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Bond List (Page 284 of 621)

Bond Name ISIN Interest Rate Principal Interest Frequency Maturity
OXYZO FINANCIAL SERVICES LIMITED 9.90 NCD 15FB27 FVRS1LAC INE04VS07321 9.9% 100000 Yearly 15 Feb 2027
ANAND RATHI GLOBAL FINANCE LIMITED SR II ARG26SPSX139 BR NCD 23FB36 FVRS1LAC INE093JC7FN3 0% 100000 On Maturity 23 Feb 2036
ANAND RATHI GLOBAL FINANCE LIMITED SR III ARG26SPSX140 BR NCD 24FB36 FVRS1LAC INE093JC7FO1 0% 100000 On Maturity 24 Feb 2036
ANAND RATHI GLOBAL FINANCE LIMITED SR I ARG26SPSX140 BR NCD 10JU31 FVRS1LAC INE093JC7FP8 0% 100000 On Maturity 10 Jun 2031
ANAND RATHI GLOBAL FINANCE LIMITED SR IV ARG26SPSX140 BR NCD 24FB36 FVRS1LAC INE093JC7FQ6 0% 100000 On Maturity 24 Feb 2036
ANAND RATHI GLOBAL FINANCE LIMITED SR II ARG26SPSX140 BR NCD 24FB36 FVRS1LAC INE093JC7FR4 0% 100000 On Maturity 24 Feb 2036
CASA GRANDE GRACE PRIVATE LIMITED 13.40 NCD 24NV27 FVRS25LAC INE0B3K07041 13.4% 2500000 Monthly 24 Nov 2027
SHIVALAYA CONSTRUCTION LIMITED TR 1 10.5 NCD 25AG28 FVRS5LAC INE0CTD07074 10.5% 500000 Monthly 25 Aug 2028
TTIL 13.25 14112028 INE0D7Q07SI8 13.25% 1000 Monthly 14 Nov 2028
TTIL 14.12 14012031 INE0D7Q07SJ6 14.12% 1000 On Maturity 14 Jan 2031
AFIPL 13.50 01052027 INE0GA407754 13.5% 100000 Monthly 01 May 2027
BRD SECURITIES LTD SERIES BC RR NCD 10NV27 FVRS1000 INE04WF07219 0% 1000 Yearly 10 Nov 2027
BRD SECURITIES LTD SERIES BA RR NCD 28OT27 FVRS1000 INE04WF07227 0% 1000 Yearly 28 Oct 2027
BRD SECURITIES LTD SERIES BA RR NCD 28OT27 FVRS1000 INE04WF07235 0% 1000 Yearly 28 Oct 2027
BRD SECURITIES LTD SERIES BB RR NCD 10NV27 FVRS1000 INE04WF07243 0% 1000 Monthly 10 Nov 2027
BRD SECURITIES LTD SERIES BB RR NCD 10NV27 FVRS1000 INE04WF07250 0% 1000 Yearly 10 Nov 2027
BRD SECURITIES LTD SERIES BD MTHLY RR NCD 10NV27 FVRS1000 INE04WF07268 0% 1000 Monthly 10 Nov 2027
BRD SECURITIES LTD SERIES BE MTHLY RR NCD 10NV27 FVRS1000 INE04WF07276 0% 1000 Monthly 10 Nov 2027
BRD SECURITIES LTD SERIES BF ANNUAL RR NCD 08JN28 FVRS1000 INE04WF07284 0% 1000 Yearly 08 Jan 2028
BRD SECURITIES LTD SERIES BF MTHLY RR NCD 08JN28 FVRS1000 INE04WF07292 0% 1000 Monthly 08 Jan 2028
BRD SECURITIES LTD SERIES BG MTHLY RR NCD 26FB28 FVRS1000 INE04WF07300 0% 1000 Monthly 26 Feb 2028
BRD SECURITIES LTD SERIES BG ANNUAL RR NCD 26FB28 FVRS1000 INE04WF07318 0% 1000 Monthly 26 Feb 2028
BRD SECURITIES LTD SERIES BH MTHLY RR NCD 26MR28 FVRS1000 INE04WF07326 0% 1000 Monthly 26 Mar 2028
