BOND DETAILS

Navi Finserv Limited 10.5% Bond · 27 Aug 2027

INE342T07536SecuredReported as listed
Annual coupon rate10.5%On face value · not yield
Maturity date27 Aug 2027
11 months left
Face value per bond₹1,00,000Not a market price or minimum order
Credit rating
ACRISIL RATINGS LIMITED · 31 Jul 2024

Bond terms

Coupon frequency
Monthly
Interest type
Fixed Interest
Face value
₹1,00,000
Allotment date
28 Aug 2024
Security
Secured
Seniority
Senior
Day-count convention
Actual/actual
Reported tax category
Taxable

Interest & repayment

Interest payments

Twelve times a year

Redemption terms

Full Redemption

Call provisions

Call terms are not available. Check whether the issuer can repay the bond early.

Put provisions

Put terms are not available. Check whether you can request early repayment.

Credit ratings

AGENCYRATINGRATING DATEOUTLOOK
CRISIL RATINGS LIMITEDA31 Jul 2024Not available

Ratings can change. Check the agency’s latest report for this ISIN. How to read ratings

Issuer & listing details

Issuer
Navi Finserv Limited
ISIN
INE342T07536
Debenture trustee
Catalyst Trusteeship Limited (Formerly GDA Trusteeship Limited)
Registrar
Not available
NSE · reported status
To be listed
BSE · reported status
Listed
Security name
NAVI FINSERV LIMITED 10.50 NCD 27AG27 FVRS1LAC
Bond description
10.50% SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURE DATE OF MATURITY 27/08/2027