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Bond List (Page 379 of 701)

Bond Name ISIN Interest Rate Principal Interest Frequency Maturity
AMPSOLAR POWER GENERATION PRIVATE LIMITED RR CCD 31MR45 FVRS1000 INE0BKZ08027 0% 1000 Yearly 31 Mar 2045
ELECON PERIPHERALS LIMITED 0.01 CCD 25MR30 FVRS100 INE0BL008018 0.01% 100 Irregular Occurrence 25 Mar 2030
VVDNTPL 0.01 180433 INE0BL908019 0.01% 1563 Yearly 18 Apr 2033
VVDNTPL 0.01 240533 INE0BL908027 0.01% 1563 Yearly 24 May 2033
VVDNTPL 0.01 310833 INE0BL908035 0.01% 1563 Yearly 31 Aug 2033
VVDNTPL 0.01 271233 INE0BL908043 0.01% 1563 Yearly 27 Dec 2033
EMBASSY COMMERCIAL PROJECTS (WHITEFIELD) PRIVATE LIMITED TR 1 NCD 22SP31 FVRS10000 INE0BMF08017 0% 10000 NA 22 Sept 2031
JITF URBAN WASTE MANAGEMENT (BATHINDA) LIMITED CCD 28FB27 FVRS1000 INE0BNG08013 0% 1000 NA 28 Feb 2027
SAISRUSHTI (AKKUPETE) PROJECTS PRIVATE LIMITED CLASS D SR 1 20 CCD 13NV29 FVRS10 INE0BNJ08017 20% 10 Yearly 13 Nov 2029
SAISRUSHTI (AKKUPETE) PROJECTS PRIVATE LIMITED CLASS A SR 1 CCD 13NV29 FVRS10 INE0BNJ08025 0% 10 NA 13 Nov 2029
SAISRUSHTI (AKKUPETE) PROJECTS PRIVATE LIMITED CLASS C SR 1 CCD 25NV29 FVRS10 INE0BNJ08033 0% 10 NA 25 Nov 2029
SAISRUSHTI (AKKUPETE) PROJECTS PRIVATE LIMITED CLASS B SR 1 CCD 25NV29 FVRS10 INE0BNJ08058 0% 10 NA 25 Nov 2029
AVANTI FINANCE PRIVATE LIMITED 11 NCD 18AG25 FVRS10LAC INE0BNQ07071 11% 1000000 Monthly 18 Aug 2025
AVANTI FINANCE PRIVATE LIMITED 9.25 NCD 29AG25 FVRS1LAC INE0BNQ07089 9.25% 100000 Quarterly 29 Aug 2025
AVANTI FINANCE PRIVATE LIMITED 11 BD 05DC25 FVRS1LAC INE0BNQ07097 11% 100000 Monthly 05 Dec 2025
AVANTI FINANCE PRIVATE LIMITED 10.90 NCD 27JL26 FVRS10LAC INE0BNQ07105 10.9% 1000000 Monthly 27 Jul 2026
FIRKI WHOLESALE PRIVATE LIMITED SR C 14 NCD 31JN28 FVRS10LAC INE19D307034 14% 1000000 Monthly 31 Jan 2028
PLUS HEALTH TECH VENTURES PRIVATE LIMITED CL II A 0.001 CCD 03OT35 FVRS10 INE1CBI08028 0% 10 On Maturity 03 Oct 2035
AVANTI FINANCE PRIVATE LIMITED SR 1 0.01 CCD 07AP31 FVRS10 INE0BNQ08020 0.01% 10 Quarterly 07 Apr 2031
BSIPL 15.00 08022029 INE0BOG08011 15% 990 Quarterly 08 Feb 2029
XTELIFY LIMITED 0.01 OCD 27FB35 FVRS202436 INE0BP008014 0.01% 202436 On Maturity 27 Feb 2035
GREENSTAR FERTILIZERS LIMITED 11.25 NCD 27JL26 FVRS1LAC INE0BP407018 11.25% 100000 Quarterly 27 Jul 2026
AGP CGD INDIA PRIVATE LIMITED 9.74 NCD 30AP37 FVRS100 INE0BQ808016 9.74% 100 On Maturity 30 Apr 2037
