BSECompany Update7 Aug 2026 · 7 Aug 2026, 02:40 pm

Please find attached Clarification letter with respect to the mail received from BSE Limited on August 05, 2026.

Purple Finance Ltd · 544191

✦ AI SummaryDebt Restruc.

Purple Finance Ltd clarifies that the redemption of non-convertible debentures (NCDs) is partial and not early full redemption, as per the terms of the offer document. The company will make payments to eligible debenture holders on the specified record dates.

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Purple Finance Ltd - 544191 - Clarification Letter

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Ref: PFL/BSE/2026-27/ 65 Date: August 07, 2026 The Corporate Relationship Department, BSE Limited, P.J. Towers, 1st Floor, Dalal Street, Mumbai 400 001. Equity Debt Scrip Code 544191 977452 977715 977718 977748 978011 Scrip ID PURPLE 1225PFL28 1250PFL31 PFL06426 12PFL28 1190PFL28 Sub: Clarification on Record Date Intimation dated August 04, 2026 for ISIN INE0CYK07020 / Scrip Code 977748 - Partial Redemption by Face Value Reduction. Ref: Email from BSE dated August 05, 2026. Dear Sir/Madam, This is with reference to the email received from BSE dated August 05, 2026 (Subject: - Record Date Intimation for Redemption and Payment of Interest - Purple Finance Limited - 977748) seeking clarification on the intimation filed by the Company on August 04, 2026 regarding the record date of August 11, 2026 for payment of interest and partial redemption for the Non- Convertible Debentures (NCDs) under ISIN INE0CYK07020 / Scrip Code 977748. In this regard, we hereby submit the following: 1. The redemption proposed is partial redemption of the NCDs issued against ISIN: INE0CYK07020 / Scrip Code 977748 and not early full redemption. The same is in accordance with the terms of the Offer Document. The final maturity/redemption date of the ISIN remains January 12, 2028. 2. Additionally please note that, the record date of August 28, 2026 for payment of interest and redemption of NCDs under ISIN INE0CYK07012 / Scrip Code 977452 is also partial redemption and not early full redemption. The same is in accordance with the terms of the Offer Document. The final maturity/redemption date of the ISIN remains April 26, 2028. 3. The aforementioned partial redemptions are being undertaken by way of reduction in face value and not by reduction in number of NCDs. Accordingly, the total number of NCDs under the said ISINs remain unchanged. 4. The details of Partial redemptions are as under: Purple Finance Limited Registered Office: 11, Indu Chamber, 349/353, Samuel Street, Masjid Bunder West, Mumbai – 400003. Corporate Office: 5/502, 5th Floor, Hallmark Business Plaza, Sant Dnyaneshwar Marg, Opp. Guru Nanak Hospital, Bandra (E), Mumbai- 400051 Tel. No.: +91-22 6916 5100 | www.purplefinance.in | CIN No. L67120MH1993PLC075037 | customersupport@purplefinance.in Partial Redemption Details (Face Value Reduction): Particulars for ISIN: INE0CYK07020 / Scrip Code: 977748 Details Current Face Value per NCD INR 10,000/- Face Value per NCD redeemed INR 1,666/- Post Redemption Face Value per NCD INR 8,333/- Particulars for ISIN: INE0CYK07012 / Scrip Code 977452 Details Current Face Value per NCD INR 8,333/- Face Value per NCD redeemed INR 1,666/- Post Redemption Face Value per NCD INR 6,666/- 5. Payment of interest along with partial redemption proceeds/amount for NCDs issued against ISIN: INE0CYK07020 / Scrip Code 977748 will be made on August 26, 2026 to the eligible debenture holders as per the record date i.e., August 11, 2026. 6. Similarly Payment of interest along with partial redemption proceeds/amount for NCDs issued against ISIN: INE0CYK07012 / Scrip Code 977452 will be made on or before September 12, 2026 to the eligible debenture holders as per the record date i.e., August 28, 2026. The redemption schedule for NCDs issued against ISIN: INE0CYK07020 / Scrip Code 977748 is attached herewith as Annexure I. The redemption schedule for NCDs issued against ISIN: INE0CYK07012 / Scrip Code 977452 is attached herewith as Annexure II. Kindly take note of the above on record. Thanking you, Yours faithfully, For Purple Finance Limited Ruchi Nishar Company Secretary and Compliance Officer Purple Finance Limited Registered Office: 11, Indu Chamber, 349/353, Samuel Street, Masjid Bunder West, Mumbai – 400003. Corporate Office: 5/502, 5th Floor, Hallmark Business Plaza, Sant Dnyaneshwar Marg, Opp. Guru Nanak Hospital, Bandra (E), Mumbai- 400051 Tel. No.: +91-22 6916 5100 | www.purplefinance.in | CIN No. L67120MH1993PLC075037 | customersupport@purplefinance.in Annexure I Repayment Schedule of Debentures issued against ISIN: INE0CYK07020/ Scrip Code 977748 Sr. No. Due Date Face Value to be redeemed per debenture (in Rs.) 1. 26.08.2026 1,667 2. 26.12.2026 1,667 3. 26.04.2027 1,667 4. 26.08.2027 1,667 5. 26.12.2027 1,667 6. 26.04.2028 1,665 Total 10,000 Purple Finance Limited Registered Office: 11, Indu Chamber, 349/353, Samuel Street, Masjid Bunder West, Mumbai – 400003. Corporate Office: 5/502, 5th Floor, Hallmark Business Plaza, Sant Dnyaneshwar Marg, Opp. Guru Nanak Hospital, Bandra (E), Mumbai- 400051 Tel. No.: +91-22 6916 5100 | www.purplefinance.in | CIN No. L67120MH1993PLC075037 | customersupport@purplefinance.in Annexure II Repayment Schedule of Debentures issued against ISIN: INE0CYK07012 / Scrip Code 977452 Sr. No. Due Date Face Value to be redeemed per debenture (in Rs.) 1. 12.05.2026 1,667 2. 11.09.2026 1,667 3. 12.01.2027 1,667 4. 12.05.2027 1,667 5. 10.09.2027 1,667 6. 12.01.2028 1,665 Total 10,000 Purple Finance Limited Registered Office: 11, Indu Chamber, 349/353, Samuel Street, Masjid Bunder West, Mumbai – 400003. Corporate Office: 5/502, 5th Floor, Hallmark Business Plaza, Sant Dnyaneshwar Marg, Opp. Guru Nanak Hospital, Bandra (E), Mumbai- 400051 Tel. No.: +91-22 6916 5100 | www.purplefinance.in | CIN No. L67120MH1993PLC075037 | customersupport@purplefinance.in