This document is a formal Notice of Record Date issued by The Tata Power Company Limited, dated July 13, 2026.It outlines specific record dates for fixing the eligibility of bondholders to receive interest payments for their Non-Convertible Debentures (NCDs).The notice lists two distinct ISINs (International Securities Identification Numbers) with interest rates of 9.9% and 7.715% respectively.Interest payments for these debentures are scheduled to be made on August 27, 2026, and September 28, 2026.