Axis Bank Limited Allotment of NCDs Series 8
2024年9月5日 - 5:20PM
RNS Regulatory News
RNS Number : 0632D
Axis Bank Limited
05 September 2024
AXIS/CO/CS/326/2024-25
September 5, 2024
Dear Sir(s),
Ref
|
:
|
Allotment of Fully Paid, Senior, Rated, Listed, Unsecured,
Taxable, Redeemable, Long Term Non-Convertible Debenture (Series -
8)
|
Sub
|
:
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Regulation 30 of the Securities and Exchange Board of India
(Listing Obligations and Disclosure Requirements) Regulations, 2015
("Listing Regulations")
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Pursuant to Regulation 30 of the
Listing Regulations and in reference to our letter
AXIS/CO/CS/316/2024-25 dated August 30, 2024, we hereby inform that
the Committee of Whole-time Directors of Axis Bank Limited, has
approved the allotment of 3,92,500 Fully Paid, Senior, Rated,
Listed, Unsecured, Taxable, Redeemable, Long Term Non-Convertible
Debenture (Series - 8) of face value Rs. 1,00,000/- each
("Debentures") at par aggregating to Rs. 3,925 crore at a coupon rate of 7.45%
p.a. payable annually, on a private placement basis.
The said NCDs are rated "CRISIL
AAA/Stable" by CRISIL Ratings Limited and "[ICRA]AAA/Stable" by
ICRA Limited. Details required to be disclosed as per SEBI circular
SEBI/HO/CFD/CFD-PoD-1/P/CIR/2023/123 dated July 13, 2023, are
enclosed as Annexure A.
http://www.rns-pdf.londonstockexchange.com/rns/0632D_1-2024-9-5.pdf
This is for your information and
records.
Thanking You.
Yours faithfully,
For
Axis Bank Limited
Sandeep Poddar
Company Secretary
Annexure
A
Sr No.
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Particulars
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Details
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i.
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Size of the issue
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Rs. 3,925 crore
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ii.
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Whether proposed to be listed? If
yes, name of the stock exchange(s);
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Yes
(i) BSE
Limited
(ii) National Stock Exchange
of India Limited
|
iii.
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Tenure of the instrument - date of
allotment and date of maturity;
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Tenure: 10 years
Date of allotment: September 5,
2024
Date of maturity: September 5,
2034
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iv.
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Coupon / interest offered, schedule
of payment of coupon / interest and principal;
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Coupon: 7.45% p.a.
Interest will be payable annually on
September 5, each year till maturity of the Debentures.
The Debentures are redeemable at par
at the end of 10 years i.e. on September 5, 2034
|
v.
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Charge / security, if any, created
over the assets;
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NA. The Debentures are
unsecured.
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vi.
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Special right / interest /
privileges attached to the instrument and changes
thereof;
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There are no special rights/
privileges attached to the Debentures.
|
vii.
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delay in payment of interest /
principal amount for a period of more than three months from the
due date or default in payment of interest / principal;
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NA
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viii.
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details of any letter or comments
regarding payment / non-payment of interest, principal on due
dates, or any other matter concerning the security and /or the
assets along with its comments thereon, if any;
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NA
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ix.
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details of redemption of preference
shares indicating the manner of redemption (whether out of profits
or out of fresh issue) and debentures;
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The Debentures are redeemable at par
at the end of 10 years i.e. on September 5, 2034.
|
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END
MSCEAPNSEFKLEEA
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