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NAVI FINSERV LIMITED

Number of Bonds
30
Bond List
Page 1 of 1

Bonds

Bond Name ISIN Interest Rate Principal Interest Frequency Maturity
NAVI FINSERV LIMITED 10.3 NCD 30SP27 FVRS10000 INE342T07635 10.3% 10000 Monthly 30 Sept 2027
NAVI FINSERV LIMITED 10.20 NCD 05AG27 FVRS10000 INE342T07627 10.2% 10000 Monthly 05 Aug 2027
NAVI FINSERV LIMITED 10 NCD 30OT26 FVRS1LAC INE342T07643 10% 10000 Monthly 30 Oct 2026
NAVI FINSERV LIMITED 10.75 NCD 31DC27 FVRS10000 INE342T07544 10.75% 10000 Monthly 31 Dec 2027
NAVI FINSERV LIMITED SR III 10.75 NCD 18OT25 FVRS1000 INE342T07395 10.75% 1000 Yearly 18 Oct 2025
NAVI FINSERV LIMITED SR V 11.02 NCD 18JL26 FVRS1000 INE342T07403 11.02% 1000 Yearly 18 Jul 2026
NAVI FINSERV LIMITED SR V 11.19 NCD 13MR27 FVRS1000 INE342T07445 11.19% 1000 Yearly 13 Mar 2027
NAVI FINSERV LIMITED SR III 10.90 NCD 13JU26 FVRS1000 INE342T07452 10.9% 1000 Yearly 13 Jun 2026
NAVI FINSERV LIMITED SR IV 10.65 NCD 13MR27 FVRS1000 INE342T07460 10.65% 1000 Monthly 13 Mar 2027
NAVI FINSERV LIMITED SR II 10.40 NCD 13JU26 FVRS1000 INE342T07437 10.4% 1000 Monthly 13 Jun 2026
NAVI FINSERV LIMITED SR I 10 NCD 13SP25 FVRS1000 INE342T07478 10% 1000 Monthly 13 Sept 2025
NAVI FINSERV LIMITED SR IV 10.50 NCD 18JL26 FVRS1000 INE342T07387 10.5% 1000 Monthly 18 Jul 2026
NAVI FINSERV LIMITED SR II 10.25 NCD 18OT25 FVRS1000 INE342T07379 10.25% 1000 Monthly 18 Oct 2025
NAVI FINSERV LIMITED TR B 10.40 NCD 13FB26 FVRS1LAC INE342T07528 10.4% 100000 Yearly 13 Feb 2026
NAVI FINSERV LIMITED 10.50 NCD 27AG27 FVRS1LAC INE342T07536 10.5% 100000 Monthly 27 Aug 2027
NAVI FINSERV LIMITED 10.40 NCD 29JN27 FVRS1LAC INE342T07551 10.4% 100000 Yearly 29 Jan 2027
NAVI FINSERV LIMITED 10.6 NCD 21MY27 FVRS10000 INE342T07569 10.6% 10000 Monthly 21 May 2027
NAVI FINSERV LIMITED 10.60 NCD 10SP26 FVRS10000 INE342T07577 10.6% 10000 Monthly 10 Sept 2026
NAVI FINSERV LIMITED 11.16 NCD 27JU27 FVRS10000 INE342T07585 11.16% 10000 Quarterly 27 Jun 2027
NAVI FINSERV LIMITED 10.48 NCD 01JU26 FVRS10000 INE342T07593 10.48% 10000 Monthly 01 Jun 2026
NAVI FINSERV LIMITED 10.75 NCD 19AG28 FVRS10000 INE342T07601 10.75% 10000 Monthly 19 Aug 2028
NAVI FINSERV LIMITED 10 NCD 25MR27 FVRS1LAC INE342T07619 10% 100000 Monthly 25 Mar 2027
NAVI FINSERV LIMITED 10.25 NCD 31DC26 FVRS1LAC INE342T07429 10.25% 100000 Monthly 31 Dec 2026
NAVI FINSERV LIMITED 10.25 NCD 15SP25 FVRS1LAC INE342T07486 10.25% 100000 Quarterly 15 Sept 2025
NAVI FINSERV LIMITED 10.50 NCD 18JU27 FVRS1LAC INE342T07494 10.5% 100000 Monthly 18 Jun 2027
NAVI FINSERV LIMITED 9.25 NCD 22JN26 FVRS1LAC INE342T07502 9.25% 100000 Monthly 22 Jan 2026
NAVI FINSERV LIMITED TR A 10.40 NCD 13NV26 FVRS1LAC INE342T07510 10.4% 100000 Monthly 13 Nov 2026
NAVI FINSERV LIMITED BR NCD 30JN26 FVRS10LAC INE342T07254 0% 1000000 On Maturity 30 Jan 2026
NAVI FINSERV LIMITED 10.50 NCD 31JL25 FVRS1LAC INE342T08047 10.5% 100000 Monthly 31 Jul 2025
NAVI FINSERV LIMITED 9.50 LOA 27FB26 FVRS1LAC INE342T08054 9.5% 100000 Quarterly 27 Feb 2026

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