SHRIRAM TRANSPORT FINANCE COMPANY LIMITED PUBLIC ISSUE SECURED NON-CONVERTIBLE DEBENTURES 2013

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SHRIRAM TRANSPORT FINANCE COMPANY LIMITED PUBLIC ISSUE SECURED NON-CONVERTIBLE DEBENTURES 2013 Series II III V ISIN Code INE721A07FV5 INE721A07FW3 INE721A07FY9 Frequency of Interest Payment Credit Rating and Rating Agencies Deemed/ Date of Allotment Annual Monthly CRISIL AA/Stable by CRISIL for an amount of upto ` 75,000 lacs vide its letter dated June 11, 2013 and CARE AA+' by CARE for an amount of upto ` 75,000 lacs vide its letter dated June 12, 2013. 01 St August 2013 NSE Scrip Code NW NX NZ BSE Scrip Code 934887 934888 934890 Scrip ID 980STFC18 940STFC18 0STFC18 BSE Abbrv. Name 980STFC18 940STFC18 0STFC18 Issue Price (`) ` 1,000 ` 1,000 ` 1000 Nominal Value (`) ` 500 (w.e.f July 31, 2017) ` 1,000 ` 500 (w.e.f July 31, 2017) Paid up value (`) ` 500 (w.e.f July 31, 2017) ` 1,000 ` 500 (w.e.f July 31, 2017) Premium/ (Discount) (`) Coupon (% per annum) - (A) 9.80% 9.40% Additional Incentive on Coupon (% per annum) on Any Record Date - (B) who are who who are who Aggregate of Coupon and Additional Incentive on any Record Date (% per annum) = (A) + (B) Effective Yield (% per annum) on any Record Date 1.35% Nil 1.23% Nil who are who who are who 11.15% 9.80% 10.63% 9.40% who are who who are who Non 11.15% 9.80% 11.15% 9.80% 11.15% 9.80% Mode of Payment of Interest and/or Redemption of s Tenor Sixty months Sixty months Sixty months Redemption Date 31/07/2018 31/07/2018 31/07/2018 Redemption Amount (`./) Interest Payment Dates Put/ Call Option ` 500/- per plus Additional Incentive as may be applicable for Individual is due for redemption payment on 31/07/2018 Annual Monthly 01/04/2018 and 31/07/2018^ ^Accrued interest at the applicable Coupon shall be payable at each stage of redemption plus Additional Incentive as may be applicable for Individual Repayment of the Face Value plus any interest at the applicable Coupon that may have accrued at the Redemption Date plus Additional Incentive as may be applicable for Individual (First interest payment shall be made on the first day of September 2013 Subsequently, First of Every following Month till the expiry of sixty months from the Deemed Date of Allotment.) ` 848.48 per * at the end of 60 months from the Deemed Date of Allotment Non ` 798.17 per * at the end of 60 months from the Deemed Date of Allotment (*) In case of Individual on Record Date- Every having a face value of ` 1,000/- each shall be paid a Redemption amount of ` 848.48 per on 31/07/2018 (payable at the end of the 60 months from Deemed Date of Allotment) (Effective Yield 11.15% p.a.) (*) In case of Non -Individual on Record Date - Every having a face value of ` 1,000/- each shall be paid a Redemption amount of ` 798.17 per on 31/07/2018 (payable at the end of the 60 months from Deemed Date of Allotment) (Effective Yield 9.80% p.a.) (*) subject to applicable tax deducted at source, if any.

