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Bond List (Page 193 of 544)

Bond Name ISIN Interest Rate Principal Interest Frequency Maturity
PRODIGEE FINANCE LIMITED SR XXXVIII 12 NCD 28NV29 FVRS1000 INE02A207483 12% 1000 Monthly 28 Nov 2029
PRODIGEE FINANCE LIMITED SR XXXIX 13 NCD 03DC29 FVRS1000 INE02A207491 13% 1000 Monthly 03 Dec 2029
PRODIGEE FINANCE LIMITED SR XL 12 NCD 25DC29 FVRS1000 INE02A207509 12% 1000 Monthly 25 Dec 2029
PRODIGEE FINANCE LIMITED SR XLI 12 NCD 29JN30 FVRS1000 INE02A207517 12% 1000 Monthly 29 Jan 2030
PRODIGEE FINANCE LIMITED SR XLII 13 NCD 05FB30 FVRS1000 INE02A207525 13% 1000 Monthly 05 Feb 2030
PRODIGEE FINANCE LIMITED SR XLIII 13 NCD 05MR30 FVRS1000 INE02A207533 13% 1000 Monthly 05 Mar 2030
PRODIGEE FINANCE LIMITED SR XLV 12 NCD 07AP30 FVRS1000 INE02A207541 12% 1000 Monthly 07 Apr 2030
PRODIGEE FINANCE LIMITED SR XLIV 12 NCD 26MR30 FVRS1000 INE02A207558 12% 1000 Monthly 26 Mar 2030
PRODIGE 13.50 280430 INE02A207566 13.5% 1000 Monthly 28 Apr 2030
PRODIGEE FINANCE LIMITED SR XLVII 12 NCD 23MY30 FVRS1000 INE02A207574 12% 1000 Monthly 23 May 2030
PRODIGE 12.00 250630 INE02A207582 12% 1000 Monthly 25 Jun 2030
PRODIGEE FINANCE LIMITED SR XLIX 12 NCD 29JL30 FVRS1000 INE02A207590 12% 1000 Monthly 29 Jul 2030
PRODIGEE FINANCE LIMITED SR L 12 NCD 26AG30 FVRS1000 INE02A207608 12% 1000 Monthly 26 Aug 2030
PRODIGEE FINANCE LIMITED SR LI 12 NCD 24SP30 FVRS1000 INE02A207616 12% 1000 Monthly 24 Sept 2030
PRODIGEE FINANCE LIMITED SR LII 12 NCD 24OT30 FVRS1000 INE02A207624 12% 1000 Monthly 24 Oct 2030
PRODIGEE FINANCE LIMITED SR LV 12 NCD 18DC30 FVRS1000 INE02A207632 12% 1000 Monthly 18 Dec 2030
PRODIGEE FINANCE LIMITED SR LVI 12 NCD 16FB31 FVRS1000 INE02A207640 12% 1000 Monthly 16 Feb 2031
PRODIGEE FINANCE LIMITED SR LX 12 NCD 07MY31 FVRS1000 INE02A207673 12% 1000 Monthly 07 May 2031
PRODIGEE FINANCE LIMITED SR LIV 13 NCD 25NV30 FVRS1000 INE02A208010 13% 1000 Monthly 25 Nov 2030
PRODIGE 13.00 241130 INE02A208028 13% 1000 Monthly 24 Nov 2030
PRODIGEE FINANCE LIMITED SR LVII 13 NCD 18FB31 FVRS1000 INE02A208036 13% 1000 Monthly 18 Feb 2031
SEPL ENERGY PRIVATE LIMITED CCD 28MR29 RR FVRS1000 INE02AT08010 0% 1000 Half Yearly 28 Mar 2029
SEPL ENERGY PRIVATE LIMITED RR CCD 29MY29 FVRS1000 INE02AT08036 0% 1000 Half Yearly 29 May 2029
LITTLE INTERNET PRIVATE LIMITED 10 OCD 30JL33 FVRS10 INE02B108011 10% 10 On Maturity 30 Jul 2033
LITTLE INTERNET PRIVATE LIMITED 10 OCD 19SP33 FVRS10 INE02B108029 10% 10 On Maturity 19 Sept 2033
IAC INTERNATIONAL AUTOMOTIVE INDIA PRIVATE LIMITED 0.01 OCD 08MR33 FVRS10 INE02B708018 0.01% 10 Yearly 08 Mar 2033
