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.*
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
972365
PIDB-STRPPG-27-12-2024-PVT
--
27/12/2024
--
A-(SO) by CARE and LBBB+(SO) by ICRA
20080130-4
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
972366
PIDB-STRPPH-27-12-2025-PVT
--
27/12/2025
--
A-(SO) by CARE and LBBB+(SO) by ICRA
20080130-4
PUNJAB INFRASTRUCTURE DEVELOPMENT BOARD
972367
PIDB-STRPPI-27-12-2026-PVT
--
27/12/2026
--
A-(SO) by CARE and LBBB+(SO) by ICRA
20080130-4
Punjab National Bank
951898
PNB-8.35%-24-3-25-PVT
8.35
24/03/2025
ANNUALY
CARE AAA
20150407-18
Punjab National Bank
951695
PNB-9.15%-PERPETUAL-PVT
9.15
--
ANNUALY
IND AA+
20150223-5
Punjab National Bank
951688
PNB-8.23%-9-2-25-PVT
8.23
09/02/2025
ANNUALY
IND AAA
20150219-2
Punjab National Bank
951044
PNB-9.25%-XVIII-30-9-24-PVT
9.25
30/09/2024
ANNUALY
CRISIL AAA
20141020-10
Punjab National Bank
950086
PNB-9.68%-XV-28-3-24-PVT
9.68
28/03/2024
ANNUALY
CRISIL-AAA/STABLE
20140411-10
Punjab National Bank
950087
PNB-9.68%-XVI-3-4-24-PVT
9.68
03/04/2024
ANNUALY
IND AAA/Stable
20140411-10
Punjab National Bank
949943
PNB-9.65%-XIV-24-2-24-PVT
9.65
24/02/2024
ANNUALY
ICRA AAA(hyb)
20140310-
Punjab State Electricity Board
972423
PUNJAB-SRI-9.40%-08-07-18-PVT
9.40
08/07/2018
--
A-(SO) CARE & LBBB+(SO) ICRA
20081231-9
Puravankara Projects Limited
947305
PPL-15.50%-I-01-02-14-PVT
15.50
01/02/2014
--
BWR A-
20110623-10
Puravankara Projects Limited
947306
PPL-16%-II-01-02-14-PVT
16.00
01/02/2014
--
BWR A-(SO)
20110623-10
PVR Ltd.
946541
PVR-11.40%-01-01-2017-PVT
11.40
01/01/2017
--
CRISIL A+/STABLE
20100223-6
PVR Ltd.
946542
PVR-11.40%-01-01-2018-PVT
11.40
01/01/2018
--
CRISIL A+/STABLE
20100223-6
PVR Ltd.
946543
PVR-11.40%-01-01-2019-PVT
11.40
01/01/2019
--
CRISIL A+/STABLE
20100223-6
PVR Ltd.
949927
PVR-10.95%-25-2-19-PVT
10.95
25/02/2019
MONTHLY
CRISIL A+
20140314-16
PVR Ltd.
950329
PVR-10.75%-10-6-19-PVT
10.75
10/06/2019
MONTHLY
CRISIL A+
20140620-17
PVR Ltd.
951292
PVR-11%-24-11-19-PVT
11.00
24/11/2019
MONTHLY
CRISIL A+
20141201-12
PVR Ltd.
951293
PVR-11%-24-11-20-PVT
11.00
24/11/2020
MONTHLY
CRISIL A+
20141201-12
PVR Ltd.
951294
PVR-11%-24-11-21-PVT
11.00
24/11/2021
MONTHLY
CRISIL A+
20141201-12
PVR Ltd.
951264
PVR-11%-16-10-19-PVT
11.00
16/10/2019
MONTHLY
CRISIL A+
20141125-4
PVR Ltd.
951265
PVR-11%-16-10-20-PVT
11.00
16/10/2020
MONTHLY
CRISIL A+
20141125-4
PVR Ltd.
951266
PVR-11%-16-10-21-PVT
11.00
16/10/2021
MONTHLY
CRISIL A+
20141125-4
PVR Ltd.
951267
PVR-11%-16-10-18-PVT
11.00
16/10/2018
MONTHLY
CRISIL A+
20141125-4
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* Note : Notice No. nomenclature is Year(4), Month(2), date(2) – Notice number.