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Investor Relations
Disclosure to Stock Ex
Updates
UPDATES
Schedule of Analysts/Investor Meet dated 29.05.2023
Outcome of Analysts/investor meet dated 29.05.2023
Outcome of Analysts/investor meet dated 26.05.2023
Outcome of Analysts/investor meet dated 25.05.2023
Schedule of Analysts/Investor Meet dated 26.05.2023
Schedule of Analysts/Investor Meet dated 25.05.2023
Schedule of Analysts/Investor Meet dated 18.05.2023
Schedule of Analysts/Investor Meet dated 03.05.2023
Outcome of Analysts/investor meet dated 19.05.2023
Outcome of Analysts/investor meet dated 06.05.2023
Submission of Newspaper Advertisement- Change of RTA
Submission of Newspaper Advertisement- Reviewed Financial Results (Standalone and Consolidated) of the Bank for the Quarter/Year ended on March 31, 2023.
Outcome of Analysts/investor meet dated 21.03.2023
Outcome of Analysts/investor meet dated 17.03.2023
Outcome of Analysts/investor meet dated 06.03.2023
Intimation for Payment of Annual Interest on Bank’s Bonds –INE692A08185
Outcome of Analysts/investor meet dated 03.03.2023
Outcome of Analysts/investor meet dated 02.03.2023
Outcome of Analysts/investor meet dated 28.02.2023
Outcome of Analysts/investor meet dated 27.02.2023
Outcome of Analysts/investor meet dated 24.02.2023
Outcome of Analysts/investor meet dated 22.02.2023
Outcome of Analysts/investor meet dated 21.02.2023
Schedule of Non-deal Roadshows/ Analyst/ Institutional Investor Meet 20.02.2023
Submission of Newspaper Publication - Reviewed Financial Results (Standalone and Consolidated) of the Bank for the Quarter/Nine Month ended on Dec 31, 2022
Outcome of Analysts/investor meet dated 23.12.2022
Schedule of Analysts/Investor Meet dated 23.12.2022
Outcome of Analysts/investor meet dated 14.12.2022
Schedule of Analysts/Investor Meet dated 14.12.2022
Intimation for Payment of Annual Interest on Bank’s Bonds –INE692A08169_INE692A09266
Schedule of Analysts/Investor Meet dated 21.11.2022
outcome of Analysts/Investor Meet dated 17.11.2022
Schedule of Analysts/Investor Meet dated 17.11.2022
Disclosure regarding analysts/Investors meet/call dated 14.11.2022
Re-appointment of Statutory Central Auditors for the Financial Year 2022-23
Intimation for Payment of Annual Interest on Bank's Bond –INE112A08051
Outcome of Analysts/Investor Meet dated 04.11.2022
Schedule of Analysts/Investor Meet dated 04.11.2022
Intimation for Payment of Annual Interest on Bank's Bond – ISIN INE434A08075
Intimation for Payment of Annual Interest on Bank's Bond – ISIN INE434A08083
Submission of Newspaper Advertisement- Reviewed Financial Results (Standalone and Consolidated) of the Bank for the Quarter/Half-year ended on September 30, 2022.
Issuer Credit ratings by Fitch Ratings Ltd. date 04.10.2022
Appointment of Chief Risk Officer (CRO)
outcome of Analysts/Investor Meet dated 26.09.2022
Schedule of Analysts/Investor Meet dated 23.09.2022
Schedule of Analysts/Investor Meet dated 26.09.2022
Credit ratings by ICRA date 20.09.2022
Credit ratings by CARE date 22.09.2022
Intimation for Payment of Annual Interest on Bank’s Bonds –INE692A08094
Intimation for Payment of Annual Interest on Bank’s Bonds –INE692A08029
Submission of Newspaper Advertisement- Reviewed Financial Results (Standalone and Consolidated) of the Bank for the Quarter ended on June 30, 2022.
