NSEAllotment of Securities2 Jul 2026 · 2 Jul 2026, 01:24 pm
Allotment of Securities
HDB Financial Services Limited · HDBFS
✦ AI SummaryFundraise
HDB Financial Services Limited has informed the Exchange regarding allotment of 100000 securities pursuant to Non Convertible Securities at its meeting held on July 02, 2026.
Analysis Scores
Earnings Impact2/10
Growth Catalyst3/10
Governance Concern1/10
Regulatory Risk2/10
Balance Sheet Risk4/10
Liquidity Impact6/10
Market Sentiment5/10
✦ Ask a Question
Ask anything about this announcement — AI will answer based on the filing content.
Full Announcement
HDB Financial Services Limited has informed the Exchange regarding allotment of 100000 securities pursuant to Non Convertible Securities at its meeting held on July 02, 2026
Attachments (1)
📄pdf
Download →
HDBF_02072026132346_Intimation_under_Regulation_30_-_Allotment_of_NCDs.pdf
View document text
HDB Financial Services Limited
HDB House, Tukaram Sandam Marg,
A - Subhash Road, Vile Parle (E),
Mumbai – 400057.
Web: www.hdbfs.com
Tel: 022 – 4911 6350
Fax: 022 – 4911 6666
CIN: L65993GJ2007PLC051028
Email: investorcommunications@hdbfs.com
HDB/SLC/2026/1490
July 02, 2026
To, To,
Listing Compliance Department Listing Compliance Department
National Stock Exchange of India Limited BSE Limited
Exchange Plaza, Plot No C/1, Block G, Phiroze Jeejeebhoy Towers,
Bandra-Kurla Complex, Bandra (East), Dalal Street, Fort,
Mumbai - 400051 Mumbai - 400001
Scrip Code: HDBFS Scrip Code: 544429
Dear Sir / Madam,
Sub.: Intimation under Regulation 30 of SEBI (Listing Obligations and Disclosure Requirements)
Regulations, 2015 - Allotment of Secured Redeemable Non-Convertible Debentures (‘NCDs’) on Private
Placement basis
Pursuant to Regulation 30 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015, this
is to inform you that the Debenture Allotment Committee of the Company has at its meeting held today i.e. July
02, 2026, allotted 1,00,000 NCDs of face value of Rs. 1,00,000/- each aggregating to Rs. 10,00,00,00,000/- on
private placement basis. The details of the said allotment are as under:
Sr. Particulars Details
1 Size of the issue 1,00,000 NCDs of face value of Rs. 1,00,000/- each aggregating
to Rs. 10,00,00,00,000/-
2 Whether proposed to be listed? The Debentures are proposed to be listed on the Wholesale
If yes, name of the stock Debt Market Segment of BSE Limited.
exchange(s)
3 ISIN INE756I07FR2
4 Tenure of the instrument 1068 Days
Date of allotment 02nd July 2026
Date of maturity 04th June 2029
5 Coupon/interest offered 7.8998%
6 Schedule of payment of coupon/ June 04, 2027, June 04, 2028 and on Maturity June 04, 2029.
interest and principal
7 Charge/security, if any, created First and exclusive charge by way of hypothecation over present
over the assets and future receivables of the Issuer having minimum asset cover
of 1 time of the principal outstanding and interest accrued but
not paid, to be maintained throughout the tenure of the NCDs
8 Special right/interest/privileges Not Applicable
attached to the instrument and
changes thereof
9 Delay in payment of interest Not Applicable
/principal amount for a period of
more than three months from the
due date or default in payment of
interest / principal
10 Details of any letter or comments Not Applicable
regarding payment / non-payment
of interest, principal on due dates,
Registered Office: Radhika, 2nd Floor, Law Garden Road, Navrangpura, Ahmedabad - 380 009.
or any other matter concerning the
security and /or the assets along
with its comments thereon, if any
11 Details of redemption of Redeemable on maturity at Par
debentures
The meeting commenced at 1:00 p.m. and concluded at 1:20 p.m.
This is for your information and appropriate dissemination.
Thanking you,
For HDB Financial Services Limited
Dipti Jayesh Khandelwal
Company Secretary and Compliance Officer
Membership No. F11340