Prism Johnson Limited provided details of privately placed Non-convertible Debentures issued by the Company as on March 31, 2025 in the format prescribed in the above circular. The ISIN Number INE010A08149 was issued on July 5, 2024, with a maturity date of July 5, 2028. It has a coupon rate of 8.50% per annum, with payment frequency set to annually.
There is a Put/Call option available for this issuance, with an amount issued and outstanding of INR 100,00,00,000. The ISIN Number INE010A08156 was also issued on July 5, 2024, with a maturity date of July 5, 2029. This issuance has a coupon rate of 8.60% per annum, with payment frequency set to annually as well.
Similar to the previous issuance, there is a Put/Call option available, with an amount issued and outstanding of INR 100,00,00,000.

















