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Bond List (Page 364 of 545)

Bond Name ISIN Interest Rate Principal Interest Frequency Maturity
OLYMPEO DEVELOPERS PRIVATE LIMITED 18 NCD 03JN28 FVRS10LAC INE0O6D07028 18% 1000000 Monthly 03 Jan 2028
KNS VINTAGE INFRA PRIVATE LIMITED 18.25 NCD 11MR27 FVRS10LAC INE0O6H07011 18.25% 1000000 Monthly 11 Mar 2027
KNS VINTAGE INFRA PRIVATE LIMITED 18.50 NCD 19JU28 FVRS10LAC INE0O6H07029 18.5% 1000000 Monthly 19 Jun 2028
SPARKLE TWO MALL DEVELOPERS PRIVATE LIMITED 0.0001OCD 25JU33 FVRS10 INE0O6J08015 0% 10 Yearly 25 Jun 2033
SPARKLE TWO MALL DEVELOPERS PRIVATE LIMITED 0.0001 OCD 30OT33 FVRS10 INE0O6J08023 0% 10 Yearly 30 Oct 2033
BHARTIYA CITY RESIDENCES PRIVATE LIMITED 0.001 OCD 29MR27 FVRS10 INE0O6L08011 0% 10 Yearly 29 Mar 2027
DHARINI ESTATES PRIVATE LIMITED 12.63 NCD 05OT33 FVRS1000 INE0O6W07010 12.63% 1000 Monthly 05 Oct 2033
IBLFL 13.50 02122025 INE0O7407015 13.5% 1000 On Maturity 02 Dec 2025
IBL FINANCE LIMITED TR 1 13 NCD 09NV26 FVRS1LAC INE0O7407023 13% 100000 Monthly 09 Nov 2026
IBL FINANCE LIMITED SR A1 11.50 NCD 09JL27 FVRS1LAC INE0O7407031 11.5% 100000 Monthly 09 Jul 2027
RELIANCE BEAUTY & PERSONAL CARE LIMITED OCD 20NV33 FVRS10 INE0O7608018 0% 10 NA 20 Nov 2033
RELIANCE BEAUTY & PERSONAL CARE LIMITED OCD 12FB34 FVRS10 INE0O7608026 0% 10 NA 12 Feb 2034
RELIANCE BEAUTY & PERSONAL CARE LIMITED OCD 19MR34 FVRS10 INE0O7608034 0% 10 NA 19 Mar 2034
RELIANCE BEAUTY & PERSONAL CARE LIMITED OCD 30MR35 FVRS10 INE0O7608042 0% 10 NA 30 Mar 2035
RELIANCE BEAUTY & PERSONAL CARE LIMITED TR 1 OCD 01JU35 FVRS10 INE0O7608059 0% 10 NA 01 Jun 2035
RELIANCE CONSUMER PRODUCTS LIMITED OCD 31JN33 FVRS10 INE0O7708016 0% 10 NA 31 Jan 2033
RELIANCE CONSUMER PRODUCTS LIMITED OCD 30MR33 FVRS10 INE0O7708024 0% 10 NA 30 Mar 2033
RELIANCE CONSUMER PRODUCTS LIMITED OCD 29AP33 FVRS10 INE0O7708032 0% 10 NA 29 Apr 2033
RELIANCE CONSUMER PRODUCTS LIMITED OCD 31MY33 FVRS10 INE0O7708040 0% 10 NA 31 May 2033
RELIANCE CONSUMER PRODUCTS LIMITED OCD 02JL33 FVRS10 INE0O7708057 0% 10 NA 02 Jul 2033
RELIANCE CONSUMER PRODUCTS LIMITED OCD 24AG33 FVRS10 INE0O7708065 0% 10 NA 24 Aug 2033
RELIANCE CONSUMER PRODUCTS LIMITED OCD 24SP33 FVRS10 INE0O7708073 0% 10 NA 24 Sept 2033
RELIANCE CONSUMER PRODUCTS LIMITED OCD 22OT33 FVRS10 INE0O7708081 0% 10 NA 22 Oct 2033
RELIANCE CONSUMER PRODUCTS LIMITED OCD 26NV33 FVRS10 INE0O7708099 0% 10 NA 26 Nov 2033
