communication to shareholder

communication to shareholder

The information, report, notices call letters, circulars, proceedings etc. concerning non-convertible redeemable preference shares or non convertible debt securities.
13, September 2024
Credit Rating of Long Term Infra Bond & Tier II Bonds
11, September 2024
Credit Rating of Long Term Infra Bond
31, August 2024
Credit Rating of Tier II Bonds by Infomerics
20, August 2024
Reaffirmation of Credit Rating of Non-Convertible Tier I & Tier II Bonds
19, July 2024
Allotment of Long Term Infra Bonds of Rs.5,000 Crores
18, July 2024
Fund raising through issue of Long Term Infra Bonds of Rs.5,000 Crores
03, July 2024
Credit Rating of Bank's Long Term Infra Bond
03, July 2024
Credit Rating of Bank's Long Term Infra Bond & Non-Convertible Tier II Bonds
22, May 2024
Credit Rating of Bank's Non-convertible Tier II Bonds
10, April 2024
Reporting under Regulation 30 of SEBI (LODR) Regulations – Long Term Issuer Rating
08, April 2024
Chapter XIV – Centralized Database for corporate bonds/debentures
06, April 2024
Bank Of India has informed the Exchange regarding Annual Chapter VIII - Specifications related to ISIN for debt of the company for the period ended March 31, 2024
03, April 2024
Compliance of SEBI Circular No.CIR/IMD/df-1/67/2017 dated June 30, 2017 about ISINs.
02, April 2024
Intimation of Payment of Annual Interest for BOI Tier I & Tier II Bonds
02, April 2024
Reporting under Regulation 30 & Regulation 55 of SEBI (LODR) Regulations – Credit Rating of Bank’s Non-Convertible Tier II Bonds
26, February 2024
Intimation Interest Payment Record Date of Basel III Compliant Tier I/Tier II Bonds issued by Bank of India on Private Placement Basis.
10, October 2023
Half Yearly Statement of Debt Securities issued under SEBI (Issue and Listing of Non- Convertible Securities) Regulation 2021
30, September 2023
Redemption of 9.80% BOI Tier II Bonds Series XI (ISIN No. INE084A08045) of Rs.500 Cr
25, September 2023
Redemption of 9.80% BOI Tier II Bonds Series X (ISIN No.INE084A08037) of Rs.1000 Cr
15, September 2023
Allotment of BASEL III Compliant Tier II Bonds of Rs.2,000 Crores
13, September 2023
Issue of BASEL III Compliant Tier II Bonds of Rs.2,000 Crores.
23, August 2023
Disclosure under Regulation 30 & 51 of SEBI(LODR) Regulations,2015 CRISIL AA+/Stable rating assigned to proposed issue of Tier II Bonds (under Basel III)
23, August 2023
Copies of Newspaper advertisement of Notice of Interest and redemption amount in respect of Bank of India Basel III Compliant Tier II Bonds
22, August 2023
Redemption of Basel III compliant Tier 2 bonds – Intimation of Record Date under Regulation 60 of SEBI (LODR) Regulations, 2015
15, June 2023
Disclosure under Regulation 57(4) and 60 of SEBI (LODR) Regulations, 2015
06, June 2023
Credit Rating for Tier II Bond
21, April 2023
Chapter XIV – Centralized Database for corporate bonds/debentures
11, April 2023
Chapter VIII-Specification related to ISIN for private placement Clause 10.1(a) of SEBI Operational Circular dated August 10, 2021 (updated on April 13,2022).
03, April 2023
Intimation of Payment of Annual Interest (2022-23) for BOI Tier I & Tier II Bonds.
03, April 2023
Compliance of SEBI Circular No.CIR/IMD/DF-1/67/2017 dated June 30, 2017 about ISINs.
01, March 2023
Intimation of Interest Payments payable in the next quarter for our Tier I & Tier II Bonds
24, February 2023
Intimation of Interest Payment Due Date/Record Date of Basel III Compliant Tier I/Tier II Bonds Issued by Bank of India on Private Placement Basis
13, January 2023
Upgradation of Bank’s Long Term Issuer Rating to “IND AA+” from “IND AA”
02, December 2022
Allotment of BASEL III Compliant Additional Tier I Bonds of Rs.1500 Crores
24,November 2022
Reaffirmation of Credit Rating by Acuite Ratings & Research Ltd.
19,November 2022
Reaffirmation of Credit Rating by CRISIL Ratings Ltd.
16,July 2022
Outcome of 26th Annual General Meeting held on 15th July,2022.
5,July 2022
Disclosure under Regulation 57(5) of SEBI(LODR) Regulations,2015
25,March 2022
Redemption of 8.00% BOI Tier II Bonds Series XIV (ISIN No. INE084A08110) for Rs.1000 Cr
08,March 2022
Our Tier I and Tier II BondsIntimation of Annual Interest Payment Due Date / Record Date
07,March 2022
8.00% BOI Tier II Bonds Series XIV (ISIN No. INE084A08110) Repayment of Principal and Broken Period Interest
25,February 2022
Corrigendum – Notice for Exercise of call option in r/o BOl Tier II Bonds Series XIV (ISIN No. INE084A08110)
14,February 2022
Divergence Disclosure under Regulation 30 of SEBI (LODR) Regulations, 2015
Notice for Exercise of Call Option in respect of 8.00% BOI Tier II Bonds Series XIV (ISIN No. INE084A08110)Fixation of Record Date — 25h February, 2022
NOTICE FOR PAYMENT OF INTEREST AND EXERCISE OF CALL OPTION IN RESPECT OF 8.00% BANK OF INDIA – BASEL III COMPLIANT TIER II BONDS - SERIES XIV ISIN NO.INE084A08110 ISSUED ON 27TH MARCH, 2017