Instrument Description (Long): |
7.35% SECURED REDEEMABLE NON CONVERTIBLE TAXFREE BONDS IN THE NATURE OF DEBENTURES. SERIES 3A. LETTER OF ALLOTMENT. DATE OF MATURITY 17/10/2035 |
Instrument Description(short): |
POWER FINANCE CORPORATION LIMITED SR-3A 7.35 BD 17OT35 FVRS1000 LOA UPTO 25FB16 |
ISIN: |
INE134E07570 |
|
Type of Instrument: |
Bonds |
|
Face Value (per instrument):: |
1000 |
Whether Secured or Unsecured: |
Secured |
|
Coupon Basis: |
Fixed Interest |
Whether Guaranteed or Partially Guaranteed: |
Not guaranteed |
|
Coupon Rate: |
7.35% |
|
|
|
Details of Variable Coupon Rate: |
N.A. |
Seniority in Repayment: |
Senior |
|
Day Count Convention: |
Actual/actual |
Whether tax free: |
Yes |
|
Mode of Issue: |
Public Issue |
If Tax free - Section of The Income Tax Act,1961: |
Under Section 10(15)(iv)(h) |
|
Issue price (per instrument): |
1000 |
|
|
Issue Size (in Crores): |
213.573 |
Series (if any): |
SERIES 3A |
|
Total Allotment Quantity: |
2135730 |
Whether bonds/debentures fall under Infrastructure category as per Government notification: |
No |
|
Date of Allotment: |
17-Oct-2015 |
|
|
Tenure of the instrument at the time of Issuance: |
Year
:
20
Months
:
0
Days
:
0
|
|
|
Frequency of Interest Payment with specified dates: |
ANNUAL ON 17 OCT EVERY YEAR |
Scheduled Opening Date: |
05-Oct-2015 |
|
Put Option with specified dates: |
|
Scheduled Closing Date: |
06-Oct-2015 |
|
Call Option with specified dates: |
|
Actual Closing Date: |
09-Oct-2015 |
|
Redemption Date/Last Conversion Date: |
17-Oct-2035 |
|
|
|
Defaulted in Redemption: |
Not Applicable |
|
|
|
If guaranteed, provide complete details regarding the Guarantee: |
N.A. |
|
Redemption Premium Details: |
N.A. |
Step up / Step down coupon basis: |
|
|
Step up / Step down details: |
N.A. |
Indicate whether Put option will be exercised at Discount/Premium/Par: |
|
|
Put option details: |
N.A. |
Indicate whether Call option will be exercised at Discount/Premium/Par: |
|
|
Call option details: |
N.A. |
Whether Debentures/Bonds are perpetual in nature: |
No |
|
Indicate whether the instrument is rated: |
Yes |
Type of Convertibility - A: |
Non Convertible |
|
Convertibility details: |
N.A. |
Type of Convertibility - B: |
|
|
Coupon Type: |
Simple |
Compounding Frequency Details: |
N.A. |
|
If secured, provide complete details regarding the assets secured/ Hypothecated/Mortgaged etc.: |
THE SECURITY FOR THE BONDS PROPOSED TO BE ISSUEDARE SECURED BY A CHARGE ON THE BOOK DEBTS OF OUR COMPANY BY A BY A FIRST PARI PASSU CHARGE AND/OR ANY OTHER SECURITY PURSUANT TO THE TERMS OF THE DEBENTURE TRUST DEED TO BE CREATED WITHIN THREE MONTHS OF DEEMED DATE OF ALLOTMENT IN ACCORDANCE WITH THE SEBI DEBT REGULATION AND COMPANIES ACT 2013 |