Skip to main content
Loading

Bonds

  • Record Date for Interest Payment and Redemption of Bond XXXII Issue Dt. 31.01.2024

    Record Date for Interest Payment and Redemption of Bond XXXII Issue Dt. 31.01.2024

     (1008.32 KB)
  • Intimation regarding meeting of "Committee of Directors for Bonds" of POWERGRID

    Intimation regarding meeting of "Committee of Directors for Bonds" of POWERGRID

     (777.05 KB)
  • Intimation Regarding Part Redemption of NCDs (Change in Face Value)

    Intimation Regarding Part Redemption of NCDs (Change in Face Value)

     (5.07 MB)
  • Interest Payment and Redemption of Bond LVI Issue dt. 18.10.2024

    Interest Payment and Redemption of Bond LVI Issue dt. 18.10.2024

     (1.19 MB)
  • Interest and Redemption payment of Bond XXXI Issue dt. 25.02.2025

    Interest and Redemption payment of Bond XXXI Issue dt. 25.02.2025

     (1.13 MB)
  • Interest and Redemption payment of Bond XLIII Issue dt. 20.05.2025

    Interest and Redemption payment of Bond XLIII Issue dt. 20.05.2025

     (713.32 KB)
  • Compliance under Regulation 57(4) of SEBI (LODR), Regulation, 2015 (NSE)

    Compliance under Regulation 57(4) of SEBI (LODR), Regulation, 2015 (NSE)

     (266.82 KB)
  • Interest Payment and Redemption of Bond XLII Issue dt. 13.03.2023

    Interest Payment and Redemption of Bond XLII Issue dt. 13.03.2023

     (837.04 KB)
  • Interest Payment and Redemption of Bond XLIII Issue dt. 22.05.2023

    Interest Payment and Redemption of Bond XLIII Issue dt. 22.05.2023

     (349.76 KB)
  • Interest Payment of Bond LXVIII Issue dt. 07.08.2023

    Interest Payment of Bond LXVIII Issue dt. 07.08.2023

     (351.05 KB)
  • Interest Payment and Redemption of Bond LXXI Issue Dt. 17.11.2023

    Interest Payment and Redemption of Bond LXXI Issue Dt. 17.11.2023

     (355.04 KB)
  • Record Date for Interest Payment and redemption of Bond LIII Issue Dt. 27.02.2024

    Record Date for Interest Payment and redemption of Bond LIII Issue Dt. 27.02.2024

     (1013.72 KB)