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JM Financial Products informs about record date

25 Oct 2018 Evaluate

JM Financial Products has informed that the Company has fixed November 01, 2018 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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