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Bond List (Page 419 of 545)

Bond Name ISIN Interest Rate Principal Interest Frequency Maturity
WGSPL 8.50 05072042 INE16M708027 8.5% 10000000 Quarterly 05 Jul 2042
WGSPL 8.50 15032037 INE16M708035 8.5% 10000000 Quarterly 15 Mar 2037
PURPLEBRICK ACRES VENTURES PRIVATE LIMITED 8 NCD 28NV26 FVRS10LAC INE16MI07010 8% 1000000 On Maturity 28 Nov 2026
PURPLEBRICK ACRES VENTURES PRIVATE LIMITED NCD 28AG34 FVRS10LAC INE16MI07028 0% 1000000 NA 28 Aug 2034
PURPLEBRICK ACRES VENTURES PRIVATE LIMITED NCD 09AP35 FVRS10LAC INE16MI07036 0% 1000000 NA 09 Apr 2035
LFSIPL 10.00 161125 INE16OZ07010 10% 25000 Monthly 16 Nov 2025
LFSIPL 10.00 161125 INE16OZ07028 10% 25000 On Maturity 16 Nov 2025
LFSIPL 10.25 161125 INE16OZ07036 10.25% 25000 Monthly 16 Nov 2025
LFSIPL 10.25 161125 INE16OZ07044 10.25% 25000 On Maturity 16 Nov 2025
LFSIPL 10.25 161125 INE16OZ07051 10.25% 25000 Quarterly 16 Nov 2025
LFSIPL 11.00 151127 INE16OZ07069 11% 25000 Quarterly 15 Nov 2027
LFSIPL 11.25 151127 INE16OZ07077 11.25% 25000 Monthly 15 Nov 2027
LFSIPL 11.25 151127 INE16OZ07085 11.25% 25000 On Maturity 15 Nov 2027
LFSIPL 10.00 100126 INE16OZ07093 10% 25000 Monthly 10 Jan 2026
LFSIPL 10.00 100126 INE16OZ07101 10% 25000 On Maturity 10 Jan 2026
LFSIPL 10.25 100126 INE16OZ07119 10.25% 25000 Monthly 10 Jan 2026
LFSIPL 10.25 100126 INE16OZ07127 10.25% 25000 On Maturity 10 Jan 2026
LFSIPL 10.00 100126 INE16OZ07135 10% 25000 Yearly 10 Jan 2026
LFSIPL 10.50 080127 INE16OZ07143 10.5% 25000 Monthly 08 Jan 2027
LFSIPL 11.00 080128 INE16OZ07150 11% 25000 Monthly 08 Jan 2028
LFSIPL 11.00 080128 INE16OZ07168 11% 25000 On Maturity 08 Jan 2028
LFSIPL 11.25 080128 INE16OZ07176 11.25% 25000 Monthly 08 Jan 2028
LFSIPL 11.25 080128 INE16OZ07184 11.25% 25000 On Maturity 08 Jan 2028
OLYMPIA SPORTZ & EVENTS PRIVATE LIMITED 11.75 NCD 14JU29 FVRS10LAC INE16P307017 11.75% 1000000 Monthly 14 Jun 2029
ABBOTT HEALTHCARE PRIVATE LIMITED 9.32 CCD 19NV25 FVRS38080 INE16RT08014 9.32% 38080 Monthly 19 Nov 2025
CANDEUR BUILDERS PRIVATE LIMITED SR II 20 NCD 30SP29 FVRS10LAC INE16S907029 20% 1000000 Quarterly 30 Sept 2029
CANDEUR BUILDERS PRIVATE LIMITED SR A 14.49 NCD 31MR30 FVRS10LAC INE16S907037 14.49% 1000000 Quarterly 31 Mar 2030
CANDEUR BUILDERS PRIVATE LIMITED SR B 14.05 NCD 31MR30 FVRS10LAC INE16S907045 14.05% 1000000 Quarterly 31 Mar 2030
