List of Privately Placed Debt Instruments
Company Name :
Company
Security Code
Security Name
Rate of Interest
Redemption Date
Last Date of Interest
Credit Rating
Notice No.*
Aadhar Housing Finance Limited
951372
AHFL-10.75%-11-12-16-PVT
10.75
11/12/2016
ANNUALY
CARE AA+(SO)
20141217-13
Aadhar Housing Finance Limited
951548
AHFL-10.25%-9-1-20-PVT
10.25
09/01/2020
ANNUALY
CARE AA+(SO)
20150120-18
Aadhar Housing Finance Limited
951681
AHFL-10.30%-9-2-20-PVT
10.30
09/02/2020
ANNUALY
CARE AA+
20150218-7
Aadhar Housing Finance Limited
951931
AHFL-9.80%-23-3-25-PVT
9.80
23/03/2015
ANNUALY
CARE AA+(SO)
20150410-25
Aadhar Housing Finance Limited
951932
AHFL-9.80%-27-3-22-PVT
9.80
27/03/2022
ANNUALY
CARE AA+(SO)
20150410-25
Aadhar Housing Finance Limited
952708
AHFL-9.80%-3-9-22-PVT
9.80
03/09/2022
ANNUALY
20150911-6
Aadhar Housing Finance Limited
952747
AHFL-9.80%-10-9-22-PVT
9.80
10/09/2022
ANNUALY
20150921-15
Aadhar Housing Finance Limited
952929
AHFL-9.50%-30-10-17-PVT
9.50
30/10/2017
ANNUALY
20151105-7
Aadhar Housing Finance Limited
952969
AHFL-9.70%-XI-4-11-22-PVT
9.70
04/11/2022
ANNUALY
20151117-
Aadhar Housing Finance Limited
952971
AHFL-9.70%-9-11-20-PVT
9.70
09/11/2020
ANNUALY
20151117-
Aarti Industries Ltd
950630
AARTI-11.75%-15-6-17-PVT
11.75
15/06/2017
ANNUALY
CRISIL A+/STABLE
20140813-11
Aarti Industries Ltd
950631
AARTI-11.75%-15-6-18-PVT
11.75
15/06/2018
ANNUALY
CRISIL A+/STABLE
20140813-11
Aarti Industries Ltd
950632
AARTI-11.75%-14-6-19-PVT
11.75
14/06/2019
ANNUALY
CRISIL A+/STABLE
20140813-11
Aarti Industries Ltd
950633
AARTI-11.75%-15-6-20-PVT
11.75
15/06/2020
ANNUALY
CRISIL A+/STABLE
20140813-11
Aarti Industries Ltd
950634
AARTI-11.75%-15-6-21-PVT
11.75
15/06/2021
ANNUALY
CRISIL A+/STABLE
20140813-11
ABB India Limited
952706
ABB-4-9-18-PVT
0.00
04/09/2018
QUARTERLY
20150910-7
Abellon Energy Limited
952972
AEL-10%-A-4-11-19-PVT
10.00
04/11/2019
QUARTERLY
20151117-
Abellon Energy Limited
952973
AEL-10%-B-4-11-19-PVT
10.00
04/11/2019
QUARTERLY
20151117-
Abellon Energy Limited
952974
AEL-10%-C-4-11-19-PVT
10.00
04/11/2019
QUARTERLY
20151117-
ABG Shipyard Ltd.
946722
ABGSHIP-12.30%-16-12-13-PVT
12.30
16/12/2013
--
CARE A+
20100611-9
ACB (India) Ltd
949405
ACBINDIA-11.5%-31-7-18-PVT
11.50
31/07/2018
HALF YEARLY
CRISIL A+/STABLE
20130813-11
ACB (India) Ltd
949611
ACBINDIA-12.25%-31-10-18-PVT
12.25
31/10/2018
ANNUALY
CRISIL A+
20131112-10
ACB (India) Ltd
949720
ACBINDIA-12.25%-11-12-18-PVT
12.25
11/12/2018
ANNUALY
CRISIL A+
20131220-13
ACB (India) Ltd
949849
ACBINDIA-12.25%-20-1-19-PVT
12.25
20/01/2019
ANNUALY
CRISIL A+
20140205-
ACB (India) Ltd
950064
ACB-12.25%-V-28-03-19-PVT
12.25
28/03/2019
ANNUALY
CRISIL A+
20140411-5
1
2
3
4
5
6
7
8
9
10
Next >>
* Note : Notice No. nomenclature is Year(4), Month(2), date(2) – Notice number.