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Bond List (Page 496 of 622)

Bond Name ISIN Interest Rate Principal Interest Frequency Maturity
AARUSH (PHASE III) LOGISTICS PARK PRIVATE LIMITED CCD 17MR51 FVRS1000 INE168Z08068 0% 1000 Yearly 17 Mar 2051
AARUSH (PHASE III) LOGISTICS PARK PRIVATE LIMITED CCD 10JL49 FVRS1000 INE168Z08076 0% 1000 Yearly 10 Jul 2049
AARUSH (PHASE III) LOGISTICS PARK PRIVATE LIMITED CCD 08AP49 FVRS1000 INE168Z08084 0% 1000 Yearly 08 Apr 2049
ARLIGA AZURE PROJECTS PRIVATE LIMITED 11 NCD 14DC30 FVRS1LAC INE169L08033 11% 100000 Yearly 14 Dec 2030
SHIGA ENERGY PRIVATE LIMITED BR LOA 06OT35 PPRS445842.5 INE169M08031 0% 1000000 Irregular Occurrence 06 Oct 2035
SHIGA ENERGY PRIVATE LIMITED BR LOA 06OT35 PPRS493070.83 INE169M08064 0% 1000000 Irregular Occurrence 06 Oct 2035
SHIGA ENERGY PRIVATE LIMITED BR LOA 06OT35 FVRS10LAC INE169M08072 0% 1000000 Irregular Occurrence 06 Oct 2035
SHIGA ENERGY PRIVATE LIMITED BR LOA 06OT35 PPRS887092.50 INE169M08080 0% 1000000 Irregular Occurrence 06 Oct 2035
FAMA BUILDWELL LIMITED 0.001 OCD 30MR30 FVRS1000 INE169N08013 0% 1000 Yearly 30 Mar 2030
AZURE POWER ( HARYANA ) PRIVATE LIMITED 7.65 NCD 13AG26 FVRS10000 INE169Y07020 7.65% 10000 Half Yearly 13 Aug 2026
AARUSH (PHASE IV) LOGISTICS PARK PRIVATE LIMITED SR-I 13.95 NCD 23OT47 FVRS10LAC INE169Z08017 13.95% 1000000 Yearly 23 Oct 2047
AARUSH (PHASE IV) LOGISTICS PARK PRIVATE LIMITED CCD 08AP49 FVRS1000 INE169Z08025 0% 1000 Yearly 08 Apr 2049
AARUSH (PHASE IV) LOGISTICS PARK PRIVATE LIMITED CCD 29MR50 FVRS1000 INE169Z08033 0% 1000 Yearly 29 Mar 2050
AARUSH (PHASE IV) LOGISTICS PARK PRIVATE LIMITED CCD 20AG49 FVRS1000 INE169Z08041 0% 1000 Yearly 20 Aug 2049
AARUSH (PHASE IV) LOGISTICS PARK PRIVATE LIMITED CCD 10JL49 FVRS1000 INE169Z08058 0% 1000 Yearly 10 Jul 2049
AARUSH (PHASE IV) LOGISTICS PARK PRIVATE LIMITED CCD 17MR51 FVRS1000 INE169Z08066 0% 1000 Yearly 17 Mar 2051
AARUSH (PHASE IV) LOGISTICS PARK PRIVATE LIMITED CCD 08AG51 FVRS1000 INE169Z08074 0% 1000 Yearly 08 Aug 2051
PLUSNINEONE DEVELOPMENTS PRIVATE LIMITED OCD 26JU26 FVRS8.2 INE16AX08012 0% 8.2 NA 26 Jun 2026
REL WARDHA SOLAR PROJECT 1 PRIVATE LIMITED 13 NCD 03DC31 FVRS100 INE16BI08011 13% 100 Yearly 03 Dec 2031
REL WARDHA SOLAR PROJECT 1 PRIVATE LIMITED 13 NCD 19JN32 FVRS100 INE16BI08029 13% 100 Yearly 19 Jan 2032
VISTA SPACES EARTH CENTRE PRIVATE LIMITED CL B1 8 OCD 24MY27 FVRS10 INE16DD08018 8% 10 Yearly 24 May 2027
GITPL 0.001 15012045 INE16ED08016 0% 100000 Yearly 15 Jan 2045
MADHUR INSTALMENTS PRIVATE LIMITED 15 NCD 27SP27 FVRS 1CR INE16EG08019 15% 10000000 Monthly 27 Sept 2027
MTSSL 0.01 31032045 INE16F008013 0.01% 100000 On Maturity 31 Mar 2045
EDPL 12.00 09012033 INE16G008012 12% 1000 At Any Time 09 Jan 2033
AURIOLUS FINVEST PRIVATE LIMITED SR I 11.84 NCD 12AP26 FVRS5LAC INE16GT07019 11.84% 500000 Monthly 12 Apr 2026
PDPL 12.00 26092033 INE16IT08013 12% 1000 At Any Time 26 Sept 2033
PDPL 12.00 26122032 INE16IT08021 12% 1000 At Any Time 26 Dec 2032
PDPL 12.00 27062033 INE16IT08039 12% 1000 At Any Time 27 Jun 2033
PDPL 12.00 22032033 INE16IT08047 12% 1000 At Any Time 22 Mar 2033
VDPL ZERO 23032028 INE16IV08019 0% 100 At Any Time 23 Mar 2028
WGSPL 8.50 10022044 INE16M708019 8.5% 10000000 Quarterly 10 Feb 2044
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