linkedin
 
You Are On
Equity
Equity Analysis
News Analysis
Corporate Action
Corporate Info
Derivatives
Other Market
Research
 
 Book Closure  
Nestle India Ltd.
 
From Date To Date Purpose
01-May-21 07-May-21   Rs.25.0000 per share(250%)Interim Dividend & Rs.65.0000 per share(650%)Final Dividend 
01-May-21 07-May-21   Rs.25.0000 per share(250%)Interim Dividend & Rs.65.0000 per share(650%)Final Dividend 
13-Jun-20 19-Jun-20   Rs.61.0000 per share(610%)Final Dividend & A.G.M. 
18-May-20 19-May-20   Rs.61.0000 per share(610%)Final Dividend & A.G.M. 
03-May-19 04-May-19   Rs.25.0000 per share(250%)Final Dividend & A.G.M. 
18-May-18 19-May-18   A.G.M. 
18-May-18 19-May-18   A.G.M. 
23-May-17 24-May-17   A.G.M. 
20-May-16 21-May-16   Rs.18.5000 per share(185%)Final Dividend 
18-May-16 19-May-16   Rs.18.5000 per share(185%)Final Dividend 
21-May-15 22-May-15   A.G.M. 
21-May-15 22-May-15   A.G.M. 
19-May-14 20-May-14   A.G.M. 
19-May-14 20-May-14   A.G.M. 
19-May-14 20-May-14   A.G.M. 
01-Apr-14 10-Apr-14   A.G.M. (Cancelled) 
01-Apr-14 10-Apr-14   A.G.M. (Cancelled) 
02-May-13 08-May-13   A.G.M. 
23-Mar-12 30-Mar-12   Rs.12.50 per share(125%)Final Dividend & A.G.M. 
26-Apr-11 27-Apr-11  19/05/2011 Equity Rs.12.50 per share(125%)Final Dividend 
Page 1 of 2
Prev || Next
 
RMS | Policies & Procedures| PMLA | Disclaimer | Privacy Policy | Web Mail | Relationship | Investor Grievance
Career | Contact Us| KYC| PMS Risk Disclosure | Key Managerial Person | Basic Details | Process of Opening an Account | Process of Filing Complaint
Links to MCX | NCDEX |FMC | NCDEX CMID NCDEX-CO-04-00129 | MCX 10550 | FMC MCX: MCX/TCM/CORP/0008| FMC NCDEX : NCDEX/TCM/CORP/0274    
NSE: INB230914036 |NSE F & O INF230914036 |BSE: INB010914032 |BSE F & O: INF010914032 | CDSL: IN-DP-CDSL-335-2006 | OTC: INB200914032
Related Sites: Bombay Stock Exchange (BSE), Investor Protection, National Stock Exchange (NSE), Securities & Exchange Board of India (SEBI)
© Padmakshi 2009. All Rights Reserved. Designed || Developed & Content Powered By Accord Fintech Pvt. Ltd.