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AXIS FINANCE LIMITED

Number of Bonds
54
Bond List
Page 1 of 2

Bonds

Bond Name ISIN Interest Rate Principal Interest Frequency Maturity
AXIS FINANCE LIMITED SR 04 8.04 NCD 08AG35 FVRS1LAC INE891K08224 8.04% 100000 Yearly 08 Aug 2035
AXIS FINANCE LIMITED SR 05 7.22 NCD 25OT27 FVRS1LAC INE891K07AH5 7.22% 100000 Yearly 25 Oct 2027
AXIS FINANCE LIMITED SR AFL 06 7.23 NCD 24OT28 FVRS1LAC INE891K07AI3 7.23% 100000 Yearly 24 Oct 2028
AXIS FINANCE LIMITED SR-02 8.8 NCD 05AG26 FVRS10LAC INE891K08034 8.8% 1000000 Yearly 05 Aug 2026
AXIS FINANCE LIMITED SR-02 8.5 NCD 11MY27 FVRS10LAC INE891K08042 8.5% 1000000 Yearly 11 May 2027
AXIS FINANCE LIMITED SR-03 8.08 NCD 14SP27 FVRS10LAC INE891K08059 8.08% 1000000 Yearly 14 Sept 2027
AXIS FINANCE LIMITED SR 01 7.45 NCD 14FB31 FVRS10LAC INE891K08067 7.45% 1000000 Yearly 14 Feb 2031
AXIS FINANCE LIMITED SR 05 7.27 NCD 26JU31 FVRS10LAC INE891K07671 7.27% 1000000 Yearly 26 Jun 2031
AXIS FINANCE LIMITED SR 3 7.40 NCD 10JU31 FVRS10LAC INE891K08075 7.4% 1000000 Yearly 10 Jun 2031
AXIS FINANCE LIMITED SR 06 TR 1 7.90 NCD PERPETUAL FVRS1CR INE891K08083 7.9% 10000000 Yearly 31 Dec 9999
AXIS FINANCE LIMITED SR 08 6.55 NCD 22SP26 FVRS10LAC INE891K07705 6.55% 1000000 Yearly 22 Sept 2026
AXIS FINANCE LIMITED SR 09 6.10 NCD 29SP25 FVRS10LAC INE891K07713 6.1% 1000000 Yearly 29 Sept 2025
AXIS FINANCE LIMITED SR 10 6.80 NCD 18NV26 FVRS10LAC INE891K07721 6.8% 1000000 Yearly 18 Nov 2026
AXIS FINANCE LIMITED SR 12 7.42 NCD 05DC31 FVRS1CR INE891K08091 7.42% 10000000 Yearly 05 Dec 2031
AXIS FINANCE LIMITED SR 14 7.76 NCD PERPETUAL FVRS1CR INE891K08117 7.76% 10000000 Yearly 31 Dec 9999
AXIS FINANCE LIMITED SR 16 2021-22 6.80 NCD 30MR26 FVRS10LAC INE891K07762 6.8% 1000000 Yearly 30 Mar 2026
AXIS FINANCE LIMITED SR 04 7.51 NCD 24OT25 FVRS10LAC INE891K07804 7.51% 1000000 Yearly 24 Oct 2025
AXIS FINANCE LIMITED SR 06 7.7 NCD 08SP27 FVRS10LAC INE891K07812 7.7% 1000000 Yearly 08 Sept 2027
AXIS FINANCE LIMITED SR 5 8.34 NCD PERPETUAL FVRS1CR INE891K08125 8.34% 10000000 Yearly 31 Dec 2099
AXIS FINANCE LIMITED SR 07 8.07 NCD 24SP32 FVRS1CR INE891K08133 8.07% 10000000 Yearly 24 Sept 2032
AXIS FINANCE LIMITED SR 9 8.06 NCD 26NV32 FVRS1CR INE891K08141 8.06% 10000000 Yearly 26 Nov 2032
AXIS FINANCE LIMITED SR 10 8.15 NCD FVRS1CR INE891K08158 8.15% 10000000 Yearly 31 Dec 2999
AXIS FINANCE LIMITED SR 11 8.07 NCD 23FB28 FVRS1LAC INE891K07820 8.07% 100000 Yearly 23 Feb 2028
AXIS FINANCE LIMITED SR 12 8.35 NCD 25MY26 FVRS1LAC INE891K07838 8.35% 100000 Yearly 20 May 2026
