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IFCI informs about interest payment

05 Nov 2019 Evaluate

IFCI has informed that the Company confirmed payment of interest was due on November 03, 2019 in case of 8.55% Secured, Redeemable Non-Convertible Bonds in the nature of Debentures- Series 61 (ISIN- INE039A07868). However, November 03, 2019, being a holiday, hence the payment was made on November 04, 2019. 

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

Peers
Company Name CMP
Power Finance Corpn. 346.70
REC 312.00
NHIT 171.00
Satin Creditcare Net 224.95
IFCI 79.41
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