As per the Company’s internal Procedure/Process, the allotment of bonds will be done on the following lines:
- Payment received from the investor’s, between 1st to 15th every month, the allotment will be done on 30th /31st of every month and bonds will be credited/dispatch within a week’s time, from the date of allotment.
- Payment received from the investor’s, between 16th to 30th / 31st of every month, the allotment will be done 15th of subsequent month and the bonds will be credited / dispatch within a week’s time, from the date of allotment.
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