SHRIRAM TRANSPORT FINANCE COMPANY LIMITED PUBLIC ISSUE OF SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES OCTOBER 2013 Security Description Convertible Debentures - Series II Convertible Debentures - Series III Convertible Debentures - Series V Convertible Debentures - Series VI ISIN INE721A07GS9 INE721A07GT7 INE721A07GV3 INE721A07GW1 NSE Scrip Code Y2 Y3 Y5 Y6 BSE Scrip Code 934916 934917 934919 934920 Issue Price (`) 1000/- 1000/- 1000/- 1000/- Nominal Value (`) 1000/- 1000/- 1000/- 1000/- Paid Up Value (`) 1000/- 1000/- 1000/- 1000/- Premium/(Discount) (`) Additional Incentive on Coupon (% per annum) on Any Record Date - (B) Aggregate of Coupon and Additional Incentive on any Record Date (% per annum) = (A) + (B) Effective Yield (% per annum) on any Record Date Deemed Date of Allotment Non Non 0.75% Nil 1.00% Nil Non Non 11.50% 10.75% 11.75% 10.75% Non Non who who 11.50% 10.75% 11.75% 10.75% 11.50% 10.75% 11.75% 10.75% October 24, 2013 Interest Payment Dates (DD/MM/YYYY) 24/10/2018. Annual 01/04/2019, 01/04/2020 And 24/10/2020. Redemption Date October 24, 2018 October 24, 2020 October 24, 2018 October 24, 2020 Tenor Sixty months Eighty four months Sixty months Eighty four months Redemption Amount* (`/) Repayment of the Face Value plus any interest at the applicable Coupon that may have accrued at the Redemption Date plus Additional Incentive as may be applicable for Individual Repayment of the Face Value plus any interest at the applicable Coupon that may have accrued at the Redemption Date plus Additional Incentive as may be applicable for Individual `1,723.87 per * who `1,666.63 per * `2,177.70 per * Non `2,044.79 per * Credit Rating Credit Rating Agencies Put/Call Option Remarks * subject to applicable tax deducted at source, if any. 'CRISIL AA/Stable' for an amount of upto ` 50,000 Lacs vide letter dated 27/08/2013 'CARE AA+' for an amount of upto ` 50,000 Lacs vide letter dated 28/08/2013 and 29/08/2013. CRISIL and CARE NIL

SHRIRAM TRANSPORT FINANCE COMPANY LIMITED PUBLIC ISSUE SECURED NON-CONVERTIBLE DEBENTURES 2014 Series II III IV V VII VIII ISIN INE721A07HI8 INE721A07HJ6 INE721A07HK4 INE721A07HL2 INE721A07HN8 INE721A07HO6 Frequency of Interest Payment Annual Annual Monthly** Monthly** Coupon (% per annum) - (A) 10.00% 10.15% 9.57% 9.71% Additional Incentive on Coupon (% per annum) on Any Record Date - (B) Non Individual s who who are who are 1.25% Nil 1.35% Nil 1.14% 1.23% Aggregate of Coupon and Additional Incentive on any Record Date (% per annum) = (A) + (B) ### Effective Yield (% per annum) on any Record Date*** Non Individual s who who are ## 11.25% 10.00% 11.50% 10.15% 10.71% 10.94% who who Non are are Non Individual s who are ## Non Non 11.25% 10.00% 11.50% 10.15% 11.25% 11.50% 11.25% 10.00% 11.50% 10.15% Mode of Payment of Interest and/or Redemption of s Through Various options Through Various options Date of Allotment Tenor (Months) Sixty months Eighty four months July 15, 2014 Sixty months Eighty four months Sixty months Eighty four months Redemption Date July 15, 2019 (Sixty July 15, 2021 (Eighty four July 15, 2019 July 15, 2021 July 15, 2019 (Sixty months from July 15, 2021 (Eighty four months from the Date of months from the Date of (Sixty months Eighty four months the Date of Allotment.) months from the Date of Allotment.) Allotment.) from the Date of from the Date of Allotment.) Allotment.) Allotment. Redemption