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24 Aug 20262 filings
Debt offering update
- Pricing supplement for US$650 million 5.478% senior notes due 2031 uploaded.
- Notes issued under Regulation S as part of the US$1 billion EMTN programme.
- Pricing supplement available on IFSC and NSE IFSC platforms.
- Intimation hosted on Kotak Mahindra Bank investor relations page.
Debt issuance details
- Issued US$650 million of 5.478% senior notes due 2031 under Reg S.
- Notes listed on India International Exchange IFSC and NSE IFSC.
- Size US$650 million; tenor five years; allotment 24 August 2026; maturity 24 August 2031.
- Coupon 5.478% fixed; semiannual payments on 24 February and 24 August.
- Unsecured; no security over assets.
- Rating BBB by S&P Global Ratings.
- Use of proceeds to diversify funding sources and general corporate purposes.
- ISIN XS3480765588; Common Code 348076558.
22 Aug 20262 filings
ESG rating update
- ESG rating assigned: 70 (Excellent) for FY 2025-26 by ESG Risk Assessments and Insights Limited.
- Intimation received by Company Secretary on 21 August 2026; disclosed on the bank's investor site.
ESG rating update
- ESG rating assigned: 70 (Excellent) for FY2025-26 by ESG Risk Assessments and Insights Limited
- Based on publicly available information; intimation received Aug 21, 2026 at 5:00 p.m. IST
21 Aug 20261 filing
Meeting Details
- Date: August 27, 2026; Time: not disclosed.
- Type/Mode: group virtual meeting with analysts/institutional investors.
- Organizer: Morgan Stanley India Financials Investor Group.
- Company participants: Kotak Mahindra Bank Limited representatives (management level).
- Purpose: investor interaction on performance and initiatives.
20 Aug 20262 filings
Rating Action
- Instrument: USD 650 million 5.478% senior notes; Rating: BBB.
- Notes issued under USD 1 billion EMTN programme established Aug 14, 2026.
- Rationale published by S&P Global Ratings on its website.
ESG Rating Update
- Crisil ESG rating assigned as 'Crisil ESG 72 – Leader' for FY2026.
- Intimation received on August 20, 2026 at 10:51 a.m. IST.
- Rating based on publicly available information and hosted on the bank's investor site.
- No governance changes or financial metrics disclosed.
19 Aug 20262 filings
ESOP allotment details
- 2,85,255 equity shares allotted on exercise of ESOPs under 2015 and 2023 schemes.
- Scheme 2015/34 (4th Tranche): 1,08,065 shares.
- Scheme 2015/40 (3rd Tranche): 45,340 shares.
- Scheme 2023/03 (2nd Tranche): 1,28,710 shares.
- Scheme 2023/07 (1st Tranche): 3,140 shares.
- Paid-up capital increased to 9,94,76,56,028 shares from 9,94,73,70,773.
- Date of allotment: August 19, 2026.
- Requested to disseminate on Kotak Mahindra Bank's website.
18 Aug 20261 filing
Notes issuance details
- Approved pricing, tenure and terms for senior notes under the US$1bn EMTN programme.
- Issue size: US$650 million.
- Tenor: 5 years.
- Allotment: 24 August 2026; Maturity: 24 August 2031.
- Coupon: 5.478% per annum.
- Coupon payments on 24 February and 24 August.
- ISIN XS3480765588; Common Code 348076558; Security: Unsecured.
- Expected rating: BBB by S&P Global Ratings.
- Use of proceeds: diversify funding sources and general corporate purposes.
- Listing: India International Exchange IFSC and NSE IFSC.