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INFORMATION FOR INVESTORS
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| The terms for the following bonds issued by NABARD during Feb 7, 2011 to June 30, 2011 have been revised in confirmation with the current SEBI guidelines- |
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| ISIN |
Bond Description |
| INE261F09FT1 |
9.12% NCB 2016 -XI K |
| INE261F09FU9 |
9.64% NCB 2014 - XI L |
| INE261F09FV7 |
9.61% NCB 2014 - XI M |
| INE261F09FW5 |
9.50% NCB 2014 - XI N |
| INE261F09FY1 |
9.65% NCB 2014 - XI O |
| INE261F09FZ8 |
9.65% NCB 2014 - XI P |
| INE261F09GB7 |
9.40% NCB 2014 - XI Q |
| INE261F09GD3 |
9.53% NCB 2014 - XII A |
| INE261F09GE1 |
9.74% NCB 2014 - XII B |
| INE261F09GF8 |
9.74% NCB 2014 - XII C |
| INE261F09GG6 |
9.70% NCB 2016 - XII D |
| INE261F09GH4 |
9.7% NCB 2014 - XII E |
| INE261F09GI2 |
9.65% NCB 2014 - XII F |
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| The revised term sheets for the abovementioned bonds are as follows – |
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