BSECorp. Action1d ago · 3 Sept 2026, 08:53 pm
Intimation of record date on redemption of bonds (INE457A08035)
Bank of Maharashtra · 532525
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Bank of Maharashtra has announced the record date for redemption payment on its Basel III Tier II bonds with a face value of Rs. 500 crore and a coupon rate of 9.20%.
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Bank of Maharashtra - 532525 - Intimation Of Record Date For Redemption Payment On Bonds
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Investor Services Department
Corporate Office: Montclaire, 134/1, Baner- Pashan Link Road,
Pashan, Pune- 411021
E-mail: investor_services@bankofmaharashtra.bank.in
Phone nos - 020-71658139 www.bankofmaharashtra.bank.in
AX1/ISD/STEX/54/2026-27 Date:03.09.2026
The Vice President The Vice President
BSE Ltd., National Stock Exchange of India Ltd.,
P.J Towers, Exchange Plaza,
Dalal Street, Fort, Bandra Kurla Complex,
Mumbai-400 001 Bandra (East), Mumbai-400 051
BSE Scrip Code: 532525 N SE Scrip Code: MAHABANK
Dear Sir/ Madam,
Sub: Intimation of Record date for Redemption payment on Bonds
Pursuant to the Regulation 60 of the SEBI (Listing Obligations and Disclosure
Requirements) Regulations, 2015, we wish to inform you the Record date fixed for
Redemption payment for the following bond:
Nature of Issue Coupon Record Due date for
Bond & ISIN amount Rate Date Redemption
Payment
BASEL III Tier II Rs.500.00 9.20% 12.09.2026 27.09.2026
INE457A08035 crore
A copy of this communication is marked to Axis Trustee Services Limited, the Debenture
Trustee for the subject Bonds.
This is for your information and record please.
Yours faithfully,
For Bank of Maharashtra
(Vishal Sethia)
Company Secretary & Compliance Officer
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