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Bond List (Page 308 of 545)

Bond Name ISIN Interest Rate Principal Interest Frequency Maturity
EMBASSY CONSTRUCTION PVT LTD SR II 7.95 NCD 21JN28 FVRS1LAC INE0CUM07024 7.95% 100000 Quarterly 21 Jan 2028
PURPLE FINANCE LIMITED 12 NCD 03AP29 FVRS1LAC INE0CYK08010 12% 100000 Quarterly 03 Apr 2029
PURPLE FINANCE LIMITED 12.50 NCD 03JN26 FVRS1LAC INE0CYK08028 12.5% 100000 Monthly 03 Jan 2026
PURPLE FINANCE LIMITED 12.50 NCD 19MR26 FVRS1LAC INE0CYK08036 12.5% 100000 Monthly 19 Mar 2026
PURPLE FINANCE LIMITED 12.50 NCD 19JN26 FVRS1LAC INE0CYK08044 12.5% 100000 Monthly 19 Jan 2026
PURPLE FINANCE LIMITED 12.50 NCD 19FB26 FVRS1LAC INE0CYK08051 12.5% 100000 Monthly 19 Feb 2026
GOOD HOST SPACES (SONIPAT) PRIVATE LIMITED OCD 25MY50 FVRS73730 INE0CZ008011 0% 73730 NA 25 May 2050
RENEW SOLAR URJA PRIVATE LIMITED 8 OCD 15FB47 FVRS100 INE0CZ508010 8% 100 Yearly 15 Feb 2047
PURPLE PANDA FASHIONS LIMITED OCD 31MY32 FVRS100 INE0CZR08012 0% 100 NA 31 May 2032
PURPLE PANDA FASHIONS LIMITED OCD 13DC32 FVRS100 INE0CZR08020 0% 100 NA 13 Dec 2032
PURPLE PANDA FASHIONS LIMITED OCD 20FB33 FVRS100 INE0CZR08038 0% 100 NA 20 Feb 2033
LOCON SOLUTIONS PRIVATE LIMITED 0.01 CCD 22JL30 FVRS1 INE0D1L08015 0.01% 1 Yearly 22 Jul 2030
LOCON SOLUTIONS PRIVATE LIMITED CCD 14DC30 FVRS1 INE0D1L08023 0% 1 NA 14 Dec 2030
RAW PRESSERY PRIVATE LIMITED TR1 17 NCD 15JN26 FVRS10LAC INE0D2207017 17% 1000000 Monthly 15 Jan 2026
TEXT MERCATO SOLUTIONS PRIVATE LIMITED 0.01 CCD 14MY27 FVRS10 INE0D2P08022 0.01% 10 On Maturity 14 May 2027
NXT - INFRA MCP HIGHWAYS PRIVATE LIMITED RR OCD 30SP38 FVRS100 INE0D3B08038 0% 100 Irregular Occurrence 30 Sept 2038
NXT - INFRA MCP HIGHWAYS PRIVATE LIMITED RR OCD 30JU38 FVRS100 INE0D3B08046 0% 100 Irregular Occurrence 30 Jun 2038
NXT - INFRA MCP HIGHWAYS PRIVATE LIMITED 12 OCD 23DC37 FVRS100 INE0D3B08053 12% 100 Irregular Occurrence 23 Dec 2037
TEPSOL PHOTOVOLTAIC POWER VENTURES PRIVATE LIMITED RR CCD 02AP30 FVRS10 INE0D3S08016 0% 10 At Any Time 02 Apr 2030
IVY ENTERTAINMENT PRIVATE LIMITED 10 CCD 23JL25 FVRS10 INE0D3Z08037 10% 10 Yearly 23 Jul 2025
IVY ENTERTAINMENT PRIVATE LIMITED 10 CCD 26NV25 FVRS10 INE0D3Z08045 10% 10 Yearly 26 Nov 2025
IVY ENTERTAINMENT PRIVATE LIMITED 10 CCD 03FB26 FVRS10 INE0D3Z08052 10% 10 Yearly 03 Feb 2026
IVY ENTERTAINMENT PRIVATE LIMITED 10 CCD 19AG26 FVRS10 INE0D3Z08060 10% 10 Yearly 19 Aug 2026
IVY ENTERTAINMENT PRIVATE LIMITED 10 CCD 09JN27 FVRS10 INE0D3Z08078 10% 10 Yearly 09 Jan 2027
