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.*
Vajra 004 Trust
975296
VT-9.55%-20-6-29-PTC
9.55
20/06/2029
MONTHLY
CRISIL AAA
20240102-13
IFCI Ltd.
972558
IFCI-SR48-9.55%-05-03-25-PVT
9.55
05/03/2025
--
BWR AA-
20100427-11
IFCI Ltd.
972556
IFCI-SR49-9.55%-13-04-25-PVT
9.55
13/04/2025
--
BWR AA-
20100427-11
BILT GRAPHIC PAPER PRODUCTS LIMITED
947041
BILT-D-9.55%-29-09-15-PVT
9.55
29/09/2015
--
FITCH AA-(ind)
20110119-6
Kalpataru Power Transmission Ltd.
946829
KALPATARU-9.55%-15-07-14-PVT
9.55
15/07/2014
--
CARE AA
20100913-04
Welspun Corp Limited
946864
WELSPUN-9.55%-28-9-2025-PVT
9.55
28/09/2025
--
CARE AA-
20101005-8
Sarda Energy & Minerals Ltd
946886
SEML-9.55%-26-07-2017-PVT
9.55
26/07/2017
--
CARE AA-
20101015-6
Bajaj Finance Limited
946932
BAJAJFIN-9.55%-29-10-20-PVT
9.55
29/10/2020
--
ICRA LAA+
20101122-02
Welspun Corp Limited
946799
WELSPUN-9.55%-03-08-25-PVT
9.55
03/08/2025
--
CARE AA-
20100811-1
Tata Motors Ltd.
959066
TML-9.54%-28-6-24-PVT
9.54
28/06/2024
ANNUALY
CRISIL AA-/NEGATIVE
20191125-29
IL&FS Energy Development Company Limited
957969
IEDCL-9.53%-28-8-26-PVT
9.53
28/08/2026
QUARTERLY
20180611-21
Edelweiss Commodities Services Limited
958207
ECSL-9.53%-23-11-20-PVT
9.53
23/11/2020
ANNUALY
20180904-17
Vistaar Financial Services Pvt Ltd
960398
VFSPL-9.53%-30-6-22-PVT
9.53
30/06/2022
QUARTERLY
ICRA A-
20210105-17
DELHI INTERNATIONAL AIRPORT LIMITED
974004
DIAL-9.52%-22-6-27-PVT
9.52
22/06/2027
MONTHLY
ICRA A+
20220623-
Avanse Financial Services Limited
974871
AFSL-9.5221%-29-5-26-PVT
9.52
29/05/2026
HALF YEARLY
CARE AA-
20230531-25
Avanse Financial Services Limited
974872
AFSL-9.5221%-29-6-26-PVT
9.52
29/06/2026
HALF YEARLY
CARE AA-
20230531-25
Shriram-City Union Finance Ltd.
958062
SCU-9.52%-18-3-20-PVT
9.52
18/03/2020
ANNUALY
20180712-21
Reliance Home Finance Limited
949402
RHFL-9.52%-B23-26-7-23-PVT
9.52
26/07/2023
HALF YEARLY
CARE AA+
20130813-10
Rural Electrification Corporation Limited
950016
REC-9.52%-121-25-3-17-PVT
9.52
25/03/2017
ANNUALY
CARE AAA
20140327-10
Power Finance Corporation Ltd
950582
PFC-9.52%-2-5-17-PVT
9.52
02/05/2017
ANNUALY
ICRA AAA
20140723-
Kotak Mahindra Prime Limited
950711
KMPL-9.5073%-30-8-16-PVT
9.51
30/08/2016
CUMULATIVE
CRISIL AAA/stable
20140827-
Kotak Mahindra Investments Limited
950699
KMIL-9.5089%-13-11-2015-PVT
9.51
13/11/2015
CUMULATIVE
CRISIL AAA/Stable
20140827-11
Power Finance Corporation Ltd
950517
PFC-9.51%-15-4-2015-PVT
9.51
15/04/2015
ANNUALY
CRISIL AAA
20140722-
Kotak Mahindra Prime Limited
950385
KMPL-9.5087%-2422-26-6-17-PVT
9.51
26/06/2017
CUMULATIVE
CRISIL AA+/STABLE
20140703-4
Vivriti Capital Private Limited
974254
VCPL-9.55%-25-9-24-PVT
9.55
25/09/2024
MONTHLY
CARE A
20220930-25
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* Note : Notice No. nomenclature is Year(4), Month(2), date(2) – Notice number.