 32 due on 25.09.2023 and 29.09.2023 respectively to Debenture Trustee and all Credit Rating Agencies (CRAs) in compliance with SEBI Circular(s) dated June 30, 2017 and June 23, 2020 respectively. |
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| 01 Sep 2023 |
No Default Statement (NDS) for the month of August, 2023 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 31 Aug 2023 |
Covenant Certificate for the Quarter ended 30th June, 2023. |
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| 29 Aug 2023 |
Information to Board regarding Quarterly Compliance Report on Grievance Redressal Mechanism for the Quarterly ended 30th June,2023 under Regulation 13(4) of SEBI (LODR) Regulations,2015. |
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| 23 Aug 2023 |
Statutory Compliance Report for the Quarter ended as on 30th June, 2023 as forwarded to M/s.Catalyst Trusteeship Limited (Debenture Trustees) |
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| 21 Aug 2023 |
Quarterly Report for the Quarter ended as on 30th June, 2023 as forwarded to M/s. SBICAP Trustee Company Limited (Debenture Trustees) |
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| 18 Aug 2023 |
Quarterly Compliance Report for the Quarter ended as on 30th June, 2023 as forwarded to M/s.IDBI Trusteeship Services Limited (Debenture Trustees) |
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| 14 Aug 2023 |
Statement of Utilization Certificate for the Quarter ended as on 30th June, 2023 as per Regulation 52(7) amnd 52(7A) of SEBI(LODR) Regulations, 2015. |
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| 04 Aug 2023 |
Payment of Half-yearly Interest to all the Bondholders of 8.23% Srs. XXXI of NPCIL Bonds on due date viz. 04.08.2023 in compliance with Regulation 57(1) of SEBI (LODR) Regulations, 2015. |
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| 01 Aug 2023 |
No Default Statement (NDS) for the month of July, 2023 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 27 Jul 2023 |
Intimation of Half-Yearly Interest Payment for NPCIL Bond 8.23% Series 31 due on 04.08.2023 to Debenture Trustee and all Credit Rating Agencies (CRAs) in compliance with SEBI Circular(s) dated June 30, 2017 and June 23, 2020 respectively. |
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| 25 Jul 2023 |
Payment of Half-yearly Interest to all the Bondholders of 9.18% Srs.XXVIII of NPCIL Bonds due on 24.07.2023 (Effective Due Date) in compliance with Regulation 57(1) of SEBI(LODR) Regulations, 2015. |
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| 24 Jul 2023 |
Interest on Non-Convertible Debentures- TDS under section 193 with effect from 01st April,2023(NCD Bond Series-XXXI). |
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| 14 Jul 2023 |
Intimation of Half-Yearly Interest Payment for NPCIL Bond 9.18% Series 28 due on 24.07.2023 (Effective Due Date) to Debenture Trustee and all Credit Rating Agencies (CRAs) in compliance with SEBI Circular(s) dated June 30, 2017 and June 23, 2020 respectively. |
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| 11 Jul 2023 |
Statement of Investor Complaints under Regulation 13(3) of SEBI (LODR) Regulations, 2015 for the Quarter ended as on 30th June, 2023. |
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| 11 Jul 2023 |
Important Announcement for NCD Bondholders-TDS on Interest on securities under Section 193 with effect from 1st April,2023 for NCD Series XXVIII. |
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| 07 Jul 2023 |
Non Applicability of the Compliances under Regulation 57(4) and 57(5)of SEBI(LODR)Regulations,2015 with reference to the SEBI Notification No. SEBI/LAD-NRO/GN/2023/131 dated 14th June,2023. |
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| 03 Jul 2023 |
No Default Statement(NDS) for the month of June, 2023 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 23 Jun 2023 |
Intimation of `Record Date' for Half-Yearly Interest Payment of Series XXVIII (9.18%); Series XXXI (8.23%); Series XXX (8.14%) and Series XXXII (8.13%) for Tranche A, B, C, D and E of NPCIL Bonds which are due on 24.07.2023, 04.08.2023, 25.09.2023 and 29.09.2023 respectively. |
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| 21 Jun 2023 |
