Bajaj Finance Limited had issued Secured /Unsecured Redeemable Non-Convertible Debentures (NCDs) on private placement basis. In pursuance of Regulation 60(2) of SEBI (Listing Obligation and Disclosure Requirement), 2015, please find enclosed, the Intimation of Record date for payment of Annual Interest, Final Interest and Redemption of the Non-Convertible Debenture issued on Private Placement basis under ISIN INE296A07TY3 on May 20, 2026. Bajaj Finance Ltd. ISIN: INE296A07TY3 Date of Allotment: May 20, 2026 Rate of Interest: 8.08% p.a. Date of Redemption/Maturity: May 20, 2036 Credit Rating: ?CRISIL AAA/Stable?

by CRISIL Ratings Ltd. ?ICRA AAA/Stable? by ICRA Limited Issue Size (Rs. in Cr): 1025.

Sr. No. Purpose Due Date of Payment Record Date 1. 1st Annual Interest May 20, 2027 May 5, 2027 2. 2nd Annual Interest May 20, 2028 May 5, 2028 3. 3rd Annual Interest May 21, 2029 May 7, 2029 4. 4th Annual Interest May 20, 2030 May 6, 2030 5. 5th Annual Interest May 20, 2031 May 5, 2031 6. 6th Annual Interest May 20, 2032 May 5, 2032 7. 7th Annual Interest May 20, 2033 May 5, 2033 8. 8th Annual Interest May 20, 2034 May 5, 2034 9. 9th Annual Interest May 20, 2035 May 7, 2035 10. 10th Annual Interest May 20, 2036 May 5, 2036 11.

Principal Redemption May 20, 2036 May 5, 2036.