BSEGeneral15 Sept 2026 · 15 Sept 2026, 06:39 pm

Mindspace Business Parks REIT has informed the Exchange regarding Disclosure of material issue

Mindspace Business Parks REIT · 543217

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Mindspace Business Parks REIT has informed the Exchange regarding the redemption of Commercial Paper amounting to INR 350 crores on September 15, 2026, fulfilling its payment obligations.

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Earnings Impact2/10
Growth Catalyst1/10
Governance Concern1/10
Regulatory Risk1/10
Balance Sheet Risk2/10
Liquidity Impact8/10
Market Sentiment5/10

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Mindspace Business Parks REIT - 543217 - Reg 23(5)(i): Disclosure of material issue

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September 15, 2026 The Listing Department The Listing Department National Stock Exchange of India Ltd. BSE Limited Exchange Plaza, Phiroze Jeejeebhoy Towers, Plot No. C/1, G- Block, Dalal Street, Bandra Kurla Complex, Mumbai- 400001 Bandra (East), Mumbai- 400051. Scrip Symbol “MINDSPACE” (Units) Scrip Code “543217” (Units) and Scrip Codes “974075”, “975068”, “975537”, “975654”, “975763”, “977043”, “977120”, “976198”, “977297”, “976691”, “977350”, “977614”, “977771”, “978031” and "978082" (Non Convertible Debentures) and Scrip Codes “731549”, “731581”, “731984” and “731985” (Commercial Papers) Subject: Intimation regarding redemption of Commercial Paper amounting to INR 350 crores of Mindspace Business Parks REIT Dear Sir/Ma’am, Pursuant to Master Circular no. SEBI/HO/DDHS/DDHS-PoD/P/CIR/2025/0000000137 dated October 15, 2025, issued by Securities and Exchange Board of India, we wish to inform you that Mindspace Business Parks REIT has fulfilled its payment obligations in respect of redemption of Commercial Paper of INR 350,00,00,000 (Rupees three hundred and fifty crores) on September 15, 2026 and no dues are outstanding on maturity date. The details of redemption are as under: Sr. no. Particulars Details 1 ISIN INE0CCU14138 2 Type of redemption (full/ partial) Full 3 If partial redemption, then Not applicable a. By face value of redemption - b. By quantity of redemption - 4 If redemption is based on quantity, specify, whether on: Not applicable a. Lot basis - b. Pro-rata basis - 5 Reason for redemption (call, put, premature redemption, Maturity maturity, buyback, conversion, others (if any)) 6 Redemption date due to put option (if any) Not applicable 7 Redemption date due to call option (if any) Not applicable 8 Quantity redeemed (no. of NCDs / CPs) 7,000 Commercial Papers issued on private placement basis of face value of INR 5,00,000 each at a discounted value of INR 4,87,198 each. 9 Due date for redemption/ maturity 15/09/2026 10 Actual date for redemption (DD/MM/YYYY) 15/09/2026 11 Amount redeemed INR 350,00,00,000 12 Outstanding amount (INR) Nil 13 Date of last interest payment Not applicable K Raheja Corp Investment Managers Private Limited (acting as the Manager to Mindspace Business Parks REIT) Corporate Identification Number (CIN): U68200MH2023PTC406104 Regd. Office: Raheja Tower, C-30, Block ‘G’, Bandra Kurla Complex, Bandra (E), Mumbai – 400 051 +91 - 22 - 2656 4000 | www.mindspacereit.com | reitcompliance@mindspacereit.com We request you to take the above information on record. Thanking you, Yours faithfully, For and on behalf of K Raheja Corp Investment Managers Private Limited (acting as the Manager to Mindspace Business Parks REIT) Mridul Gupta Company Secretary & Compliance Officer K Raheja Corp Investment Managers Private Limited (acting as the Manager to Mindspace Business Parks REIT) Corporate Identification Number (CIN): U68200MH2023PTC406104 Regd. Office: Raheja Tower, C-30, Block ‘G’, Bandra Kurla Complex, Bandra (E), Mumbai – 400 051 +91 - 22 - 2656 4000 | www.mindspacereit.com | reitcompliance@mindspacereit.com