General > UPDATES
UPDATES
- Announcement under Regulation 30 (LODR)-Change in Management on 01.04.2026
- Disclosure Under Regulation 30 Of The SEBI (LODR) Regulations, 2015, As Amended on 27.03.2026
- Announcement under Regulation 30 (LODR)-Credit Rating on 27.03.2026
- Issue of Long-Term Bonds for financing of Infrastructure & affordable housing on 24.03.2026
- Disclosures Pertaining To Analysts Investors Meet-Call on 24.03.2026
- Disclosures Pertaining To Analysts Investors Meet Call on 24.03.2026
- Fund Raising Through Issue Of Long-Term Bonds For Financing Of Infrastructure and Affordable Housing on 20.03.2026
- Certificate for timely payment of annual interest on Bank’s Bond INE692A08185 on 02.03.2026
- Certificate for timely redemption payment of Bank’s Bond INE692A08136 on 29.01.2026
- Certificate for timely redemption payment of Bank’s Bond INE692A08128 on 09.01.2026
- Certificate for timely payment of annual interest on Bank’s Bond INE692A08227 on 23.12.2025
- Certificate for timely payment of annual interest on Bank’s Bond INE692A08177 on 20.12.2025
- Certificate for timely redemption payment of Bank’s Bond INE692A08110 on 15.12.2025
- Certificate for timely payment of annual interest on Bank’s Bond INE692A08219 on 29.11.2025
- Certificate for timely payment of annual interest on Bank’s Bond INE692A08201 on 29.11.2025
- Certificate for timely payment of annual interest on Bank’s Bond INE692A08102 on 26.11.2025
- Certificate for timely payment of annual interest on Bank’s Bond INE692A08169 on 24.11.2025
- Certificate for timely payment of annual interest on Bank’s Bond INE692A08045 on 24.11.2025
- Certificate for timely payment of annual interest on Bank’s Bond INE112A08051 on 10.11.2025
- Certificate for timely redemption payment of Bank’s Bond INE692A08094 on 16.09.2025
- Certificate for timely payment of annual interest on Bank’s Bond INE692A08029 on 15.09.2025
- Certificate for timely payment of annual interest on Bank’s Bond INE692A08193 on 25.07.2025
- Certificate for timely payment of annual interest on Bank’s Bond INE692A08151 on 09.07.2025
- Certificate for timely payment of annual interest on Bank’s Bond INE692A08144 on 24.06.2025
- Change in Senior Management of the Bank
- Intimation under SEBI (Listing Obligations and Disclosure Requirements) Regulations,2015
- Intimation of Call Option exercised by the Bank
- Extension of Term of Shri Ramasubramanian S. , Executive Director of the Bank
- Extension of Term of Shri Nitesh Ranjan, Executive Director of the Bank
- Change in Senior Management of the Bank
- Intimation for payment of Annual Interest on Bank’s Bonds : INE692A08185
- Schedule of Analysts/Investors meet dated 20.02.2025
- Schedule of Analysts/Investors meet dated 24.02.2025
- Schedule of Analysts/Investors meet dated 25.02.2025
- Outcome of Analysts/Investors meet dated 11.02.2025
- Outcome of Analysts/Investors meet dated 12.02.2025
- Schedule of Analysts/Investors meet dated 12.02.2025
- Transcript of Analysts/Investors meet dated 28.01.2025
- Schedule of Analysts/Investors meet dated 11.02.2025
- Intimation for Payment of Annual Interest on Bank’s Bonds: INE692A08128
- Intimation for Payment of Annual Interest on Bank’s Bonds: INE692A08136
- Schedule of Analysts/Investors meet dated 28.01.2025
- Outcome of Analysts/Investors meet dated 28.01.2025
- Intimation for Payment of Annual Interest on Bank’s Bonds: INE692A08227
- Outcome of Analysts/Investors meet dated 24.12.2024
- Intimation for Payment of Annual Interest on Bank’s Bonds: INE692A08177
- Intimation for Payment of Annual Interest on Bank’s Bonds: INE692A08110
- Outcome of Analysts/Investors Meet dated 17.12.2024
- Schedule of Analyst/Investors Meet dated 24.12.2024
- Outcome of Analysts/Investor Meet dated 12.12.2024
- Schedule of Analysts/Investor Meet dated 17.12.2024
- Schedule of Analysts/Investor Meet dated 12.12.2024
- Schedule of Analysts/Investor Meet dated 03.12.2024
- Outcome of Analysts/investor meet dated 03.12.2024
- Schedule of Analysts/Investor Meet dated 04.12.2024
- Outcome of Analysts/investor meet dated 04.12.2024
- Schedule of Analysts/Investor Meet dated 05.12.2024
- Outcome of Analysts/investor meet dated 05.12.2024
- Submission of Newspaper Advertisement – Unaudited Reviewed Financial Results (Standalone and Consolidated) of the Bank for the Quarter ended on September 30, 2024.
