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 |