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Details of Bonds already redeemed

Details of Bonds already redeemed
                   

KRISHNA BHAGYA JALA NIGAM LIMITED

                   
Details of Bonds already redeemed
                   
Series  Date of Allotment Issue Amount (Rs in Crores) Interest Rate  Interest Due Date  Put / Call option Date Redemption Date Folio Code Trustees R&TA
I 15.10.1995 1,80,48,00,000 17.50% 31st December 30th June 15.10.2000 15.10.2001    & KJL KSFC KCS
15.10.2002
II RRB 17.06.1996 1,64,99,10,000 17.50% 1st September    1st March 17.06.1999, 17.06.2000 & 17.06.2001 17.06.2002  &              17 .06.2003 KBR
II DDB 17.06.1996 1,35,00,90,000 Cumilative Cumilative 17.06.2002 & 17.06.2004 17.06.2006 KBD
III 23.10.1996 25,15,06,000 17.50% 31st December 30th June 23.10.2000 23.10.2002 & 23.10.2003 KB3
IV 10.01.1997  1,84,33,25,000 17.50% 31st March     30th September 10.01.2002 10.01.2003 & 10.01.2004 KB4
V 15.07.1997 4,03,97,50,000 15.75% 31st March     30th September 15.07.2002 15.07.2003 & 15.07.2004 KB5
VI-A 31.03.1998 1,08,74,00,000 15.75% 31st December 30th June 31.03.2003 31.03.2004 & 31.06.2005 KBA Vijaya bank KARVY
VI-B 31.03.1998 2,96,80,00,000 15.75% 31st December 30th June 31.03.2003 31.03.2004 & 31.06.2005 KBB
VII-A 30.06.1998 3,20,20,00,000 14.25% 31st December 30th June 15.07.2003 15.07.2004 & 15.07.2005 KBC
VII-B 30.11.1998 2,90,41,00,000 14.75% 31st March    30th September 30.11.2003 30.11.2004 & 30.11.2004   KBD
VIII-A 15.07.1999 58,05,00,000 12.00% 31st March    30th September 15.07.2004 15.07.2005 & 15.07.2006 KBE
VIII-B 15.12.1999 2,82,10,00,000 13.40% 30th June        31st December 15.12.2004 15.12.2005 & 15.12.2006 KBF 1 Vijaya bank KCS
     
30,07,00,000 P.F. Rate + 1.50% KBF 2
VIII-C 01.06.2000 5,07,70,00,000 12.50% 30th June 01.06.2005 01.06.2006 & 01.06.2007 KBG
IX-A 05.12.2000 2,97,36,00,000 13.00% 31st Decenber  05.12.2005 05.12.2006 & 05.12.2007 KBH Vijaya bank CAN
IX-A (1) 24.01.2001 50,00,00,000 13.15% 31st March  24.01.2006 24.01.2008 KBI Vijaya bank KCS
IX-A (II) 31.01.2001 25,00,00,000 13.05% 31st March  31.01.2006 31.01.2008 KBJ
IX-A (III) 15.03.2001 230,42,00.000 13.00% 30th September 15.03.2006 15.03.2008 KBK
IX-B 30.04.2002 3,50,16,65,000 11.70% 30th April 30.04.2007 30.04.2009 K9B ITCL ISRL
X-A 13.08.2001 1,05,58,00,000 12.00% 31st March  13.08.2006 13.08.2008 KBL KSFC KCS
X-B 17.08.2001 25,00,00,000 12.25% 31st March  17.08.2006 17.08.2008 KBM
X-C 07.11.2001 1,74,22,00,000 12.00% 31st March  07.11.2006 07.11.2008 KBN
X-D 05.02.2002 1,22,75,00,000 11.75% 31st March  05.02.2007 05.02.2009 KBO
XI-A 30.10.2002 50,00,00,000 11.30% 31st March  30.10.2009 30.10.2012 KBJ11A KSFC KARVY
XI-B 10.01.2003 51,73,00,000 10.25% 31st March  10.01.2008 10.01.2010 KXI KSFC ISRL
XI-C 31.03.2003 85,95,00,000 10.00% 31st March  30.03.2008 31.03.2010 XIC
XI-D 31.03.2003 31,38,00,000 9.25% 31st March  ----- 31.03.2004 & 31.03.2005 XID
XII-A 31.07.2003 70,08,00,000 8.50% 30th June ------ 31.03.2004 & 31.03.2005 XIIA
XII-B 01.09.2003 1,10,50,00,000 8.20% 30th June 03.09.2010 01.09.2013 XIIB
 XII-C (Option - I) 31.03.2004 26,00,00,000 6.70% 31st March 31.03.2009 31.03.2011 Demat Canara Bank ISRL
 XII-C (Option - II) 31.03.2004 1,14,20,00,000 6.85% 31st March 31.03.2009 & 31.03.2011 31.03.2014 Demat
 XII-C (Option - III) 31.03.2004 24,80,00,000 6.90% 31st March 31.03.2011 & 31.03.2014 31.03.2019 Demat
2012-A 31-03-2012 512 crores 9.65% 31st March  31-03-2019 31/03/2021 & 31/03/2022 Demat Vistra ITCL LIIPL
2014-A 15-02-2014 644.50 Crores 0.1  31st March 15-02-2021 15-02-2021 Demat Canara Bank BgSE Financial Ltd
2014-B 30-09-2014 644.50 Crores 0.1  31st March 30-09-2021 30-09-2021 Demat SBI CAP Trustee  Company Ltd. BgSE Financial Ltd
2014-C 31.12.2014 248.40 Crores 8.75% 31st December 31.12.2021 50%-31.12.2023 50%-31.12.2024 Dmat SBI CAP Trustee Company Ltd. BgSE Financials Ltd

 

Last Updated: 17-06-2022 01:20 PM Updated By: Admin


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