Aavas Financiers Limited announced that the Company has made timely payment of interest and part redemption amount in respect of 1,000 Rated, Listed, Senior, Secured, Redeemable, Non-Convertible Debentures ("NCDs") of INR. 1,000,000 each. Interest Amount to be paid on due date: INR 7,832,932.

Frequency: Quarterly. Interest payment record date: June 23, 2024. Due date for interest payment: June 30, 2024.

Actual date for interest payment: June 28, 2024. Amount of interest paid: INR 7,832,932. Date of last interest payment: March 28, 2024.

Type of redemption (full/partial): Partial. Due date for redemption/maturity: June 30, 2024. Actual date for redemption: June 28, 2024.

Amount redeemed: INR 50,000,000. Outstanding amount: INR 300,000,000. Date of last Interest payment: March 28, 2024.