IndoStar Capital Finance Limited announced redemption amount in respect of Non-Convertible Debentures issued on private placement basis. Type of Redemption (Full /Partial): Partial, By Face value redemption. Due date for redemption /maturity: 28 September 2023, Actual date of redemption:28 September 2023 Amount redeemed INR 200 Million.

Outstanding amount INR 320 Million. Date of last interest payment:30 June 2023.