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JM FINANCIAL PRODUCTS LIMITED

Number of Bonds
17
Bond List
Page 1 of 1

Bonds

Bond Name ISIN Interest Rate Principal Interest Frequency Maturity
JM FINANCIAL PRODUCTS LIMITED TRANCHE II SR V NCD 11SP26 FVRS1000 INE523H07AQ1 0% 1000 NA 11 Sept 2026
JM FINANCIAL PRODUCTS LIMITED SR IX TRANCHE III 10 NCD 16MR30 FVRS1000 INE523H07BB1 10% 1000 Yearly 16 Mar 2030
JM FINANCIAL PRODUCTS LIMITED SR X TRANCHE III 9.57 NCD 16MR30 FVRS1000 INE523H07BC9 9.57% 1000 Monthly 16 Mar 2030
JM FINANCIAL PRODUCTS LIMITED SR II TR I 8.20 NCD 07OT26 FVRS1000 INE523H07BO4 8.2% 1000 Yearly 07 Oct 2026
JM FINANCIAL PRODUCTS LIMITED SR III TR I 7.91 NCD 07OT26 FVRS1000 INE523H07BP1 7.91% 1000 Monthly 07 Oct 2026
JM FINANCIAL PRODUCTS LIMITED SR IV TR I 8.30 NCD 07FB30 FVRS1000 INE523H07BQ9 8.3% 1000 Yearly 07 Feb 2030
JM FINANCIAL PRODUCTS LIMITED TR CI-20 XXIX 8.65 NCD 03DC30 FVRS10LAC INE523H07BH8 8.65% 1000000 Half Yearly 03 Dec 2030
JM FINANCIAL PRODUCTS LIMITED TR CK 8.75 NCD 12FB31 FVRS10LAC INE523H07BJ4 8.75% 1000000 Yearly 12 Feb 2031
JM FINANCIAL PRODUCTS LIMITED TR CM 8.81 NCD 12MR31 FVRS10LAC INE523H07BK2 8.81% 1000000 Yearly 12 Mar 2031
JM FINANCIAL PRODUCTS LIMITED TR CP 8.50 NCD 16JL31 FVRS10LAC INE523H07BM8 8.5% 1000000 Yearly 16 Jul 2031
JM FINANCIAL PRODUCTS LIMITED TR CW 2022 8.65 NCD 13JL32 FVRS10LAC INE523H07BT3 8.65% 1000000 Yearly 13 Jul 2032
JM FINANCIAL PRODUCTS LIMITED TR DD 8.8 NCD 23DC25 FVRS1LAC INE523H07BX5 8.8% 100000 Half Yearly 23 Dec 2025
JM FINANCIAL PRODUCTS LIMITED SR II TR DC 8.9 NCD 24DC26 FVRS1LAC INE523H07BY3 8.9% 100000 Half Yearly 24 Dec 2026
JM FINANCIAL PRODUCTS LIMITED SR I TR DC 8.9 NCD 26DC25 FVRS1LAC INE523H07BZ0 8.9% 100000 Half Yearly 26 Dec 2025
JM FINANCIAL PRODUCTS LIMITED TR DE 8.9995 NCD 08DC26 FVRS1LAC INE523H07CA1 9% 100000 Yearly 08 Dec 2026
JM FINANCIAL PRODUCTS LIMITED TR DF 8.92 NCD 16NV26 FVRS1LAC INE523H07CB9 8.92% 100000 Quarterly 16 Nov 2026
JM FINANCIAL PRODUCTS LIMITED TR DG 9.10 NCD 04JN27 FVRS1LAC INE523H07CC7 9.1% 100000 Yearly 04 Jan 2027

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