List of Privately Placed Debt Instruments
Company Name :
CompanySecurity CodeSecurity NameRate of InterestRedemption DateLast Date of InterestCredit RatingNotice No.*
Ess Kay Fincorp Ltd960331EKFL-9.65%-17-6-22-PVT9.6517/06/2022QUARTERLYCARE A20201218-31
HINDUJA HOUSING FINANCE LIMITED975298HHFL-9.65%-29-12-38-PVT9.6529/12/2038ANNUALYCRISIL AA/Stable20240102-19
Adani Capital Private Limited975186ACPL-9.65%-6-11-26-PVT9.6506/11/2026QUARTERLYCRISIL AA-
Northern Arc Capital Ltd.975570NAC-9.65%-27-3-27-PVT9.6527/03/2027MONTHLYICRA AA-/STABLE20240402-27
360 ONE PORTFOLIO MANAGERS LIMITED975910OPML-9.65%-13-8-27-PVT9.6513/08/2027ANNUALYICRA AA/Stable
Hinduja Leyland Finance Limited975693HLFL-9.65%-29-5-39-PVT9.6529/05/2039ANNUALYCARE AA
Vistaar Financial Services Pvt Ltd975597VFSPL-19-4-27-PVT9.6519/04/2027QUARTERLYICRA A+
Macrotech Developers Limited974511MDL-9.65%-SBI MCLR-29-6-26-PVT9.6529/06/2026QUARTERLYICRA A+20230104-20
Vastu Finserve India Private Limited 974961VFPL-9.65%-3-7-25-PVT9.6503/07/2025HALF YEARLYCARE AA-/Stable20230705-20
Avanse Financial Services Limited974743AFSL-9.65%-29-6-26-PVT9.6529/06/2026ANNUALYCARE A+/Stable20230331-41
IDBI Bank Ltd972553IDBI-SRXI-PERPETUAL-PVT9.65----20100405-11
Yes Bank Ltd.972595YESBANK-9.65%-14-08-25-PVT9.6514/08/2025--ICRA LAA-20101112-6
Dishman Pharmaceuticals & Chemicals Ltd.946835DPCL-9.65%-I-16-06-14-PVT9.6516/06/2014--CARE AA-20100916-4
Dishman Pharmaceuticals & Chemicals Ltd.946836DPCL-9.65%-II-16-06-15-PVT9.6516/06/2015--CARE AA-20100916-4
ESS DEE Aluminium Limited947009ESSDEE-9.65%-30-07-2017-PVT9.6530/07/2017--CARE AA-20110103-3
BILT GRAPHIC PAPER PRODUCTS LIMITED947011BILT-9.65%-C-16-09-14-PVT9.6516/09/2014--FITCH AA-(ind)20110105-6
BILT GRAPHIC PAPER PRODUCTS LIMITED947012BILT-9.65%-D-16-09-15-PVT9.6516/09/2015--FITCH AA-(ind)20110105-6
BILT GRAPHIC PAPER PRODUCTS LIMITED947013BILT-E-9.65%-16-09-16-PVT9.6516/09/2016--FITCH AA-(ind)20110105-6
BILT GRAPHIC PAPER PRODUCTS LIMITED947014BILT-9.65%-F-16-03-17-PVT9.6516/03/2017--FITCH AA-(ind)20110105-6
Kotak Mahindra Prime Limited950079KMPL-9.6376%-2376-7-4-15-PVT9.6407/04/2015CUMULATIVECRISIL AA+/STABLE20140411-8
Kotak Mahindra Prime Limited950077KMPL-9.6388%-2374-6-4-15-PVT9.6406/04/2015CUMULATIVECRISIL AA+/STABLE20140411-8
Kotak Mahindra Prime Limited950292KMPL-9.6428%-23-11-15-PVT9.6423/11/2015CUMULATIVECRISIL AA+/STABLE20140606-
Power Finance Corporation Ltd950566PFC-9.64-15-12-16-PVT9.6415/12/2016ANNUALYCRISIL AAA20140723-
Kotak Mahindra Prime Limited950613KMPL-9.6309%-2429-30-5-16-PVT9.6330/05/2016CUMULATIVECRISIL AA+/STABLE20140808-15
Kotak Mahindra Prime Limited950289KMPL-9.6319%-6-4-16-PVT9.6306/04/2016CUMULATIVECRISIL AA+/STABLE20140605-
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* Note : Notice No. nomenclature is Year(4), Month(2), date(2) – Notice number.