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RICHFIELD FINANCIAL SERVICES LTD

Number of Bonds
16
Bond List
Page 1 of 1

Bonds

Bond Name ISIN Interest Rate Principal Interest Frequency Maturity
RICHFIELD FINANCIAL SERVICES LTD SR IV OP I 11.25 NCD 27SP26 FVRS1000 INE201C07142 11.25% 1000 Monthly 27 Sept 2026
RICHFIELD FINANCIAL SERVICES LTD SR IV OP IV 11.75 NCD 22AG28 FVRS1000 INE201C07159 11.75% 1000 Monthly 22 Aug 2028
RICHFIELD FINANCIAL SERVICES LTD SR IV OP II NCD 23DC26 FVRS1000 INE201C07167 0% 1000 NA 23 Dec 2026
RICHFIELD FINANCIAL SERVICES LTD SR IV OP III 11.50 LOA 23AG27 FVRS1000 INE201C07175 11.5% 1000 Monthly 23 Aug 2027
RICHFIELD FINANCIAL SERVICES LTD SR IV OP V 12 NCD 22AG30 FVRS1000 INE201C07183 12% 1000 Monthly 22 Aug 2030
RICHFIELD FINANCIAL SERVICES LTD SR IV OP VI NCD 22AP31 FVRS1000 INE201C07191 0% 1000 NA 22 Apr 2031
RICHFIELD FINANCIAL SERVICES LTD OP VI NCD 24OT30 FVRS1000 INE201C07035 0% 1000 NA 24 Oct 2030
RICHFIELD FINANCIAL SERVICES LTD SR II OP V 12 NCD 24FB30 FVRS1000 INE201C07043 12% 1000 Monthly 24 Feb 2030
RICHFIELD FINANCIAL SERVICES LTD SR II OP IV 11.75 NCD 24FB27 FVRS1000 INE201C07050 11.75% 1000 Yearly 24 Feb 2027
RICHFIELD FINANCIAL SERVICES LTD SR II OP I 11.25 NCD 25FB26 FVRS1000 INE201C07068 11.25% 1000 Monthly 25 Feb 2026
RICHFIELD FINANCIAL SERVICES LTD SR II OP II 11.50 NCD 25FB26 FVRS1000 INE201C07076 11.5% 1000 Yearly 25 Feb 2026
RICHFIELD FINANCIAL SERVICES LTD SR III OP III 11.50 NCD 27MR27 FVRS1000 INE201C07092 11.5% 1000 Monthly 27 Mar 2027
RICHFIELD FINANCIAL SERVICES LTD SR III OP V NCD 27NV30 FVRS1000 INE201C07100 0% 1000 NA 27 Nov 2030
RICHFIELD FINANCIAL SERVICES LTD SR III OP IV 11.75 NCD 27MR27 FVRS1000 INE201C07118 11.75% 1000 Yearly 27 Mar 2027
RICHFIELD FINANCIAL SERVICES LTD SR III OP II 11.50 NCD 28MR26 FVRS1000 INE201C07126 11.5% 1000 Yearly 28 Mar 2026
RICHFIELD FINANCIAL SERVICES LTD SR III OP I 11.25 NCD 28MR26 FVRS1000 INE201C07134 11.25% 1000 Monthly 28 Mar 2026

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