-4.35 (-1.11%) Pursuant to Regulation 57(1) of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, Kotak Mahindra Bank has informed that the redemption cum interest due on January 30, 2019 has been remitted to the eligible bondholders of lower tier II Bond bearing ISIN INE166A08024.
The above information is a part of company’s filings submitted to BSE.