Logo

LULU FINANCIAL SERVICES (INDIA) PRIVATE LIMITED

Number of Bonds
30
Bond List
Page 1 of 1

Bonds

Bond Name ISIN Interest Rate Principal Interest Frequency Maturity
LULU FINANCIAL SERVICES (INDIA) PRIVATE LIMITED SR A OP 11 11 NCD 20JU28 FVRS25000 INE16OZ07192 11% 25000 On Maturity 20 Jun 2028
LULU FINANCIAL SERVICES (INDIA) PRIVATE LIMITED SR A OP 12 11.25 NCD 20JU28 FVRS25000 INE16OZ07200 11.25% 25000 On Maturity 20 Jun 2028
LULU FINANCIAL SERVICES (INDIA) PRIVATE LIMITED SR A OP 9 11.25 NCD 20JU28 FVRS25000 INE16OZ07218 11.25% 25000 Quarterly 20 Jun 2028
LULU FINANCIAL SERVICES (INDIA) PRIVATE LIMITED SR A OP 8 11.25 NCD 20JU28 FVRS25000 INE16OZ07226 11.25% 25000 Monthly 20 Jun 2028
LULU FINANCIAL SERVICES (INDIA) PRIVATE LIMITED SR A OP 7 11 NCD 20JU28 FVRS25000 INE16OZ07234 11% 25000 Monthly 20 Jun 2028
LULU FINANCIAL SERVICES (INDIA) PRIVATE LIMITED SR A OP 6 10.75 NCD 20JU27 FVRS25000 INE16OZ07242 10.75% 25000 On Maturity 20 Jun 2027
LULU FINANCIAL SERVICES (INDIA) PRIVATE LIMITED SR A OP 5 10.25 NCD 22JU26 FVRS25000 INE16OZ07259 10.25% 25000 Quarterly 22 Jun 2026
LULU FINANCIAL SERVICES (INDIA) PRIVATE LIMITED SR A OP 1 10 NCD 22JU26 FVRS25000 INE16OZ07267 10% 25000 Monthly 22 Jun 2026
LULU FINANCIAL SERVICES (INDIA) PRIVATE LIMITED SR A OP 2 10.25 NCD 22JU26 FVRS25000 INE16OZ07275 10.25% 25000 Monthly 22 Jun 2026
LULU FINANCIAL SERVICES (INDIA) PRIVATE LIMITED SR A OP 3 10 NCD 22JU26 FVRS25000 INE16OZ07283 10% 25000 On Maturity 22 Jun 2026
LULU FINANCIAL SERVICES (INDIA) PRIVATE LIMITED SR A OP 4 10.25 NCD 22JU26 FVRS25000 INE16OZ07291 10.25% 25000 On Maturity 22 Jun 2026
LULU FINANCIAL SERVICES (INDIA) PRIVATE LIMITED SR A OP 10 11 NCD 20JU28 FVRS25000 INE16OZ07309 11% 25000 Yearly 20 Jun 2028
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

← Back to Companies