Trading Members of the Exchange are hereby informed that, JM FINANCIAL PRODUCTS LIMITED has fixed the Record Dates for Redemption of the following Non-Convertible Debentures of the Company and Payment of Interest. Trading Members of the Exchange are hereby advised not to deal in the Debentures of the Company as mentioned under: COMPANY NAME CODE | RECORD DATE | PURPOSE | NO DEALINGS FROM | JM FINANCIAL PRODUCTS LIMITED JMFPL-GSEC-22-11-21-PVT INE523H07AS7 (959069) | 03/11/2021 | Redemption of Debentures & Payment of interest | 02/11/2021 DR-148/2021-2022 | Mangesh Tayde Assistant General Manager – Listing Operations (CRD) October 27, 2021 |