- Intimation for Payment of Annual Interest on Bank’s Bonds –
- Submission of Newspaper Advertisement – Unaudited Reviewed Financial Results (Standalone and Consolidated) of the Bank for the Quarter ended on June 30, 2024
- Intimation for Payment of Annual Interest on Bank’s Bonds –INE692A08151
- Intimation under SEBI (Listing Obligations and Disclosure Requirements)Regulations,2015.
- Change in Senior Management of the Bank
- Disclosures pertaining to Analysts/Investors meet/Call
- Disclosures pertaining to Analysts Meet/call 12.03.2024
- Intimation for Payment of Annual Interest on Bank’s Bonds –INE692A08185
- Change in Senior Management of the Bank.
- Qualified Institutions Placement of Equity Shares-Issue Closure
- Outcome of analysts meet dated 16.02.2024
- Outcome of analysts meet dated 15.02.2024
- Disclosures pertaining to Non-deal Roadshows/Analyst/Institutional Investor Meet/Call dated 09.02.2024
- Disclosures pertaining to Non-deal Roadshows/Analyst/Institutional Investor Meet/Call.
- Disclosures pertaining to Non-deal Roadshows/Analyst/Institutional Investor Meet/Call
- Disclosures pertaining to Non-deal Roadshows/Analyst/Institutional Investor Meet/Call.
- Brief profile of Statutory Central Auditors (SCA) of the Bank for the Financial Year 2023-24
- Outcome of analysts meet dated 01.02.2024
- Change in Senior Management of the Bank
- Schedule of Non-deal Roadshows/ Analyst/ Institutional Investor Meet
- Disclosures pertaining to Analysts Meet/call 8th February 2024
- Intimation for Payment of Annual Interest on Bank’s Bonds –INE692A08136
- Disclosures pertaining to Analysts Meet/call 1st and 2nd February 2024
- Intimation for Payment of Annual Interest on Bank’s Bonds –INE692A08128
- Disclosure under Regulation 30.
- Intimation for Payment of Annual Interest on Bank’s Bonds –INE692A08227
- Upgradation of Credit Ratings and outlook revised by CRISIL Ratings Limited
- Intimation for Payment of Annual Interest on Bank’s Bonds –INE692A08177
- Intimation for Payment of Annual Interest on Bank’s Bonds –INE692A08110
- Outcome of analysts meet dated 07.12.2023
- Disclosures pertaining to Analysts/Investors meet/Call dated 08.12.2023
- Intimation for Payment of Annual Interest on Bank’s Bonds –ISIN- INE692A08219
- Intimation for Payment of Annual Interest on Bank’s Bonds –ISIN-INE692A08201
- Intimation for Payment of Annual Interest on Bank’s Bonds –INE692A08102
- Intimation for Payment of Annual Interest on Bank’s Bonds –INE692A08045
- Upgradation of Credit Ratings and outlook revised by ICRA Limited
- Intimation for Payment of Annual Interest on Bank’s Bonds – INE692A08169
- Intimation for Payment of Principal and Annual on Bank’s Bonds – INE692A09266
- Disclosures pertaining to Analysts/Investors meet/Call dated 23.11.2023
- Disclosures pertaining to Analysts/Investors meet call dated 28.11.2023
- Intimation for Payment of Annual Interest on Bank’s Bonds –INE112A08051
- Submission of Newspaper Advertisement- Unaudited Reviewed Financial Results (Standalone and Consolidated) of the Bank for the Quarter/Half ended on September 30, 2023
- Affirmation of Credit Ratings and outlook revised to Positive by India Ratings and Research Private Ratings Limited
- Outcome of Analysts/investor meet dated 25.09.2023
- Upgradation of Ratings by CARE Ratings Ltd.