GMHPL 0.001 03032030 INE0BQB08017 0% 100 Yearly 03 Mar 2030
PREMIER ENERGIES LIMITED RR CCD 28SP31 FVRS100 INE0BS708016 0% 100 On Maturity 28 Sept 2031
UC INCLUSIVE CREDIT PRIVATE LIMITED TR1 10.50 NCD 18DC26 FVRS10LAC INE0BSV07013 10.5% 1000000 Quarterly 18 Dec 2026
UC INCLUSIVE CREDIT PRIVATE LIMITED 10.50 NCD 22OT28 FVRS10LAC INE0BSV07021 10.5% 1000000 Quarterly 22 Oct 2028
UC INCLUSIVE CREDIT PRIVATE LIMITED 12.5 NCD 30DC26 FVRS10LAC INE0BSV07039 12.5% 1000000 Monthly 30 Dec 2026
UC INCLUSIVE CREDIT PRIVATE LIMITED 12.5 NCD 24SP26 FVRS5LAC INE0BSV07047 12.5% 500000 Monthly 24 Sept 2026
DATANET ECOMMERCE SERVICES LIMITED 1 OCD 01JN27 FVRS100 INE0BT908011 1% 100 Yearly 01 Jan 2027
LOANTAP FINANCIAL TECHNOLOGIES PRIVATE LIMITED SR A 14.25 NCD 15SP25 FVRS10LAC INE0BUF07012 14.25% 1000000 Monthly 15 Sept 2025
LOANTAP FINANCIAL TECHNOLOGIES PRIVATE LIMITED SR B 14.25 NCD 22DC25 FVRS10LAC INE0BUF07020 14.25% 1000000 Monthly 22 Dec 2025
COGOPORT PRIVATE LIMITED 14 NCD 23MR27 FVRS1LAC INE1CGI07045 14% 100000 Monthly 23 Mar 2027
INDEL MONEY LIMITED SR CXXII 10.50 LOA 03NV26 FVRS1000 INE0BUS07106 10.5% 1000 Monthly 03 Nov 2026
INDEL MONEY LIMITED SR CXXIII 10.75 LOA 15NV26 FVRS1000 INE0BUS07122 10.75% 1000 Monthly 15 Nov 2026
INDEL MONEY LIMITED SR CXXIII 11 LOA 15NV26 FVRS1000 INE0BUS07130 11% 1000 Monthly 15 Nov 2026
INDEL MONEY LIMITED SR CXXIV 10.82 LOA 22NV26 FVRS1000 INE0BUS07148 10.82% 1000 On Maturity 22 Nov 2026
INDEL 10.82 02122026 INE0BUS07197 10.82% 1000 On Maturity 02 Dec 2026
INDEL 11.00 02122026 INE0BUS07205 11% 1000 Monthly 02 Dec 2026
INDEL 11.50 02122026 INE0BUS07213 11.5% 1000 Monthly 02 Dec 2026
INDEL MONEY LIMITED SR CXXVI 10.75 LOA 09DC26 FVRS1000 INE0BUS07254 10.75% 1000 Monthly 09 Dec 2026
INDEL 10.75 28122026 INE0BUS07296 10.75% 1000 Monthly 28 Dec 2026
INDEL MONEY LIMITED SR CXXVIII OPT IV 10.82 LOA 28DC26 FVRS1000 INE0BUS07304 10.82% 1000 On Maturity 28 Dec 2026
INDEL 11.00 28122026 INE0BUS07312 11% 1000 Monthly 28 Dec 2026
INDEL 12.00 28012027 INE0BUS07320 12% 1000 Monthly 28 Jan 2027
INDEL 11.00 04012027 INE0BUS07353 11% 1000 Monthly 04 Jan 2027
INDEL 11.50 04012027 INE0BUS07361 11.5% 1000 Monthly 04 Jan 2027
INDEL 11.00 29012027 INE0BUS07395 11% 1000 Monthly 29 Jan 2027
INDEL MONEY LIMITED SR CXXXI OPT III 12 LOA 28FB27 FVRS1000 INE0BUS07403 12% 1000 Monthly 28 Feb 2027
INDEL 11.00 19032027 INE0BUS07452 11% 1000 Monthly 19 Mar 2027