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Bond List (Page 311 of 545)

Bond Name ISIN Interest Rate Principal Interest Frequency Maturity
TREASURE TREE INVESTMENTS LIMITED SR 402 12.75 NCD 28JU27 FVRS1000 INE0D7Q07LV6 12.75% 1000 Monthly 28 Jun 2027
TREASURE TREE INVESTMENTS LIMITED SR 401 12.50 NCD 28JL25 FVRS1000 INE0D7Q07LW4 12.5% 1000 Monthly 28 Jul 2025
TREASURE TREE INVESTMENTS LIMITED SR 399 12 NCD 28JL25 FVRS1000 INE0D7Q07LX2 12% 1000 Monthly 28 Jul 2025
TREASURE TREE INVESTMENTS LIMITED SR 400 12.25 NCD 28JL25 FVRS1000 INE0D7Q07LY0 12.25% 1000 On Maturity 28 Jul 2025
TTIL 13.25 28062027 INE0D7Q07MA8 13.25% 1000 On Maturity 28 Jun 2027
TTIL 13.75 28062027 INE0D7Q07MB6 13.75% 1000 On Maturity 28 Jun 2027
TTIL 14.12 28082029 INE0D7Q07MC4 14.12% 1000 On Maturity 28 Aug 2029
TREASURE TREE INVESTMENTS LIMITED SR 418 12.75 NCD 15AG27 FVRS1000 INE0D7Q07MD2 12.75% 1000 Monthly 15 Aug 2027
TREASURE TREE INVESTMENTS LIMITED SR 414 12 NCD 15SP25 FVRS1000 INE0D7Q07ME0 12% 1000 Monthly 15 Sept 2025
TREASURE TREE INVESTMENTS LIMITED SR 416 12.25 NCD 15SP25 FVRS1000 INE0D7Q07MF7 12.25% 1000 On Maturity 15 Sept 2025
TREASURE TREE INVESTMENTS LIMITED SR 423 14.12% NCD 15OT29 FVRS1000 INE0D7Q07MG5 14.12% 1000 On Maturity 15 Oct 2029
TREASURE TREE INVESTMENTS LIMITED SR 424 12% NCD 15SP25 FVRS1000 INE0D7Q07MH3 12% 1000 Monthly 15 Sept 2025
TREASURE TREE INVESTMENTS LIMITED SR 425 12.25% NCD 15SP25 FVRS1000 INE0D7Q07MI1 12.25% 1000 On Maturity 15 Sept 2025
TREASURE TREE INVESTMENTS LIMITED SR 426 12.75% NCD 15AG27 FVRS1000 INE0D7Q07MJ9 12.75% 1000 Monthly 15 Aug 2027
TREASURE TREE INVESTMENTS LIMITED SR 427 12.75% NCD 15SP25 FVRS1000 INE0D7Q07MK7 12.75% 1000 On Maturity 15 Sept 2025
TREASURE TREE INVESTMENTS LIMITED SR 428 13.75% NCD 15AG27 FVRS1000 INE0D7Q07ML5 13.75% 1000 On Maturity 15 Aug 2027
TREASURE TREE INVESTMENTS LIMITED SR 419 12.75% NCD 15SP25 FVRS1000 INE0D7Q07MM3 12.75% 1000 On Maturity 15 Sept 2025
TREASURE TREE INVESTMENTS LIMITED SR 441 13.25 NCD 29SP27 FVRS1000 INE0D7Q07MS0 13.25% 1000 Monthly 29 Sept 2027
TREASURE TREE INVESTMENTS LIMITED SR 442 14.12 NCD 29NV29 FVRS1000 INE0D7Q07MT8 14.12% 1000 On Maturity 29 Nov 2029
TREASURE TREE INVESTMENTS LIMITED SR 440 12.75 NCD 29OT25 FVRS1000 INE0D7Q07MU6 12.75% 1000 On Maturity 29 Oct 2025
TREASURE TREE INVESTMENTS LIMITED SR 439 12.75 NCD 29SP27 FVRS1000 INE0D7Q07MV4 12.75% 1000 Monthly 29 Sept 2027
TREASURE TREE INVESTMENTS LIMITED SR 438 12.25 NCD 29OT25 FVRS1000 INE0D7Q07MW2 12.25% 1000 On Maturity 29 Oct 2025
TREASURE TREE INVESTMENTS LIMITED SR 437 12 NCD 29OT25 FVRS1000 INE0D7Q07MX0 12% 1000 Monthly 29 Oct 2025
TREASURE TREE INVESTMENTS LIMITED SR 436 14.12 NCD 29NV29 FVRS1000 INE0D7Q07MY8 14.12% 1000 On Maturity 29 Nov 2029
