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.*
Kotak Mahindra Prime Limited
951197
KMPL-9.2049%-13-11-17-PVT
9.20
13/11/2017
CUMULATIVE
CRISIL AAA/stable
20141113-12
Kotak Mahindra Prime Limited
951001
KMPL-9.4190%-24-10-16-PVT
9.42
24/10/2016
CUMULATIVE
CRISIL AAA/stable
20141013-
Kotak Mahindra Prime Limited
951002
KMPL-9.44%-29-9-17-PVT
9.44
29/09/2017
ANNUALY
CRISIL AAA/stable
20141013-
Kotak Mahindra Prime Limited
951049
KMPL-ZC-14-10-16-PVT
0.00
14/10/2016
--
CRISIL AAA/stable
20141022-13
Kotak Mahindra Prime Limited
951050
KMPL-9.1585%-23-2-16-PVT
9.16
23/02/2016
CUMULATIVE
CRISIL AAA/stable
20141022-13
Kotak Mahindra Prime Limited
950706
KMPL-9.55%-21-8-17-PVT
9.55
21/08/2017
ANNUALY
CRISIL AAA/stable
20140827-
Kotak Mahindra Prime Limited
950708
KMPL-9.55%-20-8-19-PVT
9.55
20/08/2019
ANNUALY
CRISIL AAA/stable
20140827-
Kotak Mahindra Prime Limited
950709
KMPL-ZC-3-7-17-PVT
--
03/07/2017
CUMULATIVE
CRISIL AAA/stable
20140827-
Kotak Mahindra Prime Limited
950710
KMPL-9.5496%-13-9-17-PVT
9.55
13/09/2017
CUMULATIVE
CRISIL AAA/stable
20140827-
Kotak Mahindra Prime Limited
950711
KMPL-9.5073%-30-8-16-PVT
9.51
30/08/2016
CUMULATIVE
CRISIL AAA/stable
20140827-
Kotak Mahindra Prime Limited
952754
KMPL-ZC-IA-11-9-17-PVT
0.00
11/09/2017
CUMULATIVE
20150923-7
Kotak Mahindra Prime Limited
952755
KMPL-ZC-IIA-28-9-17-PVT
0.00
28/09/2017
CUMULATIVE
20150923-7
Kotak Mahindra Prime Limited
952756
KMPL-ZC-IIIA-9-11-17-PVT
0.00
09/11/2017
CUMULATIVE
20150923-7
Kotak Mahindra Prime Limited
952955
KMPL-8.25%-1-11-16-PVT
8.25
01/11/2016
ANNUALY
20151110-
Kotak Mahindra Prime Limited
952956
KMPL-ZC-22-11-16-PVT
0.00
22/11/2016
CUMULATIVE
20151110-
Kotak Mahindra Prime Limited
952368
KMPL-8.80%-23-6-17-PVT
8.80
23/06/2017
ANNUALY
20150715-10
Kotak Mahindra Prime Limited
952369
KMPL-ZC-24-7-17-PVT
0.00
24/07/2017
--
20150715-10
Kotak Mahindra Prime Limited
952370
KMPL-ZC-18-6-18-PVT
0.00
18/06/2018
--
20150715-10
Kotak Mahindra Prime Limited
952371
KMPL-8.80%-26-6-18-PVT
8.80
26/06/2018
ANNUALY
20150715-10
Kotak Mahindra Prime Limited
952372
KMPL-ZC-2-7-18-PVT
0.00
02/07/2018
--
20150715-10
Kotak Mahindra Prime Limited
952373
KMPL-8.80%-10-7-18-PVT
8.80
10/07/2018
ANNUALY
20150715-10
Kotak Mahindra Prime Limited
952374
KMPL-ZC-13-7-18-PVT
0.00
13/07/2018
--
20150715-10
Kotak Mahindra Prime Limited
952375
KMPL-8.80%-10-8-18-PVT
8.80
10/08/2018
ANNUALY
20150715-10
Kotak Mahindra Prime Limited
952329
KMPL-ZC-1-8-16-PVT
0.00
01/08/2016
--
20150708-10
Kotak Mahindra Prime Limited
952057
KMPL-ZC-25-4-17-PVT
0.00
25/04/2017
--
CRISIL AAA/stable
20150430-9
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* Note : Notice No. nomenclature is Year(4), Month(2), date(2) – Notice number.