Time Technoplast Limited Completes Commercial Paper Repayment on March 27, 2026
Time Technoplast Limited completed the repayment of its commercial paper that matured on March 27, 2026, in full compliance with SEBI operational circular requirements. The company had set March 25, 2026 as the record date and successfully made the timely repayment as scheduled.

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Time Technoplast Limited has successfully completed the repayment of its commercial paper that reached maturity on March 27, 2026. The company formally notified BSE Limited about the timely repayment, adhering to the regulatory requirements outlined in SEBI's operational circular.
Commercial Paper Repayment Details
The company certified that it made the full repayment of the maturity amount for the commercial paper on the scheduled date. The repayment was completed in accordance with Para 8.4 of Chapter XVII of SEBI Operational Circular No. SEBI/HO/DDHS/P/CIR/2021/613 dated August 10, 2021.
| Parameter: | Details |
|---|---|
| Scrip Code: | 731121 |
| ISIN Number: | INE508G14IL4 |
| Maturity Date: | March 27, 2026 |
| Repayment Date: | March 27, 2026 |
Regulatory Compliance Process
Time Technoplast Limited had previously communicated to the exchange on February 20, 2026, setting March 25, 2026 as the record date for the repayment of the maturity amount. This advance intimation was part of the company's compliance with SEBI's operational guidelines for commercial paper repayments.
The notification was signed by Manoj Kumar Mohanlal Mewara, Company Secretary and Compliance Officer, confirming the company's adherence to its debt obligations and regulatory requirements. The timely repayment demonstrates the company's commitment to meeting its short-term financing obligations as scheduled.
Historical Stock Returns for Time Technoplast
| 1 Day | 5 Days | 1 Month | 6 Months | 1 Year | 5 Years |
|---|---|---|---|---|---|
| -1.74% | 0.0% | -12.22% | -25.67% | -19.79% | +463.36% |
What are Time Technoplast's plans for refinancing or issuing new commercial papers to meet future short-term funding requirements?
How will this successful repayment impact the company's credit rating and borrowing costs for future debt issuances?
What strategic initiatives or capital expenditure projects might the company pursue now that this debt obligation has been cleared?


































