Eon Electric Limited announced the default on loans, Including revolving facilities like cash credit, from banks or financial institutions which continues beyond 30 days from the date of default in the prescribed format C2 as on the last date on the last date of the quarter ended 31 March 2020. Total amount outstanding as on 31 March 2020 INR 293.2 million. Total amount outstanding amount of default as on date: Principal was INR 16.8 million and Interest was INR 26.4 million.