Intimation of Interest Obligations for the forthcoming Quarter (Q2) of FY2023-24 under Regulation 57(4) of SEBI(LODR) Regulations, 2015. |
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| 15 Jun 2023 |
Quarterly Report for the Quarter ended as on 31.03.2023 to Debenture Trustee viz. M/s. SBICAP Trustee Company Limited, Mumbai. |
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| 15 Jun 2023 |
Payment of Half-yearly Interest to all the Bondholders of 7.25% Srs.XXXIII of NPCIL Bonds due on 15.06.2023 in compliance with Regulation 57(1) of SEBI(LODR) Regulations, 2015. |
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| 12 Jun 2023 |
Statutory Compliance Report for the Quarter ended as on 31.03.2023 to Debenture Trustee viz. M/s. Catalyst Trusteeship Limited, Mumbai. |
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| 12 Jun 2023 |
Quarterly Compliance Report for the Quarter ended as on 31.03.2023 to Debenture Trustee viz. M/s. IDBI Trusteeship Services Limited, Mumbai. |
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| 05 Jun 2023 |
Intimation of Half-Yearly Interest Payment for NPCIL Bond 7.25% Series 33 due on 15.06.2023 to Debenture Trustee and all Credit Rating Agencies (CRAs) in compliance with SEBI Circular(s) dated June 30, 2017 and June 23, 2020 respectively. |
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| 02 Jun 2023 |
Important Announcement for NCD Bondholders - TDS on Interest on securities under section 193 with effect from 01st April, 2023 for NCD Series XXXIII. |
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| 01 Jun 2023 |
Intimation to all Credit Rating Agencies (CRAs) regarding `No Default Statement' (NDS) for the month of May, 2023 in compliance of SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated 30.06.2017 |
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| 30 May 2023 |
Payment of Interest made to all the Bondholders of 8.40% Srs.XXIX of NPCIL Bonds on due on 29.05.2023 (Effective Due Date) in compliance with SEBI Circular No. SEBI/HO/MIRSD/MIRSD3/CIR/P/2017/72 dated 30.06.2017 read with SEBI Circular No. SEBI/HO/DDHS/CIR/P/103/2020 dated 23.06.2020. |
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| 30 May 2023 |
Payment of Interest made to all the Bondholders of 8.40% Srs.XXIX of NPCIL Bonds on due on 29.05.2023 (Effective Due Date) under Regulation 57(1) of SEBI(LODR) Regulations, 2015. |
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| 29 May 2023 |
Security Cover under Regulation 54 read with Regulation 56(1) (d) of SEBI(LODR) Regulations, 2015 (as amended) for the quarter ended as on 31st March, 2023. |
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| 18 May 2023 |
Intimation of Half-Yearly Payment for NPCIL Bond Series 29 due on 29.05.2023 in compliance with SEBI Circular(s) dated June 30, 2017 and June 23, 2020 respectively. |
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| 15 May 2023 |
Important Announcement for NCD Bondholders - TDS on Interest on securities under section 193 with effect from 01st April, 2023 for NCD Series XXIX. |
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| 10 May 2023 |
Utilization Certificate for the Quarter ended as on 31st March,2023 as per Regulation 52(7) read with Regulation 52(7A) of SEBI(LODR)Regulations,2015. |
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| 04 May 2023 |
List of Bondholders as on 30th April, 2023 of all live NCDs Bond Series forwarded to Debenture Trustees in compliance with SEBI Circular No.SEBI/HO/MIRSD/DOS3/CIR/P/2019/68 dated 27.05.2019. |
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| 02 May 2023 |
No Default Statement (NDS) for the month of April 2023 as per SEBI Circular No. SEBI/HO/MIRSD/MIRSD4/CIR/P/2017/71 dated June 30, 2017. |
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| 28 Apr 2023 |
Annual Listing Fees Paid By Nuclear Power Corporation Of India Limited in compliance with Regulation 14 of SEBI (Listing Obligation and Disclosure Requirements) Regulations, 2015 for the Financial Year 2023-24. |
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| 27 Apr 2023 |
Annual Information pursuant to Chapter XIV-Centralized Database for Corporate Bonds/Debentures for the year ended 31.03.2023. |
