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Bonds

  • Raising of Unsecured, Non-convertible, Non-cumulative, Redeemable, Taxable POWERGRID Bonds - LXXXI (81st) Issue 2025-26 on Private Placement.

    Raising of Unsecured, Non-convertible, Non-cumulative, Redeemable, Taxable POWERGRID Bonds - LXXXI (81st) Issue 2025-26 on Private Placement.

     (832.05 KB)
  • Record Date for Interest and Redemption payment of Bond LXX Issue dt. 02.07.2025

    Record Date for Interest and Redemption payment of Bond LXX Issue dt. 02.07.2025

     (369.48 KB)
  • Record Date for Interest payment of Bond LVI Issue dt. 24.09.2025

    Record Date for Interest payment of Bond LVI Issue dt. 24.09.2025

     (270.55 KB)
  • Record Date for Interest Payment and Redemption of Bond XXVII issue dt. 09.02.2023

    Record Date for Interest Payment and Redemption of Bond XXVII issue dt. 09.02.2023

     (307.67 KB)
  • Compliance under Regulation 57(5) of SEBI (LODR). Regulation, 2015 (NSE)

    Compliance under Regulation 57(5) of SEBI (LODR). Regulation, 2015 (NSE)

     (783.55 KB)
  • Record Date for Interest Payment and Redemption of Bond XXXVI issue dt. 30.06.2023

    Record Date for Interest Payment and Redemption of Bond XXXVI issue dt. 30.06.2023

     (899.11 KB)
  • Record Date for Interest Payment and Redemption of Bond LXXI Issue Dt. 19.09.2023

    Record Date for Interest Payment and Redemption of Bond LXXI Issue Dt. 19.09.2023

     (1005.44 KB)
  • Record Date for Interest Payment and Redemption of Bond LXXII Issue Dt. 02.01.2024

    Record Date for Interest Payment and Redemption of Bond LXXII Issue Dt. 02.01.2024

     (1.91 MB)
  • Interest and Redemption payment of Bond LXIX Issue dt. 26.03.2024

    Interest and Redemption payment of Bond LXIX Issue dt. 26.03.2024

     (1.14 MB)
  • Record Date for Interest Payment and redemption of Bond XXXIII Issue Dt. 02.05.2024

    Record Date for Interest Payment and redemption of Bond XXXIII Issue Dt. 02.05.2024

     (1022.43 KB)
  • Record Date for Interest Payment and redemption of Bond LI Issue Dt. 09.08.2024

    Record Date for Interest Payment and redemption of Bond LI Issue Dt. 09.08.2024

     (948.62 KB)
  • Record Date for Interest and Redemption payment of Bond LII Issue dt. 05.11.2024

    Record Date for Interest and Redemption payment of Bond LII Issue dt. 05.11.2024

     (386.77 KB)