BOND DETAILS
Satin Creditcare Network Limited 15.5% Bond · 31 Dec 2026
INE836B08202UnsecuredReported as listedAnnual coupon rate15.5%On face value · not yield
Maturity date31 Dec 2026
3 months left
Face value per bond₹10,00,000Not a market price or minimum order
Credit rating
Bond terms
- Coupon frequency
- Half-yearly
- Interest type
- Fixed Interest
- Face value
- ₹10,00,000
- Allotment date
- 17 Dec 2019
- Security
- Unsecured
- Seniority
- Subordinate Tier 2
- Day-count convention
- Not available
- Reported tax category
- Taxable
Interest & repayment
Interest payments
PAYABLE SEMI-ANNUALLY STARTING FROM 31/12/2019,30/06/2020 AND SO ON TILL MATURITY.
Redemption terms
1)30-JUN-2025 OF RS.75000000 2)31-DEC-2025 OF RS.75000000 3)30-JUN-2026 OF RS.75000000 AND 4)31-DEC-2026 OF RS.75000000.
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
| AGENCY | RATING | RATING DATE | OUTLOOK |
|---|---|---|---|
| ICRA LIMITED | A | 31 Jan 2025 | Not available |
Ratings can change. Check the agency’s latest report for this ISIN. How to read ratings
Issuer & listing details
- Issuer
- Satin Creditcare Network Limited
- ISIN
- INE836B08202
- Debenture trustee
- Catalyst Trusteeship Limited (Formerly GDA Trusteeship Limited)
- Registrar
- KFIN TECHNOLOGIES PRIVATE LIMITED
- NSE · reported status
- To be listed
- BSE · reported status
- Listed
- Security name
- SATIN CREDITCARE NETWORK LIMITED 15.5 NCD 31DC26 FVRS10LAC
- Bond description
- 15.5% UNSECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 31/12/2026
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