Amount (`/) Repayment of the Face Value plus any interest at the applicable Coupon that may have accrued at the Redemption Date plus Additional Incentive as may be applicable for Individual Repayment of the Face Value plus any interest at the applicable Coupon that may have accrued at the Redemption Date plus Additional Incentive as may be applicable for Individual Repayment of the Face Value plus any interest at the applicable Coupon that may have accrued at the Redemption Date plus Additional Incentive as may be applicable for Individual Repayment of the Face Value plus any interest at the applicable Coupon that may have accrued at the Redemption Date plus Additional Incentive as may be applicable for Individual # 1,704.62 per * Non 1,610.93 per * # 2,143.79 per * Non 1,968.44 per * * subject to applicable tax deducted at source, if any. **Allotment under monthly option shall be only to applying for Allotment of s in demat form only. *** Senior Citizens (only First Allottees) shall be entitled to an additional yield at the rate of 0.25% per annum # For series VI, VII and VIII, Senior Citizens (only First Allottee) will be paid an aggregate amount of` 1,377.29, `1,723.87 and `2,177.70 per, respectively, on the Redemption Date. ## For Series IV and V, Senior citizens (only First Allottee) will get a coupon of 10.94% per annum and 11.17% per annum respectively payable monthly. ### In case the Series IV and/or V s are held by a Non-Individual at any given Record Date, the interest shall be calculated at 9.57% p.a. and 9.71% p.a. for Series IV and Series V s respectively.

1 Security Description 8.93% Secured, Taxable, Non Cumulative, Rated, Redeemable, Non Convertible Public Issue of Debentures Series - I Tranche 1 9.03% Secured, Taxable, Non Cumulative, Rated, Redeemable, Non Convertible Public Issue of Debentures Series - II Tranche 1 9.10% Secured, Taxable, Non Cumulative, Rated, Redeemable, Non Convertible Public Issue of Debentures Series - III Tranche 1 9.30% Secured, Taxable, Non Cumulative, Rated, Redeemable, Non Convertible Public Issue of Debentures Series - IV Tranche 1 9.40% Secured, Taxable, Non Cumulative, Rated, Redeemable, Non Convertible Public Issue of Debentures Series - V Tranche 1 Secured, Taxable, Cumulative, Rated, Redeemable, Non Convertible Public Issue of Debentures Series - VI Tranche 1 Secured, Taxable, Cumulative, Rated, Redeemable, Non Convertible Public Issue of Debentures Series - VII Tranche 1 2 NSE Code YH YI YJ YK YL YM YN 3 BSE Code 936228 936230 936232 936234 936236 936238 936240 4 BSE ID 893STFCL23 903STFCL28 91STFCL21 93STFCL23 94STFCL28 0STFCL21F 0STFCL23 5 of Securities 1503844 499267 22129980 5402060 5322900 724548 902587 6 Issue Price (Rs.) Rs. 1000/- Rs. 1000/- Rs. 1000/- Rs. 1000/- Rs. 1000/- Rs. 1000/- Rs. 1000/- 7 Nominal Value (Rs.) Rs. 1000/- Rs. 1000/- Rs. 1000/- Rs. 1000/- Rs. 1000/- Rs. 1000/- Rs. 1000/- 8 Paid up value (Rs.) Rs. 1000/- Rs. 1000/- Rs. 1000/- Rs. 1000/- Rs. 1000/- Rs. 1000/- Rs. 1000/- 9 Distinctive Numbers 0000001 to 1503844 0000001 to 499267 0000001 to 22129980 0000001 to 5402060 0000001 to 5322900 0000001 to 724548 0000001 to 902587 10 ISIN Code INE721A07NT3 INE721A07NU1 INE721A07NV9 INE721A07NW7 INE721A07NX5 INE721A07NY3 INE721A07NZ0 11 Coupon Rate 8.93% 9.03% 9.10% 9.30% 9.40% NA NA 12 Additional incentive * 0.10% 0.10% 0.10% 0.10% 0.10% NA NA 13 Date of Allotment July 