Power Grid Corporation of India Limited announced Details of redemption payments: 8.13% POWERGRID Bond LIII Issue. ISIN: INE752E07NQ6, Type of redemption: Full. Amount to be redeemed against ISIN INE752E07IJ1: INR 1,631,250,000.00.

Reason for redemption: Maturity. Quantity redeemed (no. of NCDs): 3330 Bonds.

Due date for redemption/maturity: April 25,2024. Actual date for redemption: April 25,2024. Amount redeemed: INR 3,330,000,000.00.

Outstanding amount: Nil. Date of last interest payment: April 25, 2023.