- Disclosures pertaining to Analysts Meet/call dated 25.09.2023
- Disclosures pertaining to Analysts Meet/call dated 15.09.2023
- Intimation for Payment of Annual Interest on Bank’s Bonds –INE692A08029
- Intimation for Payment of Annual Interest on Bank’s Bonds –INE692A08094
- Disclosures pertaining to Analysts/Investors meet/Call
- Revision in Ratings -Upgradation of Ratings by Fitch Ratings
- Credit Ratings Reaffirmed and outlook positive-By ICRA Limited
- Roadshow Presentation - 31 Jul 2023
- Intimation for Payment of Annual Interest on Bank’s Bonds –INE692A08193
- Credit Ratings on 14.07.2023
- Schedule of Earnings Call for the Quarter ended on 30.06.2023
- Outcome of Analysts/investor meet dated 30.06.2023
- Schedule of Analysts/Investor Meet dated 28.06.2023
- Revision in Issuer Credit ratings by S&P Global Ratings date 26.06.2023
- Intimation for Payment of Annual Interest on Bank’s Bonds –INE692A08144
- Schedule of Analysts/Investor Meet dated 29.05.2023
- Outcome of Analysts/investor meet dated 29.05.2023
- Outcome of Analysts/investor meet dated 26.05.2023
- Outcome of Analysts/investor meet dated 25.05.2023
- Schedule of Analysts/Investor Meet dated 26.05.2023
- Schedule of Analysts/Investor Meet dated 25.05.2023
- Schedule of Analysts/Investor Meet dated 18.05.2023
- Schedule of Analysts/Investor Meet dated 03.05.2023
- Outcome of Analysts/investor meet dated 19.05.2023
- Outcome of Analysts/investor meet dated 06.05.2023
- Submission of Newspaper Advertisement- Change of RTA
- Submission of Newspaper Advertisement- Reviewed Financial Results (Standalone and Consolidated) of the Bank for the Quarter/Year ended on March 31, 2023.
- Outcome of Analysts/investor meet dated 21.03.2023
- Outcome of Analysts/investor meet dated 17.03.2023
- Outcome of Analysts/investor meet dated 06.03.2023
- Intimation for Payment of Annual Interest on Bank’s Bonds –INE692A08185
- Outcome of Analysts/investor meet dated 03.03.2023
- Outcome of Analysts/investor meet dated 02.03.2023
- Outcome of Analysts/investor meet dated 28.02.2023
- Outcome of Analysts/investor meet dated 27.02.2023
- Outcome of Analysts/investor meet dated 24.02.2023
- Outcome of Analysts/investor meet dated 22.02.2023
- Outcome of Analysts/investor meet dated 21.02.2023
- Schedule of Non-deal Roadshows/ Analyst/ Institutional Investor Meet 20.02.2023
- Submission of Newspaper Publication - Reviewed Financial Results (Standalone and Consolidated) of the Bank for the Quarter/Nine Month ended on Dec 31, 2022
- Outcome of Analysts/investor meet dated 23.12.2022
- Schedule of Analysts/Investor Meet dated 23.12.2022
- Outcome of Analysts/investor meet dated 14.12.2022
- Schedule of Analysts/Investor Meet dated 14.12.2022
- Intimation for Payment of Annual Interest on Bank’s Bonds –INE692A08169_INE692A09266
- Schedule of Analysts/Investor Meet dated 21.11.2022
- outcome of Analysts/Investor Meet dated 17.11.2022
- Schedule of Analysts/Investor Meet dated 17.11.2022
- Disclosure regarding analysts/Investors meet/call dated 14.11.2022
- Re-appointment of Statutory Central Auditors for the Financial Year 2022-23
- Intimation for Payment of Annual Interest on Bank's Bond –INE112A08051
- Outcome of Analysts/Investor Meet dated 04.11.2022
- Schedule of Analysts/Investor Meet dated 04.11.2022
- Intimation for Payment of Annual Interest on Bank's Bond – ISIN INE434A08075
- Intimation for Payment of Annual Interest on Bank's Bond – ISIN INE434A08083
- Submission of Newspaper Advertisement- Reviewed Financial Results (Standalone and Consolidated) of the Bank for the Quarter/Half-year ended on September 30, 2022.
