Prism Johnson Limited provided details of privately placed Non-convertible Debentures issued by the Company as on September 30, 2025 in the format prescribed in the above circular.
ISIN Number: INE010A08149,Issuance Date: July 5, 2024, Maturity date: July 5, 2028, Coupon rate: 8.50% p.a, Payment frequency: Annually, Embedded option if any: Put/call option available, Amount issues: INR 100,00,00,000, Amount outstanding: INR 100,00,00,000 . ISIN Number: INE010A08156, Issuance Date: July 5, 2024, Maturity date: July 5, 2028, Coupon rate: 8.50% p.a, Payment frequency: Annually, Embedded option if any: Put/call option available, Amount issues: INR 100,00,00,000, Amount outstanding: INR 100,00,00,000 .