SMC GLOBAL SECURITIES LIMITED
Public Issue of Secured, Rated, Listed, Redeemable, Non-Convertible Debentures
(5th October, 2026 to 16th October, 2026)
The Company shall allocate and allot Series III NCDs wherein the Applicants have not indicated the choice of the relevant NCD Series.
1. With respect to Series where interest is to be paid on an annual basis, relevant interest will be paid on each anniversary of the Deemed Date of Allotment on the face value of the NCDs. The last interest payment under annual Series will be made at the time of redemption of the NCDs.
2. With respect to Series where interest is to be paid on monthly basis, relevant interest will be paid on the first date of every month on the face value of the NCDs. The last interest payment under monthly Series will be made at the time of redemption of the NCDs. For the first interest payment for NCDs under the monthly options, interest from the Deemed Date of Allotment till the last day of the subsequent month will be clubbed and paid on the first day of that subsequent month.
3. Subject to applicable tax deducted at source, if any.
For more details, please refer to the Prospectus dated September 28, 2026 and the Abridged Prospectus
(
https://www.sebi.gov.in/filings/debt-offer-document/sep-2026/smc-global-securities-limited-prospectus_104750.html)