- Issuer Credit ratings by Fitch Ratings Ltd. date 04.10.2022
- Appointment of Chief Risk Officer (CRO)
- outcome of Analysts/Investor Meet dated 26.09.2022
- Schedule of Analysts/Investor Meet dated 23.09.2022
- Schedule of Analysts/Investor Meet dated 26.09.2022
- Credit ratings by ICRA date 20.09.2022
- Credit ratings by CARE date 22.09.2022
- Intimation for Payment of Annual Interest on Bank’s Bonds –INE692A08094
- Intimation for Payment of Annual Interest on Bank’s Bonds –INE692A08029
- Submission of Newspaper Advertisement- Reviewed Financial Results (Standalone and Consolidated) of the Bank for the Quarter ended on June 30, 2022.
- Submission of Newspaper Advertisement- Audited Financial Results (Standalone and Consolidated) of the Bank for the Quarter/Year ended on March 31, 2022
- Issue of Basel III Compliant AT 1 Bonds
- Allotment of Basel III Compliant Additional Tier-1 Bonds (ISIN: INE692A08193)
- Schedule of Earnings Call for the first quarter ended on 30th June 2022
- Credit Ratings- 15.07.2022
- Intimation for Payment of Annual Interest on Bank’s Bonds – INE692A08151
- Intimation for Payment of Annual Interest on Bank’s Bonds – INE692A08144
- Credit Ratings- 15.06.2022
- Record Date Intimation for Payment of Interest on Bank’s Bonds – INE692A08151
- Extension of tenure of Chief Risk Officer of the Bank
- Convening of 20th Annual General Meeting (AGM) of the Shareholders of the Bank and Book Closure for the purpose of AGM and Payment of Dividend, if any
- Outcome of Board Meeting- Capital Raising held on 26.05.2022
- Record Date Intimation for Payment of Interest on Bank’s Bonds – INE692A08144
- Disclosure under Regulation 30 of SEBI (LODR) Regulations, 2015 - 19.05.2022
- Certificate for Timely Payment of Principal and Annual Interest on Bonds – INE692A08086
- Disclosure under Regulation 30 of SEBI (LODR) Regulations, 2015- 13.04.2022
- Disclosure under Regulation 30 of SEBI (LODR) Regulations, 2015 - 06.04.2022
- Disclosure under Regulation 30 of SEBI (LODR) Regulations, 2015
- Union Bank of India to conduct Digital Conclave at Mumbai
- Record date Intimation for Redemption due to exercise of Call Option and Payment of Annual Interest on Bank’s Bond- INE692A08086
- Certificate for Timely Payment of Principal and Annual Interest on Bonds - INE692A08078
- Certificate for Timely Payment of Principal and Annual Interest on Bonds - INE692A08060
- Certificate for Timely Payment of Principal and Annual Interest on Bonds - INE692A08052
- Intimation of Strike
- Notice of Closure of Trading Window w.e.f. March 31, 2022
- Allotment of shares by National Asset Reconstruction Company Limited (NARCL)
- Extension of tenure of Chief Risk Officer of the Bank
- Record Date(s) Intimation for Redemption due to exercise of Call Option and Payment of Annual Interest on Bank's Bonds - ISIN INE692A08052, INE692A08060, INE692A08078
- Divestment of Stake in IFLIC
- Credit Rating by India Ratings & Research - 10.02.2022
- Credit Rating by CRISIL Ratings - 10.02.2022
- Submission of Newspaper Advertisement- Reviewed (Standalone and Consolidated) Financial Results of the Bank for the Quarter / Nine months ended on December 31, 2021
- Certificate for Timely Payment of Annual Interest on Bonds -INE692A08136
- Certificate for Timely Payment of Annual Interest on Bonds -INE692A08128
- Notice of Closure of Trading Window w.e.f. December 31, 2021
- Certificate for Timely Payment of Annual Interest on Bonds - ISIN INE692A09241
- Issue of Basel III Compliant AT 1 Bonds
- Certificate for Timely Payment of Annual Interest on Bonds - ISIN INE692A08110
- Record Date Intimation for Payment of Interest on Bank's Bond - ISIN INE692A08128
- Credit Rating - 14.12.2021
- Intimation of Strike
- Credit Rating – 13.12.2021
- Credit Rating – 10.12.2021
- Disclosure under Regulation 30 of SEBI (LODR) Regulations, 2015, as amended
- Certificate for Timely Payment of Annual Interest on Bonds - INE692A08102
