Fusion Finance Debt & Borrowing
Fusion Finance has provided an undertaking to address and resolve any trades or queries related to its non-convertible debentures (ISIN INE139R07449) during the redemption period.
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Fusion Finance has provided an undertaking to address and resolve any trades or queries related to its non-convertible debentures (ISIN INE139R07449) during the redemption period.
Fusion Finance Ltd has successfully completed a partial redemption of its non-convertible debentures, paying ₹40 Crore on the due date.
Fusion Finance confirmed the payment of ₹13.15 Crore as interest on its non-convertible debentures. This follows the scheduled payout for the specified NCD series.
Fusion Finance Limited has paid interest of ₹13.15 Crore and completed a partial principal redemption of ₹40.00 Crore on its non-convertible debentures, totaling ₹53.15 Crore.
Fusion Finance Limited has fixed September 14, 2026, as the record date for an interest payment on its NCDs. The interest amount payable is ₹1.39 Crore.
Fusion Finance submitted its security cover certificate for non-convertible debentures as of June 30, 2026, in compliance with SEBI Regulation 54.
Fusion Finance Limited has fixed August 14, 2026, as the record date for a monthly interest payment. The interest amount totaling ₹1.40 Crore is due on August 29, 2026.