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| 25 Apr 2023 |
Intimation of Record date for Half-yearly Interest Payment of Series XXIX (8.40%) and Series XXXIII (7.25%) for Tranche `A',`B',`C', `D' and `E' of NPCIL Bonds which are due on 28th May, 2023 and 15th June, 2023 respectively. |
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| 25 Apr 2023 |
Certificate under Regulation 61(4) of SEBI(Listing Obligation and Disclosure Requirements) Regulations, 2015 for the Financial Year 2022-23. |
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| 24 Apr 2023 |
Initial Disclosure and Annual Disclosure in respect of Large Corporate Entity for the Financial Year 2022-23. |
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| 20 Apr 2023 |
Reporting under Regulation 30 (for Reaffirmation of Credit Ratings) and Regulation 55 (for Review of Credit Ratings) of SEBI (LODR) Regulations, 2015 for the financial year 2022-23. |
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| 19 Apr 2023 |
Compliance Certificate-Regulation 7(3) of SEBI(Listing Obligations and Disclosure Requirements) Regulations, 2015 for the financial year ended March 31, 2023 |
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| 10 Apr 2023 |
Specifications related to International Securities Identification Number (ISINs) for Debt Securities issued under the SEBI (Issue and Listing of Debt Securities) Regulations, 2008 - half-yearly ending as on 31.03.2023 |
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| 05 Apr 2023 |
Intimation of Interest and Redemption Obligations of NCDs made under Regulation 57(5) of SEBI (Listing Obligation and Disclosure Requirements) Regulations, 2015 for the Quarter (Q4) ending as on 31.03.2023. |
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| 03 Apr 2023 |
Extinguishment of NCD Series XXVII - through Corporate Action Execution confirmed by National Securities Depository Limited (NSDL). |
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| 31 Mar 2023 |
Listing Notification by Stock Exchange(National Stock of Exchange of India Limited). |
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| 29 Mar 2023 |
Intimation of Half-Yearly Interest payment made (Series 32). |
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| 28 Mar 2023 |
Intimation of Half-Yearly Interest payment made to all the Bondholders of 8.13% Series 32-Tranche A to E of NPCIL Bonds due on 28.03.2023 under Regulation 57(1) of SEBI(LODR) Regulations, 2015. |
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| 28 Mar 2023 |
Intimation of Half-Yearly Interest payment made (Series 30). |
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| 27 Mar 2023 |
Intimation of Yearly Interest payment made to all the Bondholders of 8.14% Series 30 of NPCIL Bonds due on 27.03.2023 under Regulation 57(1) of SEBI(LODR) Regulations, 2015. |
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| 27 Mar 2023 |
Intimation of Yearly Interest payment made (Series 36). |
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| 24 Mar 2023 |
Intimation of Yearly Interest payment made to all the Bondholders of 6.89% Series 36 NPCIL Bonds due on 24.03.2023 under Regulation 57(1) of SEBI(LODR) Regulations, 2015. |
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| 24 Mar 2023 |
Intimation of Yearly Interest payment made (Series 35). |
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| 23 Mar 2023 |
Intimation of Yearly Interest payment made to all the Bondholders of 6.80% Series 35 NPCIL Bonds due on 23.03.2023 under Regulation 57(1) of SEBI(LODR) Regulations, 2015. |
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| 23 Mar 2023 |
Intimation of Interest Obligations for the forthcoming Quarter (Q1) of FY2023-24 under Regulation 57(4) of SEBI(LODR) Regulations, 2015. |
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| 20 Mar 2023 |
Intimation of Interest and Redemption payment Srs.27 under regulation 57(1) of SEBI(LODR). |
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| 16 Mar 2023 |
Intimation of Interest and Redemption payment Srs.27 under regulation 57(1) of SEBI(LODR). |
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| 16 Mar 2023 |
Intimation of Half-yearly Interest payment made (Series 27). |
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| 22 Feb 2023 |
