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Share Price Information for Axis Bank Regs (AXB)

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Issue of Debt

30 Mar 2009 07:00

RNS Number : 6656P
Axis Bank Limited
28 March 2009
 

ALLOTMENT OF UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED TIER II DEBENTURES AGGREGATING TO RS. 200 CRORES - AXIS BANK

We are pleased to inform that the Board of Directors of the Bank has today passed a resolution approving the allotment of 2,000 Unsecured Redeemable Non-Convertible Subordinated Tier II Debentures of Rs. 10,00,000 each on private placement basis as the Bank's Tier II capital aggregating to Rs. 200 crores. The Debentures are issued as per the term sheet enclosed.

The Debentures will be listed on The Bombay Stock Exchange (BSE) and The National Stock Exchange (NSE) in India.

Term Sheet

Tier - II Capital (Series - 17)

Issuer

Axis Bank Limited

Instrument

Unsecured Redeemable Non Convertible Subordinated Debentures (Lower Tier II) (Series - 17)

Issue Size

Rs.200 crores (Rupees Two Hundred Crores)

Rating

"AAA (ind)" by FITCH and "AAA [Triple A]" by CARE

Face Value & Issue Price

Rs. 10,00,000/- per Debentures (Rupees Ten Lacs per Debenture)

Minimum Application Size

1 Debenture and in multiples of 1 Debenture thereafter

Amount Payable on 

Application

Rs. 10,00,000/- per Debenture 

Tenure

10 Years (120 months) from date of allotment

Coupon Rate

9.95% p.a.

Coupon Payment

Annual

Redemption

Bullet Redemption at par at the end of 10th Year from the Date of Allotment.

In terms of RBI master circular no. DBOD.No.BP.BC. 11 /21.06.001/2008-09 dated July 1, 2008; these Debentures are free of restrictive clauses and are not redeemable at the initiative of the holder or without the consent of the Reserve Bank of India.

Interest on application money

Interest on application money will be same as the Coupon rate (subject to deduction of Tax at Source at the rate prevailing from time to time under the provisions of the Income Tax Act, 1961 or any other statutory modifications or re-enactment thereof) will be paid on application money to the applicants from the date of realisation but excluding the Date of Allotment.

Put / Call Option

N.A.

Proposed listing of the debt securities

Wholesale Debt Market Segment of NSE and BSE

Issuance Mode

Only in Dematerialised form

Trading Mode

Only in Dematerialised form

Depository

NSDL and CDSL

Security

The Debentures are Unsecured in nature

Computation of Interest

Interest payable on the Debentures will be calculated on the basis of actual number of days elapsed in a year of 365 or 366 Days as the case may be.

Terms of Subordination

Pari-passu among themselves and with other subordinated indebtedness of Axis Bank Ltd., and subordinate to the claims of all other unsecured creditors and depositors of Axis Bank Ltd., as regards repayment of principal and interest by the Issuer.

Holiday Convention

If any of the interest or principal payment dates is a holiday in Mumbai, interest will be payable on the next succeeding business day in Mumbai and shall be the interest / principal payment date.

Such payment on the next working day would not constitute non-payment on due date.

Settlement 

Payment of interest and principal will be made by way of DDs / Electronic mode 

This information is provided by RNS
The company news service from the London Stock Exchange
 
END
 
 
IODGIGDXDXDGGCI
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17th Feb 20153:02 pmRNSIssue of Debt
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20th Jan 20152:13 pmRNSIssue of Debt
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