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Bond List (Page 486 of 622)

Bond Name ISIN Interest Rate Principal Interest Frequency Maturity
BASE BUILDWELL PRIVATE LIMITED SR II 12.5 CCD 15OT29 FVRS100 INE12QG08020 12.5% 100 Yearly 15 Oct 2029
ARDEE FINVEST PVT. LTD. 0.25 CCD 25MR33 FVRS100 INE12QH08010 0.25% 100 Yearly 25 Mar 2033
EVIE HOLDINGS PRIVATE LIMITED SR A TR 1 10 NCD 30SP29 FVRS10LAC INE12RW07019 10% 1000000 Quarterly 30 Sept 2029
EVIE HOLDINGS PRIVATE LIMITED SR B TR 1 10 NCD 03OT29 FVRS10LAC INE12RW07027 10% 1000000 Quarterly 03 Oct 2029
TORNA DEVELOPERS PRIVATE LIMITED 15 OCD 13NV29 FVRS100 INE12S408014 15% 100 Irregular Occurrence 13 Nov 2029
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED SR NP1 TR E 17.30 NCD 31JL25 FVRS100000 INE12VA07025 17.3% 100000 Monthly 31 Jul 2025
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED TR A 15.25 NCD 30SP25 FVRS1LAC INE12VA07041 15.25% 100000 Monthly 30 Sept 2025
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED TR A 16 NCD 31JL25 FVRS100 INE12VA07108 16% 100 Monthly 31 Jul 2025
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED 9.7 NCD 30DC26 FVRS100 INE12VA07116 9.7% 100 Quarterly 30 Dec 2026
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED TR I 18 NCD 31AG25 FVRS1CR INE12VA07124 18% 10000000 Monthly 31 Aug 2025
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED TR II 18 NCD 31AG25 FVRS1CR INE12VA07132 18% 10000000 Monthly 31 Aug 2025
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED 16 NCD 30JL25 FVRS1LAC INE12VA07165 16% 100000 Monthly 30 Jul 2025
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED 15.25 NCD 31DC25 FVRS1LAC INE12VA07181 15.25% 100000 Monthly 31 Dec 2025
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED TR 1 18 NCD 12DC25 FVRS1LAC INE12VA07207 18% 100000 Monthly 12 Dec 2025
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED TR 2 17.5 NCD 31JN26 FVRS1LAC INE12VA07215 17.5% 100000 Monthly 31 Jan 2026
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED SR IV 16 NCD 13JN26 FVRS1LAC INE12VA07223 16% 100000 Quarterly 13 Jan 2026
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED SR II 16 NCD 30JL25 FVRS1LAC INE12VA07231 16% 100000 Monthly 30 Jul 2025
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED 10 NCD 09MR26 FVRS10LAC INE12VA07264 10% 1000000 Monthly 09 Mar 2026
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED SR III TR A 15.25 NCD 31JN26 FVRS1LAC INE12VA07272 15.25% 100000 Monthly 31 Jan 2026
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED SR D 15.75 NCD 28FB26 FVRS100 INE12VA07280 15.75% 100 Monthly 28 Feb 2026
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED TR III 18 NCD 31MR26 FVRS1CR INE12VA07298 18% 10000000 Monthly 31 Mar 2026
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED SR II TR A 15.50 NCD 10OT25 FVRS1LAC INE12VA07306 15.5% 100000 Monthly 10 Oct 2025
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED SR II TR B 15.50 NCD 05FB26 FVRS1LAC INE12VA07314 15.5% 100000 Monthly 05 Feb 2026