Intimation of `Record Date' for Interest payment on NCD (SRS.30). |
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| 22 Feb 2023 |
Intimation of `Record Date' for Interest payment on NCD (SRS.32). |
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| 22 Feb 2023 |
Intimation of `Record Date' for Interest payment on NCD (SRS.35). |
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| 18 Feb 2023 |
Intimation of `Record Date' for Interest and Redemption payments on NCD (SRS.27). |
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| 06 Feb 2023 |
Intimation of Half-Yearly Interest payment made (Series 31). |
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| 24 Jan 2023 |
Intimation of Half-yearly Interest payment made (Series 28). |
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| 24 Jan 2023 |
Intimation of Yearly Interest payment made (Series 34). |
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| 05 Jan 2023 |
Intimation of `Record Date' for Interest payment on NCD (SRS.31). |
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| 24 Dec 2022 |
Intimation of `Record Date' for Interest payment on NCD (SRS.34). |
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| 24 Dec 2022 |
Intimation of `Record Date' for Interest payment on NCD (SRS.28). |
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| 16 Dec 2022 |
Intimation of Half-Yearly Interest payment made (Series 33). |
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| 29 Nov 2022 |
Intimation of Half-Yearly Interest payment made (Series 29). |
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| 12 Nov 2022 |
Intimation of `Record Date' for Interest payment on NCD (SRS.33). |
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| 21 Oct 2022 |
Intimation of `Record Date' for Interest payment on NCD (SRS.29). |
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| 14 Oct 2022 |
Active ISINs of NCDs as on 30th September, 2022 (As per SEBI Circular no.CIR/IMD/DF-1/67/2017 dated 30.06.2017 and CIR /DDHS/P/59/2018 dated 28.03.2018). |
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| 29 Sep 2022 |
Intimation of Half-Yearly Interest payment made (Series 32). |
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| 27 Sep 2022 |
Intimation of Half-Yearly Interest payment made (Series 30). |
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| 25 Sep 2022 |
Intimation of `Record Date' for Interest payment on NCD (SRS.30). |
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| 16 Sep 2022 |
Intimation of Interest Payment(SRS XXVII) made on 15-09-2022. |
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| 16 Sep 2022 |
Intimation of Half-yearly Interest payment made (Series 27). |
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| 25 Aug 2022 |
Intimation of `Record Date' for Interest payment on NCD (SRS.32). |
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| 13 Aug 2022 |
Intimation of `Record Date' for Interest payment on NCD (SRS.27). |
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| 05 Aug 2022 |
Intimation of Half-yearly Interest payment made (Series 31). |
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| 26 Jul 2022 |
Intimation of Half-yearly Interest payment made (Series 28). |
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| 21 Jun 2022 |
Intimation of `Record Date' for Interest payment on NCD (SRS.31). |
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| 17 Jun 2022 |
Intimation of `Record Date' for Interest payment on NCD (SRS.28). |
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| 16 Jun 2022 |
Intimation of Half-yearly Interest payment made (Series 33). |
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| 31 May 2022 |
Intimation of Half-yearly Interest payment made (Series 29). |
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| 23 Apr 2022 |
Intimation of `Record Date' for Interest payment on NCD (SRS.33). |
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| 23 Apr 2022 |
Intimation of `Record Date'for Interest payment on NCD (SRS.29). |
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| 22 Feb 2022 |
Intimation of `Record Date' for Interest payment on NCD (SRS.36). |
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