- Extension of tenure of Chief Risk Officer of the Bank
- Record Date Intimation for payment of Interest on Bank's Bond- ISIN INE692A09241
- Credit Rating – 25.11.2021
- Certificate for Timely Payment of Annual Interest on Bonds - INE692A08045
- Certificate for Timely Payment of Annual Interest on Bonds - INE692A09266
- Issue of Basel III Compliant AT 1 Bonds
- Record Date Intimation for Payment of Interest on Bank's Bond - INE692A08110
- Certificate for Timely Payment of Annual Interest on Bonds - INE112A08044
- Credit Rating – 10.11.2021
- Certificate for Timely Payment of Principal and Annual Interest on Bonds - INE692A08037
- Certificate for Timely Payment of Annual Interest on Bonds - INE112A08051
- Certificate for Timely Payment of Annual Interest on Bonds -INE434A08083
- Credit Rating - 29.10.2021
- Certificate for Timely Payment of Annual Interest on Bonds -INE434A08075
- Record Date Intimation for Payment of Interest on Basel III Compliant Tier II Bonds - (ISIN INE692A08102)
- Intimation of Record date for Payment of interest on Bank’s Bond- INE692A09266 and INE692A08045
- Intimation of Record date for Payment of interest on Bank’s Bond- INE112A08044
- Statement of Debt Securities for the half year ended on September 30, 2021
- Intimation of Record date for Payment of interest on Bank’s Bond
- Credit Rating (India Ratings & Research and CARE Ratings Limited )- 07.10.2021
- Credit Rating - 07.10.2021
- Record date Intimation for Redemption by Call Option and Payment of Interest of Basel III Compliant Perpetual Additional Tier-I Bond (ISIN INE692A08037)
- Credit Rating - 05.10.2021
- Record Date Intimation for Payment of Interest on Bond Series IV Basel III Additional Tier I - (ISIN INE434A08083)
- Credit Rating - 01.10.2021
- Subscription to Shares of National Asset Reconstruction Company Limited
- Record Date Intimation for Payment of interest on Bond Series D Basel III Compliant Tier II - (INE434A08075)
- Credit Rating - 27.09.2021
- Details of Interest / Principal obligations on Non-Convertible Bonds – October 2021 to December 2021
- Notice of Closure of Trading Window w.e.f. September 30, 2021
- Certificate for Timely Payment of Annual Interest on Basel III Compliant Tier-II Bonds - (ISIN INE692A08094)
- Certificate for Timely Payment of Annual Interest on Basel III Compliant Additional Tier-I Bonds - (ISIN INE692A08029)
- Schedule of the Analyst / Institutional Investor Meet
- Certificate for Timely Payment of Principal and Interest on Bonds - INE434A08018
- Schedule of the Analyst / Institutional Investor Meet
- Certificate for Timely Payment of Principal and Interest on Bonds-INE692A08011
- Record date Intimation for Payment of Interest of Bonds of Basel III Compliant Tier-II Bond- (ISIN INE692A08094) and Basel III Compliant Additional Tier-I Bond- (ISIN INE692A08029)
- Certificate for Timely Payment of Principal and Interest on Bonds (INE434A08067)
- Submission of Newspaper Advertisement for Election of Shareholder Director
- Record date for redemption and payment of interest of Bonds of Basel III Compliant Tier-II Bond- ISIN INE692A08011)
- Record Date for Redemption (Upon Maturity) and Payment of Annual Interest of Infra Bond Debentures (ISIN INE434A08018)
- Record Date for redemption and payment of interest of Basel III Compliant Additional Tier-I Bond (ISIN No. INE434A08067)
- Allotment of Basel III Compliant Tier II Bonds (ISIN: INE692A08151)
- Issue of Basel III Compliant Tier II Bonds- 08.07.2021
- Convening of Annual General Meeting of the Shareholders of the Bank
- Notice of Closure of Trading Window w.e.f. June 30, 2021
- Certificate for Timely Payment of Principal and Interest on Bonds- (ISIN No.- INE434A08059)
- Issue of Basel III Compliant Tier II Bonds (ISIN: INE692A08144)
- Extension of Tenure of Chief Risk Officer of the Bank
- Certificate for Intimation of Record date for Payment of interest on Bank’s Bonds.
