Trading Members of the Exchange are hereby informed that, Power Finance Corporation Ltd has fixed the Record Date for Redemption of the following Bonds of the Company and Payment of Interest for Bonds. Trading Members of the Exchange are hereby advised not to deal in the Bonds of the Company as mentioned under: COMPANY NAME CODE | RECORD DATE | PURPOSE | NO DEALINGS FROM | Power Finance Corporation Ltd PFCBT1S1 INE134E07158 (961715) | 05/11/2021 | Payment of interest for Bonds & Redemption of Bonds | 02/11/2021 DR-148/2021-2022 | Power Finance Corporation Ltd PFCBT1S2 INE134E07166 (961716) | 05/11/2021 | Payment of interest for Bonds & Redemption of Bonds | 02/11/2021 DR-148/2021-2022 | Power Finance Corporation Ltd PFC-8.09%-25-11-21-PVT INE134E07133 (950480) | 09/11/2021 | Payment of interest for Bonds & Redemption of Bonds | 08/11/2021 DR-151/2021-2022 | Mangesh Tayde Assistant General Manager –Listing Operations (CRD) October 27, 2021 |