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SREI Infrastructure Finance Ltd. - (1200SREI19) - Series NT
Series NT  
ISIN Code INE872A07SY3  
Issue Date 2014-05-28  
Prev. Close 1021  
Open 0  
Low 0  
Face Value 1000000  
Coupon Rate 12%  
Maturity Date 2019-05-28  
Bond Type Debenture  
Voulme 0  
High 0  
Issue Description :

12% (For Category III) Secured Redeemable Non-Convertible Debenture. NCD V. Series V. Letter Of Allotment. Date Of Maturity 28/05/2019

Prevent Unauthorised transactions in your account. Update your mobile numbers/email IDs with your stock brokers. Receive information of your transactions directly from Exchange on your mobile/email at the end of the day.....Issued in the interest of investors.  |  No need to issue cheques by investors while subscribing to IPO. Just write the bank account number and sign in the application form to authorise your bank to make payment in case of allotment. No worries for refund as the money remains in investor's account. |  KYC is one time exercise while dealing in securities markets - once KYC is done through a SEBI registered intermediary (broker, DP, Mutual Fund etc.), you need not undergo the same process again when you approach another intermediary.
Dear Client, Pursuant to SEBI regulation, update your KYC details through KRA form with supporting documents at earliest to complete KYC-KRA requirement. If already submitted, kindly ignore. For any information, in this regard, please contact to our KYC Department on 022-66556772/73/74 or email at
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