Pursuant to SEBI (Listing Obligations and Disclosure Requirements) Regulation, 2015 (the Regulations), Edelweiss Commodities Services has informed that the Company has fixed March 16, 2018 as the Record Date for the purpose of Redemption of NCD. The Redemption amount will be paid on or before April 10, 2018.
The above information is a part of company’s filings submitted to BSE.