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.
Fusion Finance Limited submitted its annual disclosure for the centralized database of corporate bonds for the financial year ended March 31, 2026. The report confirms listing details for two NCD series on BSE and states that the company has made timely interest payments without any defaults during the period.