You are viewing the translated version of ऋणपत्र र ब्याज भुक्तानी पूर्जाको ढाचा.
(1) The following bonds to be issued in accordance with the Act and the structure of interest payments of those bonds shall be as mentioned in the following schedule:-
(a) Stock:
(1) Development Bond Schedule-1
(2) Interest Payment of Development Bond Schedule-1(a)
(3) National Savings Paper Schedule-2
(4) National Savings Bank Interest Payment Schedule-2(a)
(5) Citizen Savings Paper Schedule-3
(6) Interest payment of Citizen Savings Bank Part Schedule-3(a)
(7) Special Bond Schedule-4
(8) Interest Payment of Special Bonds Part Schedule-4(a)
(b) Pharmacy note:
(1) Development Bond Schedule-5
(2) Interest Payment of Development Bond Schedule-5(a)
(3) National Savings Paper Schedule-6
(4) National Savings Bank Interest Payment Part Schedule-6(a)
(5) Citizen Savings Paper Schedule-7
(6) Interest Payment of Civil Savings Bond Schedule-7(a)
(7) Special Bond Schedule-8
(8) Special Bond Interest Payment Supplement Schedule-8(a)
(9) Treasury bills to be sold at discount (discount) price Schedule-9
(10) Treasury bills to be sold at fixed interest rates Schedule-10
(c) Bearer Bond Schedule-11
(d) Prize Bond Schedule-12
(2) Except as mentioned in sub-rule (1), the format of other bonds shall be as specified by the bank from time to time.
(3) The size of the bond certificate and interest payment, and the necessary security measures shall be as prescribed by the bank from time to time. p>