RELIANCE CONSUMER PRODUCTS LIMITED OCD 30DC33 FVRS10 INE0O7708107 0% 10 NA 30 Dec 2033
RELIANCE CONSUMER PRODUCTS LIMITED OCD 07FB34 FVRS10 INE0O7708115 0% 10 NA 07 Feb 2034
RELIANCE CONSUMER PRODUCTS LIMITED TR 7 OCD 11MR34 FVRS10 INE0O7708123 0% 10 NA 11 Mar 2034
RELIANCE CONSUMER PRODUCTS LIMITED OCD 30MR34 FVRS10 INE0O7708131 0% 10 NA 30 Mar 2034
RELIANCE CONSUMER PRODUCTS LIMITED OCD 27AG34 FVRS10 INE0O7708149 0% 10 NA 27 Aug 2034
RELIANCE CONSUMER PRODUCTS LIMITED TR 1 OCD 24FB35 FVRS10 INE0O7708156 0% 10 NA 24 Feb 2035
RELIANCE CONSUMER PRODUCTS LIMITED OCD 25MR35 FVRS10 INE0O7708164 0% 10 NA 25 Mar 2035
RELIANCE CONSUMER PRODUCTS LIMITED TR 3 OCD 19MY35 FVRS10 INE0O7708172 0% 10 NA 19 May 2035
RELIANCE CONSUMER PRODUCTS LIMITED OCD 26JU35 FVRS10 INE0O7708180 0% 10 NA 26 Jun 2035
NETRAVATI COMMERCIALS PRIVATE LIMITED OCD 21MR44 FVRS1000 INE0O7E08014 0% 1000 NA 21 Mar 2044
NETRAVATI COMMERCIALS PRIVATE LIMITED OCD 07MY44 FVRS1000 INE0O7E08022 0% 1000 NA 07 May 2044
UGFL 12.00 31082026 INE0O7U08010 12% 10000000 Quarterly 31 Aug 2026
UGFL 12.00 28012027 INE0O7U08036 12% 10000000 Quarterly 28 Jan 2027
9PTPL 0.001 23062034 INE0O8A08010 0% 995.2 Yearly 23 Jun 2034
ADANI GREEN ENERGY TWENTY FIVE LIMITED CCD 25DC53 FVRS10 INE0O8L08017 0% 10 Half Yearly 25 Dec 2053
ADANI GREEN ENERGY TWENTY FOUR A LIMITED SR I 0.01 OCD 22JN44 FVRS10 INE0O8O08011 0.01% 10 Yearly 22 Jan 2044
UPAKARMA AYURVEDA PRIVATE LIMITED 0.1 NCD 27OT32 FVRS1LAC INE0O8Y08010 0.1% 100000 On Maturity 27 Oct 2032
AREION FINSERVE PRIVATE LIMITED 18 NCD 14NV27 FVRS100 INE0O9807014 18% 100 Half Yearly 14 Nov 2027
AFPL 18.00 05062028 INE0O9807022 18% 100 Half Yearly 05 Jun 2028
AFPL 2.00 27082028 INE0O9807030 2% 100 Yearly 27 Aug 2028
AREION FINSERVE PRIVATE LIMITED 17.80 XIRR NCD 02JU27 FVRS100 INE0O9807063 17.8% 100 Quarterly 02 Jun 2027
AREION FINSERVE PRIVATE LIMITED 18 XIRR NCD 30MY29 FVRS100 INE0O9807071 18% 100 Quarterly 30 May 2029
AREION FINSERVE PRIVATE LIMITED 18 XIRR NCD 20JU29 FVRS100 INE0O9807089 18% 100 Quarterly 20 Jun 2029
AREION FINSERVE PRIVATE LIMITED 10 NCD 18MY28 FVRS100 INE0O9807097 10% 100 On Maturity 18 May 2028
AREION FINSERVE PRIVATE LIMITED NCD 28MR30 FVRS100 INE0O9807105 0% 100 NA 28 Mar 2030
AREION FINSERVE PRIVATE LIMITED 18 NCD 23AP30 FVRS100 INE0O9807113 18% 100 Quarterly 23 Apr 2030