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JM Financial Credit Solutions informs about payment of redemption amount

27 Aug 2019 Evaluate

In continuation to its letter dated July 1, 2019 and pursuant to Regulation 57(1) of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, JM Financial Credit Solutions has informed that the Company has duly made the payment of redemption amount, including the premium on redemption, today, to the debenture holders of Tranche Y - Option II non-convertible debentures as on the record date i.e. Friday, August 9, 2019.

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

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