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Bond List (Page 226 of 544)

Bond Name ISIN Interest Rate Principal Interest Frequency Maturity
DBFS FINANCE AND LEASING (INDIA) LIMITED SR XXXVII 10.50 NCD 28JN30 FVRS1LAC INE05CL07AM3 10.5% 100000 Monthly 28 Jan 2030
DBFS FINANCE AND LEASING (INDIA) LIMITED SR XXXVIII 10.50 NCD 09MR30 FVRS1LAC INE05CL07AN1 10.5% 100000 Monthly 09 Mar 2030
DBFS FINANCE AND LEASING (INDIA) LIMITED SR XXXVIII NCD 09MR30 FVRS1LAC INE05CL07AO9 0% 100000 NA 09 Mar 2030
DBFS FINANCE AND LEASING (INDIA) LIMITED SR XXXIX 10.50 NCD 26MR30 FVRS1LAC INE05CL07AP6 10.5% 100000 Monthly 26 Mar 2030
DBFS FINANCE AND LEASING (INDIA) LIMITED SR XXXIX NCD 26MR30 FVRS1LAC INE05CL07AQ4 0% 100000 NA 26 Mar 2030
PERUNGUDI REAL ESTATES PRIVATE LIMITED SERIES A12 12 CCD 05AP37 FVRS100 INE05CV08015 12% 100 Yearly 05 Apr 2037
PERUNGUDI REAL ESTATES PRIVATE LIMITED SERIES A12 12 OCD 05AP37 FVRS100 INE05CV08023 12% 100 Quarterly 05 Apr 2037
PERUNGUDI REAL ESTATES PRIVATE LIMITED SERIES A3-A10 12 OCD 08MR36 FVRS100 INE05CV08031 12% 100 Yearly 08 Mar 2036
PERUNGUDI REAL ESTATES PRIVATE LIMITED SERIES A 12 CCD 08MR36 FVRS100 INE05CV08049 12% 100 Yearly 08 Mar 2036
PERUNGUDI REAL ESTATES PRIVATE LIMITED SERIES A11 12 CCD 26JN37 FVRS100 INE05CV08056 12% 100 Yearly 26 Jan 2037
PERUNGUDI REAL ESTATES PRIVATE LIMITED SERIES A11 OCD 26JN37 FVRS100 INE05CV08064 12% 1000 Yearly 26 Jan 2037
PERUNGUDI REAL ESTATES PRIVATE LIMITED SR B(I) 12 NCD 28AG25 FVRS100 INE05CV08098 12% 100 Yearly 28 Aug 2025
PERUNGUDI REAL ESTATES PRIVATE LIMITED SR B II 12 NCD 15JN26 FVRS100 INE05CV08106 12% 100 Yearly 15 Jan 2026
PERUNGUDI REAL ESTATES PRIVATE LIMITED SR C 12 NCD 18MY26 FVRS100 INE05CV08114 12% 100 Yearly 18 May 2026
PERUNGUDI REAL ESTATES PRIVATE LIMITED SR B 12 NCD 17FB26 FVRS100 INE05CV08122 12% 100 Yearly 17 Feb 2026
PERUNGUDI REAL ESTATES PRIVATE LIMITED SR A15 12 OCD 25MR30 FVRS100 INE05CV08130 12% 100 Yearly 25 Mar 2030
PERUNGUDI REAL ESTATES PRIVATE LIMITED SR A14 12 OCD 25MR30 FVRS100 INE05CV08148 12% 100 Yearly 25 Mar 2030
PERUNGUDI REAL ESTATES PRIVATE LIMITED SR A13 12 OCD 25MR30 FVRS100 INE05CV08155 12% 100 Yearly 25 Mar 2030
PERUNGUDI REAL ESTATES PRIVATE LIMITED SR F 12 NCD 25MR30 FVRS100 INE05CV08163 12% 100 Yearly 25 Mar 2030
PERUNGUDI REAL ESTATES PRIVATE LIMITED SR E 12 NCD 25MR30 FVRS100 INE05CV08171 12% 100 Yearly 25 Mar 2030
PERUNGUDI REAL ESTATES PRIVATE LIMITED SR G 12 NCD 25MR30 FVRS100 INE05CV08189 12% 100 Yearly 25 Mar 2030
PERUNGUDI REAL ESTATES PRIVATE LIMITED SR D 12 NCD 25MR30 FVRS100 INE05CV08197 12% 100 Yearly 25 Mar 2030
PRAYATNA MICROFINANCE LIMITED 12 OCD 11MR26 FVRS10 INE05DN08051 12% 10 Quarterly 11 Mar 2026
PRAYATNA MICROFINANCE LIMITED 12 OCD 28OT26 FVRS10 INE05DN08069 12% 10 Quarterly 28 Oct 2026
PRAYATNA MICROFINANCE LIMITED 12 OCD 19MY27 FVRS10 INE05DN08077 12% 10 Quarterly 19 May 2027
PRAYATNA MICROFINANCE LIMITED 12 OCD 19FB28 FVRS10 INE05DN08085 12% 10 Quarterly 19 Feb 2028
SHALIMAR LAKECITY PRIVATE LIMITED 16 NCD 11FB30 FVRS10000 INE05EB07015 16% 10000 Quarterly 11 Feb 2030
SHALIMAR LAKECITY PRIVATE LIMITED 16 NCD 05FB30 FVRS10000 INE05EB07023 16% 10000 Quarterly 05 Feb 2030
MML 13.33 10072027 INE05F407127 13.33% 1000 On Maturity 10 Jul 2027
MML 13.33 27072027 INE05F407184 13.33% 1000 On Maturity 27 Jul 2027
MML 14.29 23032027 INE05F407259 14.29% 1000 On Maturity 23 Mar 2027
MML 14.29 25052027 INE05F407309 14.29% 1000 On Maturity 25 May 2027
MML 11.29 16072025 INE05F407317 11.29% 1000 On Maturity 16 Jul 2025
MML 10.00 16072025 INE05F407325 10% 1000 Monthly 16 Jul 2025
MML 13.33 16122027 INE05F407333 13.33% 1000 On Maturity 16 Dec 2027
MML 9.25 19102025 INE05F407366 9.25% 1000 On Maturity 19 Oct 2025
MML 10.00 19102025 INE05F407374 10% 1000 On Maturity 19 Oct 2025
MML 12.50 19102028 INE05F407382 12.5% 1000 On Maturity 19 Oct 2028
MML 10.75 25112025 INE05F407416 10.75% 1000 On Maturity 25 Nov 2025
MML 10.00 25112025 INE05F407424 10% 1000 Monthly 25 Nov 2025
MML 13.33 25042026 INE05F407432 13.33% 1000 On Maturity 25 Apr 2026
MML 10.00 12012026 INE05F407465 10% 1000 Monthly 12 Jan 2026
MML 10.75 12012026 INE05F407473 10.75% 1000 On Maturity 12 Jan 2026
MML 13.33 12072028 INE05F407481 13.33% 1000 On Maturity 12 Jul 2028
MML 10.75 05072026 INE05F407523 10.75% 1000 On Maturity 05 Jul 2026
MML 13.79 05102027 INE05F407531 13.79% 1000 On Maturity 05 Oct 2027
MML 9.75 05072026 INE05F407549 9.75% 1000 Monthly 05 Jul 2026
MML 9.75 28092026 INE05F407556 9.75% 1000 Monthly 28 Sept 2026
MML 13.79 28122028 INE05F407598 13.79% 1000 On Maturity 28 Dec 2028
MML 9.75 11122026 INE05F407606 9.75% 1000 Monthly 11 Dec 2026