AXIS FINANCE LIMITED SR AFL 01 7.99 NCD 03AU26 FVRS1LAC INE891K07846 7.99% 100000 Yearly 03 Aug 2026
AXIS FINANCE LIMITED SR 2 7.95 NCD 26MY28 FVRS1LAC INE891K07853 7.95% 100000 Yearly 26 May 2028
AXIS FINANCE LIMITED SR 3 7.95 NCD 30JU26 FVRS1LAC INE891K07861 7.95% 100000 Yearly 30 Jun 2026
AXIS FINANCE LIMITED SR 04 8 NCD 11DC26 FVRS1LAC INE891K07879 8% 100000 Yearly 11 Dec 2026
AXIS FINANCE LIMITED SR 5 8 NCD 22JL26 FVRS1LAC INE891K07887 8% 100000 Yearly 22 Jul 2026
AXIS FINANCE LIMITED SR 07 OP A 8.10 NCD 17NV28 FVRS1LAC INE891K07895 8.1% 100000 Yearly 17 Nov 2028
AXIS FINANCE LIMITED SR 06 8.28 NCD 28OT33 FVRS1LAC INE891K08166 8.28% 100000 Yearly 28 Oct 2033
AXIS FINANCE LIMITED SR 09 OP B 8.29 NCD 26FB27 FVRS1LAC INE891K07903 8.29% 100000 Yearly 26 Feb 2027
AXIS FINANCE LIMITED SR 09 OP A 8.30 NCD 26DC25 FVRS1LAC INE891K07911 8.3% 100000 Yearly 26 Dec 2025
AXIS FINANCE LIMITED SR 11 8.19 NCD 29JN29 FVRS1LAC INE891K07929 8.19% 100000 Yearly 29 Jan 2029
AXIS FINANCE LIMITED SR 10 8.38 NCD 11JN34 FVRS1LAC INE891K08174 8.38% 100000 Yearly 11 Jan 2034
AXIS FINANCE LIMITED SR 12 8.14 NCD 21FB29 FVRS1LAC INE891K07937 8.14% 100000 Yearly 21 Feb 2029
AXIS FINANCE LIMITED SR 13 OP A 8.35 NCD 27FB26 FVRS1LAC INE891K07945 8.35% 100000 Yearly 27 Feb 2026
AXIS FINANCE LIMITED SR 14 OP B 8.35 NCD 07MY27 FVRS1LAC INE891K07952 8.35% 100000 Yearly 07 May 2027
AXIS FINANCE LIMITED SR 14 OP A NCD 06MR26 FVRS1LAC INE891K07960 0% 100000 NA 06 Mar 2026
AXIS FINANCE LIMITED SR 01 8.29 NCD 19AG27 FVRS1LAC INE891K07978 8.29% 100000 Yearly 19 Aug 2027
AXIS FINANCE LIMITED SR 16 8.73 PP NCD FVRS1CR INE891K08182 8.73% 10000000 Yearly 31 Dec 9999
AXIS FINANCE LIMITED SR 02 8.15 NCD 22MY29 FVRS1LAC INE891K07986 8.15% 100000 Yearly 22 May 2029
AXIS FINANCE LIMITED SR 3 8.67 NCD PP FVRS1CR INE891K08190 8.67% 10000000 Yearly 31 Dec 9999
AXIS FINANCE LIMITED SR 04 8.35 NCD 23JU34 FVRS1LAC INE891K08208 8.35% 100000 Yearly 23 Jun 2034
AXIS FINANCE LIMITED SR 6 8.05 NCD 25AP28 FVRS1LAC INE891K07994 8.05% 100000 Yearly 25 Apr 2028
AXIS FINANCE LIMITED SR 09 RR NCD 28JN28 FVRS1LAC INE891K07AA0 0% 100000 Yearly 28 Jan 2028
AXIS FINANCE LIMITED SR 10 OP B 7.89 NCD 19DC29 FVRS1LAC INE891K07AB8 7.89% 100000 Yearly 19 Dec 2029
AXIS FINANCE LIMITED SR 10 OP A 7.882 NCD 19NV27 FVRS1LAC INE891K07AC6 7.88% 100000 Yearly 19 Nov 2027
AXIS FINANCE LIMITED SR 10 OP C 7.845NCD 19DC34 FVRS1LAC INE891K07AD4 7.85% 100000 Yearly 19 Dec 2034
AXIS FINANCE LIMITED SR 11 8.41 PP NCD INE891K08216 8.41% 10000000 Yearly 31 Dec 9999

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