30-Jul-2020 | R | Trading Members of the Exchange are hereby informed that, SATIN CREDITCARE NETWORK LTD.. has fixed Record date for the purpose of Rights Issue of Equity Shares. The transactions in the equity shares of the Company should be done on ex-rights basis with effect from the under mentioned date.
DEMATERIALISED SECURITIES - ROLLING SETTLEMENT SEGMENT
COMPANY NAME & CODE
SATIN CREDITCARE NETWORK LTD. (539404)
RECORD DATE
05/08/2020
PURPOSE
Issue of 48 (Forty Eight) equity shares of Rs. 10/- each on rights basis for cash at premium of Rs. 50/- per share for every 125 (One hundred and twenty five) equity shares held. (Please refer to Terms of Issue attached for further details of Partly Paid Rights shares to be issued)
Ex-Right basis from Date & Sett. No.
04/08/2020 DR-086/2020-2021
Trading Members of the Exchange are requested to take note of it. | 05-Aug-2020 | 48:125 |
05-Dec-2024 | BC | Payment of Interest& Redemption(Part) of NCD | 14-Jun-2025 | |
05-Dec-2024 | BC | Redemption of NCD | 12-Jun-2025 | |
05-Dec-2024 | BC | Non Conv Deb Payment of Interest | 12-Jun-2025 | |
05-Dec-2024 | BC | Non Conv Deb Payment of Interest | 11-Jun-2025 | |
05-Dec-2024 | BC | Non Conv Deb Payment of Interest | 07-Jun-2025 | |
No Dividends has been declared by SATIN
No Bonus has been declared by SATIN
No Split has been declared by SATIN
RightsRecord Date01 Jan'1900
Ex-Rights Date01 Jan'1900
Premium(Rs.)50
Ratio48:125
Book Closure
14-Jun-2025 | - | Payment of Interest& Redemption(Part) of NCD |
12-Jun-2025 | - | Redemption of NCD |
12-Jun-2025 | - | Non Conv Deb Payment of Interest |
11-Jun-2025 | - | Non Conv Deb Payment of Interest |
07-Jun-2025 | - | Non Conv Deb Payment of Interest |