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Bond List (Page 381 of 622)

Bond Name ISIN Interest Rate Principal Interest Frequency Maturity
REBEL FOODS PRIVATE LIMITED SR E1 13.75 NCD 01OT25 FVRS1LAC INE0CH307035 13.75% 100000 Monthly 01 Oct 2025
REBEL FOODS PRIVATE LIMITED SR E1A 13.75 NCD 01OT25 FVRS1LAC INE0CH307043 13.75% 100000 Monthly 01 Oct 2025
REBEL FOODS PRIVATE LIMITED SR E3II 13.75 NCD 01OT25 FVRS1LAC INE0CH307050 13.75% 100000 Monthly 01 Oct 2025
REBEL FOODS PRIVATE LIMITED SR E3I 13.75 NCD 01OT25 FVRS1LAC INE0CH307068 13.75% 100000 Monthly 01 Oct 2025
REBEL FOODS PRIVATE LIMITED SR F1 13.70 NCD 21SP25 FVRS1LAC INE0CH307076 13.7% 100000 Monthly 21 Sept 2025
REBEL FOODS PRIVATE LIMITED SR E2I 13.75 NCD 30SP25 FVRS1LAC INE0CH307084 13.75% 100000 Monthly 30 Sept 2025
VAKRATUNDA BUILDCON PRIVATE LIMITED SR A 18.5 NCD 22DC25 FVRS375000 INE0CHE07036 18.5% 375000 Monthly 22 Dec 2025
VAKRATUNDA BUILDCON PRIVATE LIMITED SR B 16 NCD 22DC25 FVRS375000 INE0CHE07044 16% 375000 Monthly 22 Dec 2025
VAKRATUNDA BUILDCON PRIVATE LIMITED SR A TR 1 21 NCD 06JL27 FVRS10LAC INE0CHE07051 21% 1000000 Monthly 06 Jul 2027
VAKRATUNDA BUILDCON PRIVATE LIMITED SR B 18.50 NCD 22JU27 FVRS10LAC INE0CHE07069 18.5% 1000000 Monthly 22 Jun 2027
ASHOKA KANDI RAMSANPALLE ROAD PRIVATE LIMITED NCD 19NV37 FVRS1000 INE0CHN08019 0% 1000 Half Yearly 19 Nov 2037
UC COLOURS AND INTERMEDIATES PRIVATE LIMITED RR CCD 01MR31 FVRS100 INE0CI908054 0% 100 Yearly 01 Mar 2031
YULU BIKES PRIVATE LIMITED 14 NCD 06FB26 FVRS10LAC INE0CIC07012 14% 1000000 Monthly 06 Feb 2026
VASTU FINSERVE INDIA PRIVATE LIMITED SR III 8.75 NCD 23MR29 FVRS1LAC INE08Z607125 8.75% 100000 Half Yearly 23 Mar 2029
MANIPAL HEALTH INITIATIVE PRIVATE LIMITED NCD 20MR26 FVRS10LAC INE0CK307030 0% 1000000 NA 20 Mar 2026
MANIPAL HEALTH INITIATIVE PRIVATE LIMITED NCD 28JU29 FVRS10LAC INE0CK307048 0% 1000000 NA 28 Jun 2029
RBSG CAPITAL PRIVATE LIMITED 13.05 NCD 07DC26 FVRS1LAC INE0CKC07018 13.05% 100000 Monthly 07 Dec 2026
RBSG CAPITAL PRIVATE LIMITED 13.05 NCD 30AP27 FVRS1LAC INE0CKC07026 13.05% 100000 Quarterly 30 Apr 2027
RBSG CAPITAL PRIVATE LIMITED SR 2 13.05 NCD 07DC26 FVRS1LAC INE0CKC07034 13.05% 100000 Monthly 07 Dec 2026
TTIL 12.75 29112025 INE0D7Q07FN5 12.75% 1000 Monthly 29 Nov 2025
VASTU FINSERVE INDIA PRIVATE LIMITED SR I 8.75 NCD 23MR28 FVRS1LAC INE08Z607133 8.75% 100000 Half Yearly 23 Mar 2028
VASTU FINSERVE INDIA PRIVATE LIMITED SR II 8.75 NCD 23SP28 FVRS1LAC INE08Z607141 8.75% 100000 Half Yearly 23 Sept 2028
MMPL 5.00 31032028 INE0CKL08025 5% 100 Quarterly 31 Mar 2028