12, 2018 July 12, 2018 July 12, 2018 July 12, 2018 July 12, 2018 July 12, 2018 July 12, 2018 14 Interest Payment Dates Shriram Transport Finance Company Limited - 8 August 12, 2018 August 12, 2018 July 12, 2019 July 12, 2019 July 12, 2019 N.A. N.A. September 12, 2018 September 12, 2018 July 12, 2020 July 12, 2020 July 12, 2020 - - October 12, 2018 October 12, 2018 July 12, 2021 July 12, 2021 July 12, 2021 - - November 12, 2018 November 12, 2018 - July 12, 2022 July 12, 2022 - - December 12, 2018 December 12, 2018 - July 12, 2023 July 12, 2023 - - January 12, 2019 January 12, 2019 - - July 12, 2024 - - February 12, 2019 February 12, 2019 - - July 12, 2025 - - March 12, 2019 March 12, 2019 - - July 12, 2026 - - April 12, 2019 April 12, 2019 - - July 12, 2027 - - May 12, 2019 May 12, 2019 - - July 12, 2028 - - June 12, 2019 June 12, 2019 - - - - - July 12, 2019 July 12, 2019 - - - - - August 12, 2019 August 12, 2019 - - - - - September 12, 2019 September 12, 2019 - - - - - October 12, 2019 October 12, 2019 - - - - - November 12, 2019 November 12, 2019 - - - - - December 12, 2019 December 12, 2019 - - - - - January 12, 2020 January 12, 2020 - - - - - February 12, 2020 February 12, 2020 - - - - - March 12, 2020 March 12, 2020 - - - - - April 12, 2020 April 12, 2020 - - - - - May 12, 2020 May 12, 2020 - - - - - June 12, 2020 June 12, 2020 - - - - - July 12, 2020 July 12, 2020 - - - - - August 12, 2020 August 12, 2020 - - - - - September 12, 2020 September 12, 2020 - - - - - October 12, 2020 October 12, 2020 - - - - - November 12, 2020 November 12, 2020 - - - - - December 12, 2020 December 12, 2020 - - - - - January 12, 2021 January 12, 2021 - - - - - February 12, 2021 February 12, 2021 - - - - - March 12, 2021 March 12, 2021 - - - - -

14 Interest Payment Dates April 12, 2021 April 12, 2021 - - - - - May 12, 2021 May 12, 2021 - - - - - June 12, 2021 June 12, 2021 - - - - - July 12, 2021 July 12, 2021 - - - - - August 12, 2021 August 12, 2021 - - - - - September 12, 2021 September 12, 2021 - - - - - October 12, 2021 October 12, 2021 - - - - - November 12, 2021 November 12, 2021 - - - - - December 12, 2021 December 12, 2021 - - - - - January 12, 2022 January 12, 2022 - - - - - February 12, 2022 February 12, 2022 - - - - - March 12, 2022 March 12, 2022 - - - - - April 12, 2022 April 12, 2022 - - - - - May 12, 2022 May 12, 2022 - - - - - June 12, 2022 June 12, 2022 - - - - - July 12, 2022 July 12, 2022 - - - - - August 12, 2022 August 12, 2022 - - - - - September 12, 2022 September 12, 2022 - - - - - October 12, 2022 October 12, 2022 - - - - - November 12, 2022 November 12, 2022 - - - - - December 12, 2022 December 12, 2022 - - - - - January 12, 2023 January 12, 2023 - - - - - February 12, 2023 February 12, 2023 - - - - - March 12, 2023 March 12, 2023 - - - - - April 12, 2023 April 12, 2023 - - - - - May 12, 2023 May 12, 2023 - - - - - June 12, 2023 June 12, 2023 - - - - - July 12, 2023 July 12, 2023 - - - - - - August 12, 2023 - - - - - - September 12, 2023 - - - - - - October 12, 2023 - - - - - - November 12, 2023 - - - - - - December 12, 2023 - - - - - - January 12, 2024 - - - - - - February 12, 2024 - - - - - - March 12, 2024 - - - - - - April 12, 2024 - - - - - - May 12, 2024 - - - - - - June 12, 2024 - - - - - - July 12, 2024 - - - - - - August 12, 2024 - - - - - - September 12, 2024 - - - - - - October 12, 2024 - - - - - - November 12, 2024 - - - - - - December 12, 2024 - - - - - - January 12, 2025 - - - - - - February 12, 2025 - - - - - - March 12, 2025 - - - - -

