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AXIS FINANCE LIMITED

Number of Bonds
57
Bond List
Page 2 of 2

Bonds

Bond Name ISIN Interest Rate Principal Interest Frequency Maturity
AXIS FINANCE LIMITED SR 13 7.97 NCD 27MR30 FVRS1LAC INE891K07AE2 7.97% 100000 Yearly 27 Mar 2030
AXIS FINANCE LIMITED SR 01 OP B 7.732 NCD 12JU28 FVRS1LAC INE891K07AF9 7.73% 100000 Yearly 12 Jun 2028
AXIS FINANCE LIMITED SR 02 7.37 NCD 23AG28 FVRS1LAC INE891K07AG7 7.37% 100000 Yearly 23 Aug 2028
AXIS FINANCE LIMITED SR 08 7.35 NCD 21NV30 FVRS1LAC INE891K07AJ1 7.35% 100000 Yearly 21 Nov 2030
INE891K07796 INE891K07796 7.7% 1000000 Yearly 11 Jul 2025
AXIS FINANCE LIMITED SR 9 8.12 NCD FVRS1CR INE891K08232 8.12% 10000000 Yearly 31 Dec 9999
AXIS FINANCE LIMITED SR 10 7.74 NCD 10MR36 FVRS1LAC INE891K07AK9 7.74% 100000 Yearly 10 Mar 2036

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