IVY ENTERTAINMENT PRIVATE LIMITED 10 CCD 12OT27 FVRS10 INE0D3Z08086 10% 10 Yearly 12 Oct 2027
IVY ENTERTAINMENT PRIVATE LIMITED 10 CCD 01MR28 FVRS10 INE0D3Z08094 10% 10 Yearly 01 Mar 2028
IVY ENTERTAINMENT PRIVATE LIMITED 10 CCD 01MY28 FVRS10 INE0D3Z08102 10% 10 Yearly 01 May 2028
IVY ENTERTAINMENT PRIVATE LIMITED 10 CCD 14JU28 FVRS10 INE0D3Z08110 10% 10 Yearly 14 Jun 2028
IVY ENTERTAINMENT PRIVATE LIMITED 10 CCD 17AG28 FVRS10 INE0D3Z08128 10% 10 Yearly 17 Aug 2028
IVY ENTERTAINMENT PRIVATE LIMITED 10 CCD 07JN29 FVRS10 INE0D3Z08136 10% 10 Yearly 07 Jan 2029
IVY ENTERTAINMENT PRIVATE LIMITED 10 CCD 26JN29 FVRS10 INE0D3Z08144 10% 10 Yearly 26 Jan 2029
IVY ENTERTAINMENT PRIVATE LIMITED 10 CCD 07AP29 FVRS10 INE0D3Z08151 10% 10 Yearly 07 Apr 2029
IVY ENTERTAINMENT PRIVATE LIMITED 10 CCD 07NV29 FVRS10 INE0D3Z08169 10% 10 Yearly 07 Nov 2029
IVY ENTERTAINMENT PRIVATE LIMITED 10 CCD 28AP30 FVRS10 INE0D3Z08177 10% 10 Yearly 28 Apr 2030
ADANI ELECTRICITY MUMBAI INFRA LIMITED 11 LOA 28NV25 FVRS100 INE0D4F08011 11% 100 On Maturity 28 Nov 2025
AVAADA SUNCE ENERGY PRIVATE LIMITED 7.75 OCD 17MR44 FVRS10 INE0D5J08069 7.75% 10 Yearly 17 Mar 2044
SHILPA BIOLOGICALS PRIVATE LIMITED 13.05 LOA 10AG26 FVRS1LAC INE0D5O07012 13.05% 100000 Monthly 10 Aug 2026
ORAVAN INDUSTRIAL LOGISTICS AND WAREHOUSING PRIVATE LIMITED SR III 11.18 OCD 30AG42 FVRS240 INE0D7J08016 11.18% 240 Yearly 30 Aug 2042
ORAVAN INDUSTRIAL LOGISTICS AND WAREHOUSING PRIVATE LIMITED SR I 13.11 OCD 07JL40 FVRS200 INE0D7J08024 13.11% 200 Yearly 07 Jul 2040
ORAVAN INDUSTRIAL LOGISTICS AND WAREHOUSING PRIVATE LIMITED SR I 13.70 NCD 18JL40 FVRS100 INE0D7J08032 13.7% 100 Yearly 18 Jul 2040
ORAVAN INDUSTRIAL LOGISTICS AND WAREHOUSING PRIVATE LIMITED SR II 11.19 OCD 11MY42 FVRS220 INE0D7J08040 11.19% 220 Yearly 11 May 2042
TTIL 15.71 15102025 INE0D7Q07161 15.71% 1000 On Maturity 15 Oct 2025
TTIL 15.71 29082025 INE0D7Q07237 15.71% 1000 On Maturity 29 Aug 2025
TTIL 15.71 29092025 INE0D7Q07336 15.71% 1000 On Maturity 29 Sept 2025
TTIL 15.71 29102025 INE0D7Q07435 15.71% 1000 On Maturity 29 Oct 2025
TTIL 15.71 26112025 INE0D7Q07526 15.71% 1000 On Maturity 26 Nov 2025
TREASURE TREE INVESTMENTS LIMITED SR XXXXXIV 15.71 NCD 26NV25 FVRS1000 INE0D7Q07534 15.71% 1000 On Maturity 26 Nov 2025
TTIL 15.71 30122025 INE0D7Q07658 15.71% 1000 On Maturity 30 Dec 2025
TTIL 14.87 29112026 INE0D7Q07AV9 14.87% 1000 Yearly 29 Nov 2026
TTIL 14.87 14012027 INE0D7Q07BH6 14.87% 1000 Half Yearly 14 Jan 2027