NSEUpdates21 Aug 2026 · 21 Aug 2026, 05:58 pm

Updates

GIC Housing Finance Limited · GICHSGFIN

✦ AI SummaryDebt Restruc.

GIC Housing Finance Limited has made interest and principal payments for its NCD (Non-Convertible Debenture) with Scrip code 976182, as per the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015.

Analysis Scores

Earnings Impact1/10
Growth Catalyst1/10
Governance Concern1/10
Regulatory Risk2/10
Balance Sheet Risk1/10
Liquidity Impact8/10
Market Sentiment5/10

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Full Announcement

GIC Housing Finance Limited has informed the Exchange regarding 'Intimation of Interest and Principal Payment of NCD'.

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GICHSGFIN_21082026175743_NSE.pdf

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GIC HOUSING FINANCE LTD. GICHFL/SEC/2026-27 August 21, 2026 National Stock Exchange of India Ltd. Exchange Plaza, 5th Floor, Plot No. C/1, G Block, Bandra Kurla Complex, Bandra East, Mumbai 400051. Scrip Code: GICHSGFIN Dear Sir, Sub: Intimation under Regulations 30 of the SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 (“Listing Regulations, 2015”). (Event Date & Time: August 21, 2026, at 3.00 P.M.) In terms of Regulation 57 of the Listing Regulations, 2015, listed entity shall submit a certificate to stock exchange within one working day of interest or principal becoming due regarding status of payment in respect of NCDs. Accordingly, please find details of Interest payment & Principal Re-Payment for our NCD having Scrip code 976182 (Listed on BSE) as below – A. Whether Interest payment & Redemption payment made (yes/ no): Yes B. Details of Interest Payment for NCD – Scrip Code 976182 Sr. Particulars Details 1 ISIN INE289B07099 2 Issue size (Rs.) 300,00,00,000/- 3 Interest Amount to be paid on due 24,84,00,000/- date (Rs.) 4 Frequency - quarterly/ monthly Yearly 5 Change in frequency of payment NA (if any) 6 Details of such change NA 7 Interest payment record date 06-08-2026 8 Due date for interest payment 21-08-2026 9 Actual date for interest payment 21-08-2026 10 Amount of interest paid (Rs.) 24,84,00,000/- 11 Date of last interest payment 21-08-2025 12 Reason for non-payment/ delay in NA Payment Regd. Office: National Insurance Building, 6th Floor, 14, Jamshedji Tata Road, Churchgate, Mumbai – 400 020. CIN No. : L65922MH1989PLC054583; Tel.:022-43041900 E-mail: corporate@gichf.com ; Website: www.gichfindia.com GIC HOUSING FINANCE LTD. C. Details of redemption payments for NCD – Scrip code 976182 Sr. Particulars Details 1 ISIN INE289B07099 2 Type of redemption (full/ partial) Full 3 If partial redemption, then – NA By face value redemption By quantity redemption 4 If redemption is based on quantity, NA specify, whether on: Lot basis Pro-rata basis 5 Reason for redemption Maturity (call, put, premature redemption, maturity, buyback, conversion, others (if any) 6 Redemption date due to put option (if NA any) 7 Redemption date due to call option (if NA any) 8 Quantity redeemed (no. of NCDs) 30000 9 Due date for redemption/ maturity 21-08-2026 10 Actual date for redemption 21-08-2026 11 Amount redeemed (Rs.) 300,00,00,000/- 12 Outstanding amount (Rs.) Nil 13 Date of last Interest payment 21-08-2025 This is for your information and record purpose. Thanking You, Yours faithfully, Raj Gor Group Head & Company Secretary Regd. Office: National Insurance Building, 6th Floor, 14, Jamshedji Tata Road, Churchgate, Mumbai – 400 020. CIN No. : L65922MH1989PLC054583; Tel.:022-43041900 E-mail: corporate@gichf.com ; Website: www.gichfindia.com