Aptus Value Housing Finance India Limited announced that the Company has made the interest payment and partial redemption of Non-convertible debentures as per the following details: Details of interest Payments: ISIN is INE852O07097. Issue size: 12,500 Rated Listed Secured Redeemable Non-Convertible Debentures of INR 1,00,000/- each fully paid up, issued on private placement basis. Interest Amount to be paid on due date:INR 33,29,162.

Interest payment record date August 04, 2023. Due date for interest payment August 20, 2023. Actual date for interest payment August 18, 2023.

Amount of interest paid INR 33,29,162. Details of redemption payments: ISIN INE852O07097. Type of redemption (full/partial) Partial.

Redemption date due to call option (if any) August 20, 2023. Quantity redeemed (no. of NCDs) 7,500.

Due date for redemption/maturity August 20, 2023. Actual date for redemption August 18, 2023. Amount redeemed INR 75,00,00,000.

Outstanding amount INR 50,00,00,000.