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CITIMIL

Number of Bonds
12
Bond List
Page 1 of 1

Bonds

Bond Name ISIN Interest Rate Principal Interest Frequency Maturity
CITIMIL 11.00 101025 INE0FWP07117 11% 1000 Yearly 10 Oct 2025
CITIMIL 11.00 291025 INE0FWP07125 0% 1000 NA 29 Oct 2025
CITIMIL 10.50 291025 INE0FWP07133 0% 1000 NA 29 Oct 2025
CITIMIL 11.00 310126 INE0FWP07141 11% 1000 Yearly 31 Jan 2026
CITIMIL 10.50 080526 INE0FWP07158 10.5% 1000 Monthly 08 May 2026
CITIMIL 11.00 080526 INE0FWP07166 11% 1000 Yearly 08 May 2026
CITIMIL 11.00 120726 INE0FWP07174 11% 1000 Monthly 12 Jul 2026
CITIMIL 11.00 020127 INE0FWP07182 11% 1000 Yearly 02 Jan 2027
CITIMIL 10.50 020127 INE0FWP07190 10.5% 1000 Monthly 02 Jan 2027
CITIMIL 10.50 260227 INE0FWP07208 10.5% 1000 Monthly 26 Feb 2027
CITIMIL 11.00 140228 INE0FWP07281 11% 1000 Thrice A Year 14 Feb 2028
CITIMIL 10.50 140228 INE0FWP07299 10.5% 1000 Thrice A Year 14 Feb 2028

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