Arman Financial Services completes interest, partial redemption payment
Arman Financial Services Limited announced the timely payment of interest and partial principal redemption to its debenture holders, in compliance with Regulation 57 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015. The payment was made on December 5, 2025, for debentures with ISIN INE109C07105.
The company disbursed an interest amount of ₹35,12,000 for an issue size of ₹40,00,00,000. This monthly interest payment was due on December 5, 2025, matching the actual payment date. The last interest payment was recorded on November 4, 2025.
In addition to interest, Arman Financial Services also completed a partial redemption of ₹3,33,32,000. This redemption represents 8.33% of the original face value of ₹1,00,000 per NCD, amounting to ₹8,333 per NCD. This marks the second redemption, with the outstanding amount now standing at ₹33,33,36,000.
This report was generated by FilingReader's AI system from regulatory filings and company disclosures. To request a correction, contact editorial@filingreader.com
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