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Bond List (Page 277 of 700)

Bond Name ISIN Interest Rate Principal Interest Frequency Maturity
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 05NV31 FVRS100 INE03BG08021 0% 100 NA 05 Nov 2031
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 02JU32 FVRS100 INE03BG08039 0% 100 NA 02 Jun 2032
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 15AG32 FVRS100 INE03BG08047 0% 100 NA 15 Aug 2032
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 11JN31 FVRS10000 INE03BG08054 0% 10000 NA 11 Jan 2031
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 11JU33 FVRS100 INE03BG08062 0% 100 NA 11 Jun 2033
TAPIR CONSTRUCTIONS LIMITED SR I TR I 12.50 NCD 12MR30 FVRS1LAC INE00DJ07052 12.5% 100000 Monthly 12 Mar 2030
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 09JL33 FVRS100 INE03BG08070 0% 100 NA 09 Jul 2033
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 02AG33 FVRS100 INE03BG08088 0% 100 NA 02 Aug 2033
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 13SP33 FVRS100 INE03BG08096 0% 100 NA 13 Sept 2033
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 04OT33 FVRS100 INE03BG08104 0% 100 NA 04 Oct 2033
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 09NV33 FVRS100 INE03BG08112 0% 100 NA 09 Nov 2033
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 03DC33 FVRS100 INE03BG08120 0% 100 NA 03 Dec 2033
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 01JN34 FVRS100 INE03BG08138 0% 100 NA 01 Jan 2034
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 31JN34 FVRS100 INE03BG08146 0% 100 NA 31 Jan 2034
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 03MR34 FVRS100 INE03BG08153 0% 100 NA 03 Mar 2034
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 28MR34 FVRS100 INE03BG08161 0% 100 NA 28 Mar 2034
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 02MY34 FVRS100 INE03BG08179 0% 100 NA 02 May 2034
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 02JU34 FVRS100 INE03BG08187 0% 100 NA 02 Jun 2034
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 02JL34 FVRS100 INE03BG08195 0% 100 NA 02 Jul 2034
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 04AG34 FVRS100 INE03BG08203 0% 100 NA 04 Aug 2034
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 01SP34 FVRS100 INE03BG08211 0% 100 NA 01 Sept 2034
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 29SP34 FVRS100 INE03BG08229 0% 100 NA 29 Sept 2034
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 29OT34 FVRS100 INE03BG08237 0% 100 NA 29 Oct 2034
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 29NV34 FVRS100 INE03BG08245 0% 100 NA 29 Nov 2034
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 30DC34 FVRS100 INE03BG08252 0% 100 NA 30 Dec 2034
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 29JN35 FVRS100 INE03BG08260 0% 100 NA 29 Jan 2035
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 27FB35 FVRS100 INE03BG08278 0% 100 NA 27 Feb 2035
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 28MR35 FVRS100 INE03BG08286 0% 100 NA 28 Mar 2035
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 29AP35 FVRS100 INE03BG08294 0% 100 NA 29 Apr 2035
SHOPSENSE RETAIL TECHNOLOGIES LIMITED OCD 29MY35 FVRS100 INE03BG08302 0% 100 NA 29 May 2035
SPRNG AGNITRA PRIVATE LIMITED 10 OCD 09OT34 FVRS10 INE03BS08042 10% 10 Half Yearly 09 Oct 2034
KOTAK ALTERNATE ASSET MANAGERS LIMITED SR F 10 NCD 26SP25 FVRS1CR INE03BW08069 10% 10000000 Yearly 26 Sept 2025
KOTAK ALTERNATE ASSET MANAGERS LIMITED 8.7 NCD 24FB26 FVRS1CR INE03BW08077 8.7% 10000000 Yearly 24 Feb 2026
MAC CHARLES HUB PROJECTS PRIVATE LIMITED SR B NCD 15DC30 FVRS1LAC INE09T907027 0% 100000 NA 15 Dec 2030
KOTAK ALTERNATE ASSET MANAGERS LIMITED 8.63 NCD 11SP26 FVRS1CR INE03BW08085 8.63% 10000000 Yearly 11 Sept 2026
KOTAK ALTERNATE ASSET MANAGERS LIMITED SR I 8.50 NCD 20DC27 FVRS1CR INE03BW08093 8.5% 10000000 Yearly 20 Dec 2027
KOTAK ALTERNATE ASSET MANAGERS LIMITED SR J 8.50 NCD 03FB28 FVRS1CR INE03BW08101 8.5% 10000000 Yearly 03 Feb 2028
KOTAK ALTERNATE ASSET MANAGERS LIMITED SR K 8 NCD 17AP28 FVRS1CR INE03BW08119 8% 10000000 Yearly 17 Apr 2028
PUNJAB KASHMIR FINANCE LIMITED SR 31 NOR COM YRLY 7.50 NCD 31OT25 FVRS1000 INE03CO07405 7.5% 1000 On Maturity 31 Oct 2025
PUNJAB KASHMIR FINANCE LIMITED SR 30 7.50 NCD 31AG25 FVRS1000 INE03CO07470 7.5% 1000 On Maturity 31 Aug 2025
PUNJAB KASHMIR FINANCE LIMITED SR 30 8 NCD 30AG25 FVRS1000 INE03CO07504 8% 1000 On Maturity 30 Aug 2025
PUNJAB KASHMIR FINANCE LIMITED SR 30 7.85 NCD 31AG25 FVRS1000 INE03CO07520 7.85% 1000 Quarterly 31 Aug 2025
PUNJAB KASHMIR FINANCE LIMITED SR 32 7.75 NCD 31DC25 FVRS1000 INE03CO07579 7.75% 1000 On Maturity 31 Dec 2025
PUNJAB KASHMIR FINANCE LIMITED SR 32 7.65 NCD 31DC25 FVRS1000 INE03CO07595 7.65% 1000 Quarterly 31 Dec 2025
PUNJAB KASHMIR FINANCE LIMITED SR 33 7.40 NCD 27FB26 FVRS1000 INE03CO07652 7.4% 1000 Quarterly 27 Feb 2026
PUNJAB KASHMIR FINANCE LIMITED SR 42 7.25 NCD 31AG25 FVRS1000 INE03CO07843 7.25% 1000 On Maturity 31 Aug 2025
PUNJAB KASHMIR FINANCE LIMITED SR 43 7.50 NCD 31OT25 FVRS1000 INE03CO07850 7.5% 1000 On Maturity 31 Oct 2025
PUNJAB KASHMIR FINANCE LIMITED SR 43 7.9 NCD 31OT25 FVRS1000 INE03CO07868 7.9% 1000 Quarterly 31 Oct 2025
PUNJAB KASHMIR FINANCE LIMITED SR 43 8 NCD 31OT25 FVRS1000 INE03CO07876 8% 1000 On Maturity 31 Oct 2025
PUNJAB KASHMIR FINANCE LIMITED SR 44 CITZ CUM 8 NCD 31DC25 FVRS1000 INE03CO07884 8% 1000 On Maturity 31 Dec 2025