Submission of Newspaper Advertisement- Audited Financial Results (Standalone and Consolidated) of the Bank for the Quarter/Year ended on March 31, 2022
Issue of Basel III Compliant AT 1 Bonds
Allotment of Basel III Compliant Additional Tier-1 Bonds (ISIN: INE692A08193)
Schedule of Earnings Call for the first quarter ended on 30th June 2022
Credit Ratings- 15.07.2022
Intimation for Payment of Annual Interest on Bank’s Bonds – INE692A08151
Intimation for Payment of Annual Interest on Bank’s Bonds – INE692A08144
Credit Ratings- 15.06.2022
Record Date Intimation for Payment of Interest on Bank’s Bonds – INE692A08151
Extension of tenure of Chief Risk Officer of the Bank
Convening of 20th Annual General Meeting (AGM) of the Shareholders of the Bank and Book Closure for the purpose of AGM and Payment of Dividend, if any
Outcome of Board Meeting- Capital Raising held on 26.05.2022
Record Date Intimation for Payment of Interest on Bank’s Bonds – INE692A08144
Disclosure under Regulation 30 of SEBI (LODR) Regulations, 2015 - 19.05.2022
Certificate for Timely Payment of Principal and Annual Interest on Bonds – INE692A08086
Disclosure under Regulation 30 of SEBI (LODR) Regulations, 2015- 13.04.2022
Disclosure under Regulation 30 of SEBI (LODR) Regulations, 2015 - 06.04.2022
Disclosure under Regulation 30 of SEBI (LODR) Regulations, 2015
Union Bank of India to conduct Digital Conclave at Mumbai
Record date Intimation for Redemption due to exercise of Call Option and Payment of Annual Interest on Bank’s Bond- INE692A08086
Certificate for Timely Payment of Principal and Annual Interest on Bonds - INE692A08078
Certificate for Timely Payment of Principal and Annual Interest on Bonds - INE692A08060
Certificate for Timely Payment of Principal and Annual Interest on Bonds - INE692A08052
Intimation of Strike
Notice of Closure of Trading Window w.e.f. March 31, 2022
Allotment of shares by National Asset Reconstruction Company Limited (NARCL)
Extension of tenure of Chief Risk Officer of the Bank
Record Date(s) Intimation for Redemption due to exercise of Call Option and Payment of Annual Interest on Bank's Bonds - ISIN INE692A08052, INE692A08060, INE692A08078
Divestment of Stake in IFLIC
Credit Rating by India Ratings & Research - 10.02.2022
Credit Rating by CRISIL Ratings - 10.02.2022
Submission of Newspaper Advertisement- Reviewed (Standalone and Consolidated) Financial Results of the Bank for the Quarter / Nine months ended on December 31, 2021
Certificate for Timely Payment of Annual Interest on Bonds -INE692A08136
Certificate for Timely Payment of Annual Interest on Bonds -INE692A08128
Notice of Closure of Trading Window w.e.f. December 31, 2021
Certificate for Timely Payment of Annual Interest on Bonds - ISIN INE692A09241
Issue of Basel III Compliant AT 1 Bonds
Certificate for Timely Payment of Annual Interest on Bonds - ISIN INE692A08110
Record Date Intimation for Payment of Interest on Bank's Bond - ISIN INE692A08128
Credit Rating - 14.12.2021
Intimation of Strike
Credit Rating – 13.12.2021
Credit Rating – 10.12.2021
Disclosure under Regulation 30 of SEBI (LODR) Regulations, 2015, as amended
Certificate for Timely Payment of Annual Interest on Bonds - INE692A08102
Extension of tenure of Chief Risk Officer of the Bank
Record Date Intimation for payment of Interest on Bank's Bond- ISIN INE692A09241
Credit Rating – 25.11.2021
Certificate for Timely Payment of Annual Interest on Bonds - INE692A08045
Certificate for Timely Payment of Annual Interest on Bonds - INE692A09266
