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JM Financial Products fixes Record Date for Payment of Interest & Redemption of NCD

25 Feb 2015 Evaluate

JM Financial Products has informed that March 05, 2015 has been fixed as the Record Date for the purpose of Payment of Interest & Redemption of NCD.

The above information is a part of company’s filings submitted to BSE.

Peers
Company Name CMP
EMAMILTD7 423.00
ICICINXT50 72.64
TGV Securities
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