- Certificate for Timely Payment of Annual Interest on Bonds - 03.05.2021
- Intimation of Record date for Payment of interest on Bank’s Bonds - 05.04.2021
- Certificate for timely payment of Annual Interest on Bonds (INE692A08052 & INE692A08060)- 31.03.2021
- Certificate for timely payment of Annual Interest on Bonds (INE692A08078)-31.03.2021
- Notice of Closure of Trading Window w.e.f. March 31, 2021
- Certificate for timely payment of Principal and Interest on Bonds (INE692A09274)- 26.03.2021
- Approval of Proforma Financial Statements by the Committee of Directors for raising Capital Funds
- Intimation of Record Date for redemption and payment of interest of Bank’s Bond-01.03.2021
- Intimation of Record date for Payment of interest on Bank’s Bonds - 01.03.2021
- Credit Rating-03.03.2021
- Schedule of Non-deal Roadshows/ Analyst/ Institutional Investor Meet
- Credit Rating-01.03.2021
- Certificate for Timely Payment of Principal and Interest on Bonds (INE434A08042)- 20.02.2021
- Approval of Proforma Financial Statements by the Committee of Directors for raising Capital Funds
- Allotment of Basel III Compliant Additional Tier I Bonds (ISIN: INE692A08136)-29.01.2021
- Issue of Basel III Compliant Additional Tier I Bonds- 27.01.2021
- Allotment of Basel III Compliant Additional Tier I Bonds (ISIN: INE692A08128) - 11.01.2021
- Issue of Basel III Compliant Additional Tier I Bonds- 07.01.2021
- Changes in Statutory Central Auditors (SCAs) of the Bank for the financial year 2020-21
- Notice of Closure of Trading Window w.e.f December 31, 2020
- Certificate for Timely Payment of Annual Interest on Bonds-28.12.2020
- Certificate for Timely Payment of Principal and Interest on Bonds (INE434A08034)- 18.12.2020
- Credit Ratings to the Bank -17.12.2020
- Allotment of Basel III Compliant Tier I Bonds- 15.12.2020
- Issue of Basel III Compliant Additional Tier I Bonds- 11.12.2020
- Intimation of Record date for Payment of interest on Bank’s Bonds-27.11.2020
- Outcome of the Meeting of Board of Directors of the Bank- 25.11.2020
- Issue of Basel III Compliant Tier II Bonds - 24.11.2020
- Certificate for Timely Payment of Annual Interest on Bonds - 24.11.2020
- Certificate for Timely Payment of Annual Interest on Bonds-23-11-2020
- Record Date for payment of Interest with Redemption of Bank's Bonds- 20.11.2020
- Related Party Transaction Disclosure for the Half year ended 30.09.2020
- Certificate for timely payment of Interest on Bank's Bonds - 17.11.2020
- Certificate for Timely Payment of interest on Bank’s Bonds -09.11.2020
- Rating of various bonds issued - Reporting under Regulation 30 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 - 24.10.2020
- Rating of various bonds issued - Reporting under Regulation 30 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015- 16.10.2020.
- Ratings of various bonds issued - Reporting under Regulation 30 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015- 14.10.2020
- Intimation of Record date for Payment of interest on Bank’s Bonds-14.10.2020
- Intimation of Record date for Payment of interest on Bank’s Bonds (INE692A08037) - 08.10.2020
- Closure of Trading Window - 28.09.2020
- Intimation of Record date for Payment of interest on Bank’s Bonds (INE434A08075) - 22.09.2020
- Issue of Basel III Compliant Tier II Bonds-16.09.2020
- Certificate for Timely Payment of Principal and Interest on Bonds-16.09.2020
- Rating of various bond issues - Reporting under Regulation 30 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015- 11.09.2020
- Certificate for Timely Payment of Interest on Bonds- 15.09.2020
- Reporting under Regulation 30 of SEBI (Listing Obligations & Disclosure Requirements) Regulations, 2015 – Rating - 05.09.2020
- Certificate for Timely Payment of Interest on Bonds
- Certificate for Timely Payment of Interest on Bonds
- Record Date for redemption and payment of interest of Bank's Bond
- Intimation of Record date for Payment of interest on Bank’s Bonds – 14.08.2020
- Outcome of the Meeting of Board of Directors of the Bank - 29.07.2020
- Intimation of Record date for Payment of interest on Bank’s Bonds-30.05.2020
- Reporting under Regulation 30 of SEBI (Listing Obligations & Disclosure Requirements) Regulations, 2015- Rating of various bond issues
- Record date for redemption and payment of interest for Bank's Bonds-20.05.2020
- Intimation of Record date for Payment of Interest on Bank's Bonds-01.04.2020
- Certificate for Timely Payment of Interest on Bonds- 04.04.2020