Issue of Basel III Compliant AT 1 Bonds
Record Date Intimation for Payment of Interest on Bank's Bond - INE692A08110
Certificate for Timely Payment of Annual Interest on Bonds - INE112A08044
Credit Rating – 10.11.2021
Certificate for Timely Payment of Principal and Annual Interest on Bonds - INE692A08037
Certificate for Timely Payment of Annual Interest on Bonds - INE112A08051
Certificate for Timely Payment of Annual Interest on Bonds -INE434A08083
Credit Rating - 29.10.2021
Certificate for Timely Payment of Annual Interest on Bonds -INE434A08075
Record Date Intimation for Payment of Interest on Basel III Compliant Tier II Bonds - (ISIN INE692A08102)
Intimation of Record date for Payment of interest on Bank’s Bond- INE692A09266 and INE692A08045
Intimation of Record date for Payment of interest on Bank’s Bond- INE112A08044
Statement of Debt Securities for the half year ended on September 30, 2021
Intimation of Record date for Payment of interest on Bank’s Bond
Credit Rating (India Ratings & Research and CARE Ratings Limited )- 07.10.2021
Credit Rating - 07.10.2021
Record date Intimation for Redemption by Call Option and Payment of Interest of Basel III Compliant Perpetual Additional Tier-I Bond (ISIN INE692A08037)
Credit Rating - 05.10.2021
Record Date Intimation for Payment of Interest on Bond Series IV Basel III Additional Tier I - (ISIN INE434A08083)
Credit Rating - 01.10.2021
Subscription to Shares of National Asset Reconstruction Company Limited
Record Date Intimation for Payment of interest on Bond Series D Basel III Compliant Tier II - (INE434A08075)
Credit Rating - 27.09.2021
Details of Interest / Principal obligations on Non-Convertible Bonds – October 2021 to December 2021
Notice of Closure of Trading Window w.e.f. September 30, 2021
Certificate for Timely Payment of Annual Interest on Basel III Compliant Tier-II Bonds - (ISIN INE692A08094)
Certificate for Timely Payment of Annual Interest on Basel III Compliant Additional Tier-I Bonds - (ISIN INE692A08029)
Schedule of the Analyst / Institutional Investor Meet
Certificate for Timely Payment of Principal and Interest on Bonds - INE434A08018
Schedule of the Analyst / Institutional Investor Meet
Certificate for Timely Payment of Principal and Interest on Bonds-INE692A08011
Record date Intimation for Payment of Interest of Bonds of Basel III Compliant Tier-II Bond- (ISIN INE692A08094) and Basel III Compliant Additional Tier-I Bond- (ISIN INE692A08029)
Certificate for Timely Payment of Principal and Interest on Bonds (INE434A08067)
Submission of Newspaper Advertisement for Election of Shareholder Director
Record date for redemption and payment of interest of Bonds of Basel III Compliant Tier-II Bond- ISIN INE692A08011)
Record Date for Redemption (Upon Maturity) and Payment of Annual Interest of Infra Bond Debentures (ISIN INE434A08018)
Record Date for redemption and payment of interest of Basel III Compliant Additional Tier-I Bond (ISIN No. INE434A08067)
Allotment of Basel III Compliant Tier II Bonds (ISIN: INE692A08151)
Issue of Basel III Compliant Tier II Bonds- 08.07.2021
Convening of Annual General Meeting of the Shareholders of the Bank
Notice of Closure of Trading Window w.e.f. June 30, 2021
Certificate for Timely Payment of Principal and Interest on Bonds- (ISIN No.- INE434A08059)
Issue of Basel III Compliant Tier II Bonds (ISIN: INE692A08144)
Extension of Tenure of Chief Risk Officer of the Bank
Certificate for Intimation of Record date for Payment of interest on Bank’s Bonds.