MESINDUS VENTURES LIMITED 0.0001 OCD 17AG30 FVRS10000 INE0CL708012 0% 10000 Yearly 17 Aug 2030
MESINDUS VENTURES LIMITED 0.0001% OCD 17DC30 FVRS10000 INE0CL708020 0% 10000 Yearly 17 Dec 2030
MESINDUS VENTURES LIMITED 0.0001 OCD 15JU31 FVRS10000 INE0CL708038 0% 10000 Yearly 15 Jun 2031
MESINDUS VENTURES LIMITED OCD 02NV31 FVRS100 INE0CL708046 0% 100 NA 02 Nov 2031
MESINDUS VENTURES LIMITED OCD 20MR32 FVRS10 INE0CL708053 0% 10 NA 20 Mar 2032
MESINDUS VENTURES LIMITED OCD 30MY32 FVRS10 INE0CL708061 0% 10 NA 30 May 2032
MESINDUS VENTURES LIMITED OCD 08AG32 FVRS10 INE0CL708079 0% 10 NA 08 Aug 2032
MESINDUS VENTURES LIMITED OCD 09MR33 FVRS10 INE0CL708087 0% 10 NA 09 Mar 2033
MESINDUS VENTURES LIMITED OCD 12OT33 FVRS10 INE0CL708095 0% 10 NA 12 Oct 2033
MESINDUS VENTURES LIMITED OCD 27AG34 FVRS10 INE0CL708103 0% 10 NA 27 Aug 2034
MESINDUS VENTURES LIMITED OCD 14OT34 FVRS10 INE0CL708111 0% 10 NA 14 Oct 2034
MESINDUS VENTURES LIMITED OCD 19NV34 FVRS10 INE0CL708129 0% 10 NA 19 Nov 2034
PAYU FINANCE INDIA PRIVATE LIMITED RR NCD 28MY27 FVRS10LAC INE0CLA07036 6% 1000000 Half Yearly 28 May 2027
PAYU FINANCE INDIA PRIVATE LIMITED 10.50 NCD 30SP26 FVRS1LAC INE0CLA07044 10.5% 100000 Quarterly 30 Sept 2026
MARGO NETWORKS PRIVATE LIMITED SR A 0.001 OCD 24MR32 FVRS10LAC INE0CMX08018 0% 1000000 Yearly 24 Mar 2032
MARGO NETWORKS PRIVATE LIMITED SR B 0.001 OCD 30DC32 FVRS10LAC INE0CMX08026 0% 1000000 Yearly 30 Dec 2032
SHARP AGRICOM LIMITED 15 LOA 30DC28 FVRS10LAC INE0CO607013 15% 1000000 Monthly 30 Dec 2028
ABIRA SECURITIES LIMITED SR 01 TY II BR LOA 24MY29 FVRS1LAC INE0COC07010 0% 100000 On Maturity 24 May 2029
ABIRA SECURITIES LIMITED SR 01 TY I BR LOA 24MY29 FVRS1LAC INE0COC07028 0% 100000 On Maturity 24 May 2029
ABIRA SECURITIES LIMITED SR 02 TYPE II BR LOA 27JU29 FVRS1LAC INE0COC07036 0% 100000 On Maturity 27 Jun 2029
ABIRA SECURITIES LIMITED SR 02 TYPE II BR LOA 27JU29 FVRS1LAC INE0COC07044 0% 100000 On Maturity 27 Jun 2029
ABIRA SECURITIES LIMITED SR 03 TY II BR LOA 20JL29 FVRS1LAC INE0COC07051 0% 100000 On Maturity 20 Jul 2029
ABIRA SECURITIES LIMITED SR 03 TY I BR LOA 20JL29 FVRS1LAC INE0COC07069 0% 100000 On Maturity 20 Jul 2029
ABIRA SECURITIES LIMITED SR 04 TYPE I BR NCD 23AG29 FVRS1LAC INE0COC07077 0% 100000 On Maturity 23 Aug 2029
ABIRA SECURITIES LIMITED SR 04 TYPE II BR NCD 23AG29 FVRS1LAC INE0COC07085 0% 100000 On Maturity 23 Aug 2029
ABIRA SECURITIES LIMITED SR ASMLDA05 BR LOA 16JL34 FVRS1LAC INE0COC07093 0% 100000 On Maturity 16 Jul 2034
ABIRA SECURITIES LIMITED SR AS/MLD/A/06 BR LOA 20SP29 FVRS1LAC INE0COC07101 0% 100000 On Maturity 20 Sept 2029