TREASURE TREE INVESTMENTS LIMITED SR 429 12 NCD 29OT25 FVRS1000 INE0D7Q07MZ5 12% 1000 Monthly 29 Oct 2025
TREASURE TREE INVESTMENTS LIMITED SR 434 13.25 NCD 29SP27 FVRS1000 INE0D7Q07NA6 13.25% 1000 Monthly 29 Sept 2027
TREASURE TREE INVESTMENTS LIMITED SR 433 12.75 NCD 29OT25 FVRS1000 INE0D7Q07NB4 12.75% 1000 On Maturity 29 Oct 2025
TREASURE TREE INVESTMENTS LIMITED SR 432 12.75 NCD 29SP27 FVRS1000 INE0D7Q07NC2 12.75% 1000 Monthly 29 Sept 2027
TREASURE TREE INVESTMENTS LIMITED SR 431 12.5 NCD 29OT25 FVRS1000 INE0D7Q07ND0 12.5% 1000 Monthly 29 Oct 2025
TREASURE TREE INVESTMENTS LIMITED SR 430 12.25 NCD 29OT25 FVRS1000 INE0D7Q07NE8 12.25% 1000 On Maturity 29 Oct 2025
TREASURE TREE INVESTMENTS LIMITED SR 451 14.12 NCD 14JN30 FVRS1000 INE0D7Q07NF5 14.12% 1000 On Maturity 14 Jan 2030
TREASURE TREE INVESTMENTS LIMITED SR 448 13.25 NCD 14NV27 FVRS1000 INE0D7Q07NG3 13.25% 1000 Monthly 14 Nov 2027
TREASURE TREE INVESTMENTS LIMITED SR 452 12.00 NCD 14DC25 FVRS1000 INE0D7Q07NH1 12% 1000 Monthly 14 Dec 2025
TREASURE TREE INVESTMENTS LIMITED SR 447 12.75 NCD 14DC25 FVRS1000 INE0D7Q07NI9 12.75% 1000 On Maturity 14 Dec 2025
TREASURE TREE INVESTMENTS LIMITED SR 454 14.12 NCD 14JN30 FVRS1000 INE0D7Q07NJ7 14.12% 1000 On Maturity 14 Jan 2030
TREASURE TREE INVESTMENTS LIMITED SR 453 12.50 NCD 14DC25 FVRS1000 INE0D7Q07NK5 12.5% 1000 Monthly 14 Dec 2025
TREASURE TREE INVESTMENTS LIMITED SR 443 12.00 NCD 14DC25 FVRS1000 INE0D7Q07NL3 12% 1000 Monthly 14 Dec 2025
TREASURE TREE INVESTMENTS LIMITED SR 444 12.25 NCD 14DC25 FVRS1000 INE0D7Q07NM1 12.25% 1000 On Maturity 14 Dec 2025
TREASURE TREE INVESTMENTS LIMITED SR 445 12.50 NCD 14DC25 FVRS1000 INE0D7Q07NN9 12.5% 1000 Monthly 14 Dec 2025
TTIL 13.75 29092027 INE0D7Q07NO7 13.75% 1000 On Maturity 29 Sept 2027
TTIL 12.75 14112027 INE0D7Q07NP4 12.75% 1000 Monthly 14 Nov 2027
TTIL 13.25 14112027 INE0D7Q07NQ2 13.25% 1000 On Maturity 14 Nov 2027
TTIL 13.75 14112027 INE0D7Q07NR0 13.75% 1000 On Maturity 14 Nov 2027
TREASURE TREE INVESTMENTS LIMITED SR 458 12.50 NCD 30JN26 FVRS1000 INE0D7Q07NS8 12.5% 1000 Monthly 30 Jan 2026
TREASURE TREE INVESTMENTS LIMITED SR 455 12 NCD 30JN26 FVRS1000 INE0D7Q07NT6 12% 1000 Monthly 30 Jan 2026
TREASURE TREE INVESTMENTS LIMITED SR 461 12.75 NCD 30JN26 FVRS1000 INE0D7Q07NU4 12.75% 1000 On Maturity 30 Jan 2026
TREASURE TREE INVESTMENTS LIMITED SR 470 12.75 NCD 30JN26 FVRS1000 INE0D7Q07NV2 12.75% 1000 On Maturity 30 Jan 2026
TREASURE TREE INVESTMENTS LIMITED SR 457 12.25 NCD 30JN26 FVRS1000 INE0D7Q07NW0 12.25% 1000 On Maturity 30 Jan 2026
TREASURE TREE INVESTMENTS LIMITED SR 472 14.12 NCD 28FB30 FVRS1000 INE0D7Q07NX8 14.12% 1000 On Maturity 28 Feb 2030
TREASURE TREE INVESTMENTS LIMITED SR 468 12.50 NCD 30JN26 FVRS1000 INE0D7Q07NY6 12.5% 1000 Monthly 30 Jan 2026