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED SR III 16 NCD 19AP26 FVRS1LAC INE12VA07322 16% 100000 Quarterly 19 Apr 2026
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED TR 2 18 NCD 10MR26 FVRS1LAC INE12VA07330 18% 100000 Monthly 10 Mar 2026
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED TR 1 15 NCD 31MY26 FVRS5LAC INE12VA07348 15% 500000 Monthly 31 May 2026
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED SR E 15.75 NCD 30AP26 FVRS100 INE12VA07355 15.75% 100 Monthly 30 Apr 2026
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED SR 1 16 NCD 13JU26 FVRS1LAC INE12VA07363 16% 100000 Monthly 13 Jun 2026
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED SR IV 10.30 NCD 30JU26 FVRS10LAC INE12VA07371 10.3% 1000000 Monthly 30 Jun 2026
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED SR IV OP 2 19 NCD 13JN26 FVRS1LAC INE12VA08031 19% 100000 Quarterly 13 Jan 2026
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED SR 1 19 NCD 22FB26 FVRS1LACS INE12VA08049 19% 100000 Quarterly 22 Feb 2026
BRANCH INTERNATIONAL FINANCIAL SERVICES PRIVATE LIMITED SR III 19 NCD 19AP26 FVRS1LAC INE12VA08056 19% 100000 Quarterly 19 Apr 2026
ECOBOX INDUSTRIALS ASSET I PRIVATE LIMITED CCD 25NV39 FVRS10 INE12W708029 0% 10 Yearly 25 Nov 2039
ECOBOX INDUSTRIALS ASSET III PRIVATE LIMITED CCD 29OT39 FVRS10 INE12W808027 0% 10 Yearly 29 Oct 2039
ECOBOX INDUSTRIALS ASSET II PRIVATE LIMITED CCD 29OT39 FVRS10 INE12WW08025 0% 10 Yearly 29 Oct 2039
ACME RENEWTECH PRIVATE LIMITED CCD 06MR55 FVRS10 INE12Y008014 0% 10 Yearly 06 Mar 2055
DELUXE ENTERTAINMENT DISTRIBUTION INDIA PRIVATE LIMITED 9.50 CCD 02NV30 FVRS10 INE12YA08019 9.5% 10 Yearly 02 Nov 2030
OKAS RESORTS PRIVATE LIMITED 5 OCD 31DC26 FVRS10 INE12YF08018 5% 10 Yearly 31 Dec 2026
OKAS RESORTS PRIVATE LIMITED SR A 0.01 OCD 31DC29 FVRS1LAC INE12YF08026 0.01% 100000 Yearly 31 Dec 2029
ACME SIGMA URJA PRIVATE LIMITED CCD 30MR55 FVRS10 INE12YH08014 0% 10 Yearly 30 Mar 2055
TEQ GREEN POWER XXII PRIVATE LIMITED SR A OCD 31MR50 FVRS100 INE12Z608010 0% 100 Half Yearly 31 Mar 2050
RUSK MEDIA PRIVATE LIMITED SR C 14.75 LOA 02JU26 FVRS1LAC INE130207017 14.75% 100000 Monthly 02 Jun 2026
RUSK MEDIA PRIVATE LIMITED SR B3 14.75 NCD 13JN26 FVRS1LAC INE130207025 14.75% 100000 Monthly 13 Jan 2026
RUSK MEDIA PRIVATE LIMITED SR B114.75 NCD 25FB26 FVRS10000 INE130207033 14.75% 100000 Monthly 05 Dec 2025
RUSK MEDIA PRIVATE LIMITED SR B2 14.75 NCD 23DC25 FVRS1LAC INE130207041 14.75% 100000 Monthly 23 Dec 2025
REVENT PRECISION ENGINEERING LIMITED 0.1 OCD 07DC28 FVRS100 INE130C07358 0.1% 100 Yearly 07 Dec 2028
SAI SRUSHTI INFRASTRUCTURE PVT LIMITED SR A TR1 16.50 NCD 31MR26 FVRS10LAC INE130R07026 16.5% 1000000 Quarterly 31 Mar 2026
ANTARIKSH WAREHOUSING AND LOGISTIC PARKS PRIVATE LIMITED SR-1 15 CCD 14FB37 FVRS1000 INE130X08014 15% 1000 Quarterly 14 Feb 2037
ANTARIKSH WAREHOUSING AND LOGISTIC PARKS PRIVATE LIMITED SR 2 15 CCD 05JL38 FVRS1000 INE130X08022 15% 1000 Irregular Occurrence 05 Jul 2038
ANTARIKSH WAREHOUSING AND LOGISTIC PARKS PRIVATE LIMITED SR 2 15 CCD 23DC39 FVRS1000 INE130X08030 15% 1000 Irregular Occurrence 23 Dec 2039