CANDEUR BUILDERS PRIVATE LIMITED SR C 14.05 NCD 31MR30 FVRS10LAC INE16S907052 14.05% 1000000 Quarterly 31 Mar 2030
HEXA RENEWABLE SOLUTIONS PRIVATE LIMITED 13 NCD 30JN32 FVRS100 INE16UV08014 13% 100 Yearly 30 Jan 2032
JVGDF 12.50 07032030 INE16VQ07014 12.5% 1000 Yearly 07 Mar 2030
DBL TIKAMGARH-NOWGAON TOLLWAYS PRIVATE LIMITED 13 LOA 31JN26 FVRS1LAC INE170T07010 13% 100000 Monthly 31 Jan 2026
AZURE POWER ( PUNJAB ) PRIVATE LIMITED RR NCD 13AG26 FVRS1 INE170Y07028 0% 1 Half Yearly 13 Aug 2026
AZURE POWER ( PUNJAB ) PRIVATE LIMITED 7.65 NCD 13AG26 FVRS10000 INE170Y07036 7.65% 10000 Half Yearly 13 Aug 2026
AARUSH (PHASE V) LOGISTICS PARK PRIVATE LIMITED SR-I 13.95 NCD 23OT47 FVRS10LAC INE170Z08015 13.95% 1000000 Yearly 23 Oct 2047
AARUSH (PHASE V) LOGISTICS PARK PRIVATE LIMITED CCD 10JL49 FVRS1000 INE170Z08023 0% 1000 Yearly 10 Jul 2049
AARUSH (PHASE V) LOGISTICS PARK PRIVATE LIMITED CCD 08AG51 FVRS1000 INE170Z08031 0% 1000 Yearly 08 Aug 2051
AARUSH (PHASE V) LOGISTICS PARK PRIVATE LIMITED CCD 17MR51 FVRS1000 INE170Z08049 0% 1000 Yearly 17 Mar 2051
AARUSH (PHASE V) LOGISTICS PARK PRIVATE LIMITED CCD 20AG49 FVRS1000 INE170Z08056 0% 1000 Yearly 20 Aug 2049
AARUSH (PHASE V) LOGISTICS PARK PRIVATE LIMITED CCD 08AP49 FVRS1000 INE170Z08064 0% 1000 Yearly 08 Apr 2049
THE FEDERAL BANK LIMITED SR II 8.20 BD 20JN32 FVRS1CR INE171A08032 8.2% 10000000 Yearly 20 Jan 2032
THE FEDERAL BANK LIMITED SR III 8.84 LOA 29MR33 FVRS1CR INE171A08040 8.84% 10000000 Yearly 29 Mar 2033
GMR BANNERGHATTA PROPERTIES PVT. LTD. 9.75 NCD 11NV25 FVRS10000 INE171L08013 9.75% 10000 Half Yearly 11 Nov 2025
GMR BANNERGHATTA PROPERTIES PVT. LTD. 9.75 NCD 16NV25 FVRS10000 INE171L08021 9.75% 10000 Half Yearly 16 Nov 2025
GMR BANNERGHATTA PROPERTIES PVT. LTD. 9.75 NCD 18NV25 FVRS10000 INE171L08039 9.75% 10000 Half Yearly 18 Nov 2025
GMR BANNERGHATTA PROPERTIES PVT. LTD. 9.75 NCD 30NV25 FVRS10000 INE171L08047 9.75% 10000 Half Yearly 30 Nov 2025
RELIANCE BRANDS LIMITED SR 1 OCD 19DC31 FVRS10 INE171O08017 0% 10 NA 19 Dec 2031
RELIANCE BRANDS LIMITED SR 1 OCD 30MR31 FVRS10 INE171O08025 0% 10 NA 30 Mar 2031
RELIANCE BRANDS LIMITED SR 1 OCD 09OT31 FVRS10 INE171O08033 0% 10 NA 09 Oct 2031
RELIANCE BRANDS LIMITED SR 1 OCD 25MR33 FVRS10 INE171O08041 0% 10 NA 25 Mar 2033