BRD SECURITIES LTD SERIES BH RR NCD 26MR28 FVRS1000 INE04WF07334 0% 1000 Yearly 26 Mar 2028
BRD SECURITIES LTD SERIES BI RR NCD 05JU28 FVRS1000 INE04WF07342 0% 1000 Monthly 05 Jun 2028
BRD SECURITIES LTD SERIES BI RR 05JU28 FVRS1000 INE04WF07359 11.5% 1000 Yearly 05 Jun 2028
BRD SECURITIES LTD SERIES BJ RR NCD 03AG28 FVRS1000 INE04WF07367 0% 1000 Monthly 03 Aug 2028
BRD SECURITIES LTD SERIES BJ RR NCD 03AG28 FVRS1000 INE04WF07375 0% 1000 Yearly 03 Aug 2028
BRD SECURITIES LTD SERIES BK RR NCD 25SP28 FVRS1000 INE04WF07383 0% 1000 Yearly 25 Sept 2028
BRD SECURITIES LTD SERIES BC RR NCD 10NV27 FVRS1000 INE04WF07391 0% 1000 Monthly 10 Nov 2027
BRD SECURITIES LTD SERIES BM 11 NCD 02FB29 FVRS1000 INE04WF07409 11% 1000 Monthly 02 Feb 2029
BRD SECURITIES LTD SERIES BM 11.5 NCD 02FB29 FVRS1000 INE04WF07417 11.5% 1000 Yearly 02 Feb 2029
BRD SECURITIES LTD SERIES BL 11 NCD 03DC28 FVRS1000 INE04WF07425 11% 1000 Monthly 03 Dec 2028
BRD SECURITIES LTD SERIES BL 11.5 NCD 03DC28 FVRS1000 INE04WF07433 11.5% 1000 Yearly 03 Dec 2028
BRD SECURITIES LTD SERIES BN 11 NCD 20MR29 FVRS1000 INE04WF07441 11% 1000 Monthly 20 Mar 2029
BRD SECURITIES LTD SERIES BN 11.5 NCD 20MR29 FVRS1000 INE04WF07458 11.5% 1000 Yearly 20 Mar 2029
BRD SECURITIES LTD SERIES BO 11 NCD 30MR29 FVRS1000 INE04WF07466 11% 1000 Monthly 30 Mar 2029
BRD SECURITIES LTD SERIES BO 11.5 NCD 30MR29 FVRS1000 INE04WF07474 11.5% 1000 Yearly 30 Mar 2029
BRD SECURITIES LTD BP RR NCD 29MY29 FVRS1000 INE04WF07482 0% 1000 Monthly 29 May 2029
AFIPL 13.50 01052027 INE0GA407762 13.5% 100000 On Maturity 01 May 2027
GARGANTUAN INDUSTRIAL SPACE SOLUTIONS PRIVATE LIMITED SR VI 10 20DC45 FVRS100 INE0I8508110 10% 100 Yearly 20 Dec 2045
BRD SECURITIES LTD BP RR NCD 29MY29 FVRS1000 INE04WF07490 0% 1000 Yearly 29 May 2029
BRD SECURITIES LTD BQ RR NCD 29JU29 FVRS1000 INE04WF07516 0% 1000 Monthly 29 Jun 2029
BRD SECURITIES LTD BQ RR NCD 29JU29 FVRS1000 INE04WF07524 0% 1000 Yearly 29 Jun 2029
BRD SECURITIES LTD SR BR-ANLY RR NCD 31AG29 FVRS1000 INE04WF07532 0% 1000 Yearly 31 Aug 2029
BRD SECURITIES LTD SR BR MNTHLY RR NCD 31AG29 FVRS1000 INE04WF07540 0% 1000 Monthly 31 Aug 2029
BRD SECURITIES LTD SR BS MTH RR NCD 01NV29 FVRS1000 INE04WF07557 0% 1000 Monthly 01 Nov 2029
BRDSL RESET 01112029 INE04WF07565 0% 1000 Monthly 01 Nov 2029
BRDSL 11.00 31012026 INE04WF07623 11% 1000 Monthly 31 Jan 2026
BRD SECURITIES LTD SR BU ANL SCHEME 2 11.50 NCD 31JN26 FVRS1000 INE04WF07649 11.5% 1000 Yearly 31 Jan 2026