14 Interest Payment Dates - April 12, 2025 - - - - - - May 12, 2025 - - - - - - June 12, 2025 - - - - - - July 12, 2025 - - - - - - August 12, 2025 - - - - - - September 12, 2025 - - - - - - October 12, 2025 - - - - - - November 12, 2025 - - - - - - December 12, 2025 - - - - - - January 12, 2026 - - - - - - February 12, 2026 - - - - - - March 12, 2026 - - - - - - April 12, 2026 - - - - - - May 12, 2026 - - - - - - June 12, 2026 - - - - - - July 12, 2026 - - - - - - August 12, 2026 - - - - - - September 12, 2026 - - - - - - October 12, 2026 - - - - - - November 12, 2026 - - - - - - December 12, 2026 - - - - - - January 12, 2027 - - - - - - February 12, 2027 - - - - - - March 12, 2027 - - - - - - April 12, 2027 - - - - - - May 12, 2027 - - - - - - June 12, 2027 - - - - - - July 12, 2027 - - - - - - August 12, 2027 - - - - - - September 12, 2027 - - - - - - October 12, 2027 - - - - - - November 12, 2027 - - - - - - December 12, 2027 - - - - - - January 12, 2028 - - - - - - February 12, 2028 - - - - - - March 12, 2028 - - - - - - April 12, 2028 - - - - - - May 12, 2028 - - - - - - June 12, 2028 - - - - - - July 12, 2028 - - - - - 15 Date of Redemption July 12, 2023 July 12, 2028 July 12, 2021 July 12, 2023 July 12, 2028 July 12, 2021 July 12, 2023 16 Coupon Frequency Monthly Monthly Annual Annual Annual Cumulative Cumulative

17 Redemption amount (Rs. Per ) 1000 1000 1000 1000 1000 18 Rating Agency, Rating Date and Credit Rating 19 Put/Call Option For who fall For who fall under Category I and/or under Category I and/or Category II on the record Category II on the record date date the amount payable on the amount payable on redemption for s will be redemption for s will be Rs.1298.91 per. For Rs.1560.30 per. For holders who fall under holders who fall under Category III and/or Category Category III and/or Category IV on the record date the IV on the record date the amount payable on amount payable on redemption for s will be redemption for s will be Rs. 1,302.49 per. Rs. 1567.45 per. CRISIL AA+/Stable by CRISIL for an amount of up to Rs. 5,00,000 lakhs vide its letter dated June 8, 2018 and IND AA+: Outlook Stable by India Ratings and Research for an amount of up to Rs. 5,00,000 lakhs vide its letter dated June 8, 2018. * holding Series I, Series II, Series III, Series IV and/or Series V s, who fall under Category III or Category IV on the relevant Record Date, shall be eligible for an additional incentive of 0.10% p.a. for the interest payable for s under Series I, Series II, Series III, Series IV and/or Series V on the respective Interest Payment date. * The initial allottees under Category III and Category IV in the proposed Tranche 1 Issue Senior Citizens on the date of Allotment shall be eligible for total additional incentive of 0.35% p.a. (which includes the incentive of 0.10% as mentioned in above paragraph) provided the s issued under the proposed Tranche 1 Issue are continued to be held by such investors under Category III and Category IV on the relevant Record Date for the relevant Interest Payment date for Series I, Series II, Series III, Series IV and/or Series V. Accordingly, the amount payable on redemption to such Senior Citizens for s under series VI and Series VII is ` 1,311.46 and ` 1,585.45 per respectively.