IAC INTERNATIONAL AUTOMOTIVE INDIA PRIVATE LIMITED 0.01 OCD 26MR33 FVRS10 INE02B708026 0.01% 10 Yearly 26 Mar 2033
IAC INTERNATIONAL AUTOMOTIVE INDIA PRIVATE LIMITED 0.01 OCD 02MY33 FVRS10 INE02B708034 0.01% 10 Yearly 02 May 2033
IAC INTERNATIONAL AUTOMOTIVE INDIA PRIVATE LIMITED 0.01 OCD 29JU33 FVRS10 INE02B708042 0.01% 10 Yearly 29 Jun 2033
IAC INTERNATIONAL AUTOMOTIVE INDIA PRIVATE LIMITED 0.01 OCD 29SP33 FVRS10 INE02B708059 0.01% 10 Yearly 29 Sept 2033
IAC INTERNATIONAL AUTOMOTIVE INDIA PRIVATE LIMITED 0.01 OCD 31JN34 FVRS10 INE02B708067 0.01% 10 Yearly 31 Jan 2034
PAYTM FINANCIAL SERVICES LIMITED 10 OCD 09MY32 FVRS10 INE02B808016 10% 10 On Maturity 09 May 2032
VIVARDHANA MICROFINANCE LIMITED SR XI 12 NCD 12AG25 FVRS50000 INE02BB07273 12% 50000 Quarterly 12 Aug 2025
VIVARDHANA MICROFINANCE LIMITED SR XII 12 NCD 16FB26 FVRS50000 INE02BB07281 12% 50000 Quarterly 16 Feb 2026
VML 12.00 20092025 INE02BB07299 12% 50000 Quarterly 20 Sept 2025
VIVARDHANA MICROFINANCE LIMITED SR XIV 12 NCD 03JU26 FVRS50000 INE02BB07307 12% 50000 Quarterly 03 Jun 2026
VIVARDHANA MICROFINANCE LIMITED SR XV 12 NCD 18SP26 FVRS50000 INE02BB07315 12% 50000 Quarterly 18 Sept 2026
INTERACTIVE VISUAL SOLUTIONS PRIVATE LIMITED 0.0001 CCD 29MR7 FVRS100 INE02C708017 0% 100 On Maturity 29 Mar 2027
INTERACTIVE VISUAL SOLUTIONS PRIVATE LIMITED 0.0001 CCD 21AG28 FVRS100 INE02C708025 0% 100 On Maturity 21 Aug 2028
INTERACTIVE VISUAL SOLUTIONS PRIVATE LIMITED 0.0001 CCD 11JL33 FVRS100 INE02C708033 0% 100 On Maturity 11 Jul 2033
SMARTWEB INTERNET SERVICES LIMITED 0.0001% CCD 29JN30 FVRS100 INE02CE08018 0% 100 On Maturity 29 Jan 2030
GOLDEN GUILD PROPERTIES PRIVATE LIMITED NCD LOA 28NV27 FVRS1LAC INE02CG07023 0% 100000 NA 28 Nov 2027
ALLCARGO INLAND PARK PRIVATE LIMITED SR 1 0.0001 OCD 01FB40 FVRS10 INE02DV08010 0% 10 Yearly 01 Feb 2040
ALLCARGO INLAND PARK PRIVATE LIMITED CL B 0.0001 OCD 30JU41 FVRS10 INE02DV08028 0% 10 Yearly 30 Jun 2041
PNY SABHA FINANCE LIMITED SR 62 8.50 NCD 31MR27 FVRS1000 INE02DX07232 8.5% 1000 Monthly 31 Mar 2027
PNY SABHA FINANCE LIMITED SR 64 9 NCD 05DC25 FVRS1000 INE02DX07257 9% 1000 Monthly 05 Dec 2025
PNY SABHA FINANCE LIMITED SR 65 9 NCD 07FB26 FVRS1000 INE02DX07265 9% 1000 Monthly 07 Feb 2026
PNY SABHA FINANCE LIMITED SR 66 9 NCD 17MY26 FVRS1000 INE02DX07273 9% 1000 Monthly 17 May 2026
PNY SABHA FINANCE LIMITED SR 67 9 NCD 30JU26 FVRS1000 INE02DX07281 9% 1000 Monthly 30 Jun 2026
PNY SABHA FINANCE LIMITED SR 68 9 NCD 11OT26 FVRS1000 INE02DX07299 9% 1000 Monthly 11 Oct 2026