Certificate for Timely Payment of Annual Interest on Bonds - 03.05.2021
Intimation of Record date for Payment of interest on Bank’s Bonds - 05.04.2021
Certificate for timely payment of Annual Interest on Bonds (INE692A08052 & INE692A08060)- 31.03.2021
Certificate for timely payment of Annual Interest on Bonds (INE692A08078)-31.03.2021
Notice of Closure of Trading Window w.e.f. March 31, 2021
Certificate for timely payment of Principal and Interest on Bonds (INE692A09274)- 26.03.2021
Approval of Proforma Financial Statements by the Committee of Directors for raising Capital Funds
Intimation of Record Date for redemption and payment of interest of Bank’s Bond-01.03.2021
Intimation of Record date for Payment of interest on Bank’s Bonds - 01.03.2021
Credit Rating-03.03.2021
Schedule of Non-deal Roadshows/ Analyst/ Institutional Investor Meet
Credit Rating-01.03.2021
Certificate for Timely Payment of Principal and Interest on Bonds (INE434A08042)- 20.02.2021
Approval of Proforma Financial Statements by the Committee of Directors for raising Capital Funds
Allotment of Basel III Compliant Additional Tier I Bonds (ISIN: INE692A08136)-29.01.2021
Issue of Basel III Compliant Additional Tier I Bonds- 27.01.2021
Allotment of Basel III Compliant Additional Tier I Bonds (ISIN: INE692A08128) - 11.01.2021
Issue of Basel III Compliant Additional Tier I Bonds- 07.01.2021
Changes in Statutory Central Auditors (SCAs) of the Bank for the financial year 2020-21
Notice of Closure of Trading Window w.e.f December 31, 2020
Certificate for Timely Payment of Annual Interest on Bonds-28.12.2020
Certificate for Timely Payment of Principal and Interest on Bonds (INE434A08034)- 18.12.2020
Credit Ratings to the Bank -17.12.2020
Allotment of Basel III Compliant Tier I Bonds- 15.12.2020
Issue of Basel III Compliant Additional Tier I Bonds- 11.12.2020
Intimation of Record date for Payment of interest on Bank’s Bonds-27.11.2020
Outcome of the Meeting of Board of Directors of the Bank- 25.11.2020
Issue of Basel III Compliant Tier II Bonds - 24.11.2020
Certificate for Timely Payment of Annual Interest on Bonds - 24.11.2020
Certificate for Timely Payment of Annual Interest on Bonds-23-11-2020
Record Date for payment of Interest with Redemption of Bank's Bonds- 20.11.2020
Related Party Transaction Disclosure for the Half year ended 30.09.2020
Certificate for timely payment of Interest on Bank's Bonds - 17.11.2020
Certificate for Timely Payment of interest on Bank’s Bonds -09.11.2020
Rating of various bonds issued - Reporting under Regulation 30 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015 - 24.10.2020
Rating of various bonds issued - Reporting under Regulation 30 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015- 16.10.2020.
Ratings of various bonds issued - Reporting under Regulation 30 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015- 14.10.2020
Intimation of Record date for Payment of interest on Bank’s Bonds-14.10.2020
Intimation of Record date for Payment of interest on Bank’s Bonds (INE692A08037) - 08.10.2020
Closure of Trading Window - 28.09.2020
Intimation of Record date for Payment of interest on Bank’s Bonds (INE434A08075) - 22.09.2020
Issue of Basel III Compliant Tier II Bonds-16.09.2020
Certificate for Timely Payment of Principal and Interest on Bonds-16.09.2020
Rating of various bond issues - Reporting under Regulation 30 of SEBI (Listing Obligations and Disclosure Requirements) Regulations, 2015- 11.09.2020
Certificate for Timely Payment of Interest on Bonds- 15.09.2020
Reporting under Regulation 30 of SEBI (Listing Obligations & Disclosure Requirements) Regulations, 2015 – Rating - 05.09.2020
Certificate for Timely Payment of Interest on Bonds
Certificate for Timely Payment of Interest on Bonds
Record Date for redemption and payment of interest of Bank's Bond
Intimation of Record date for Payment of interest on Bank’s Bonds – 14.08.2020
Outcome of the Meeting of Board of Directors of the Bank - 29.07.2020
Intimation of Record date for Payment of interest on Bank’s Bonds-30.05.2020
Reporting under Regulation 30 of SEBI (Listing Obligations & Disclosure Requirements) Regulations, 2015- Rating of various bond issues
Record date for redemption and payment of interest for Bank's Bonds-20.05.2020
Intimation of Record date for Payment of Interest on Bank's Bonds-01.04.2020
Certificate for Timely Payment of Interest on Bonds- 04.04.2020
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