Power Grid Corporation of India Limited announced details of redemption payments for the 8.40% POWERGRID Bond LI Issue. The redemption is a full redemption due to maturity. The due date for redemption/maturity is September 14, 2025, with the actual redemption occurring on September 12, 2025.
A total of 2,500 bonds were redeemed, amounting to INR 2,500,000,000.00. Following this redemption, the outstanding amount is Nil. The last interest payment was made on September 16, 2024.
The ISIN for this bond issue is INE752E07ND4.
















