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.*
Housing Development Finance Corp.Lt
952132
HDFC-8.7%-18-5-20-PVT
8.70
18/05/2020
ANNUALY
CRISIL AAA/stable
20150521-8
L&T Infrastructure Finance Company Limited
952138
LTINF-8.84%-19-05-20-PVT
8.84
19/05/2020
ANNUALY
CARE AA+
20150522-30
Infrastructure Leasing & Financial Services Limited
952169
ILFS-8.75%-20-5-20-PVT
8.75
20/05/2020
ANNUALY
ICRA AAA
20150528-14
IOT Utkal Energy Services Limited
950172
IOT-9.843%-II-20-5-20-PVT
9.84
20/05/2020
CUMULATIVE
IND AAA(SO)/Stable
20140423-
Shriram Transport Finance Co. Ltd.,
949219
STFC-10.4%-20-5-20-A-PVT
--
20/05/2020
--
CARE AA+
20130528-6
L&T Infrastructure Finance Company Limited
952166
LTINF-8.81%-22-5-20-PVT
8.81
22/05/2020
ANNUALY
CARE AA+
20150528-13
Jindal Steel & Power Ltd
946514
JINDALSTEEL-9.8%-24-05-20-PVT
9.80
24/05/2020
--
ICRA 'LAA'
20100216-3
Mahindra & Mahindra Financial Services Limited
949233
MMFSL-9.50%-CCC-25-5-20-A-PVT
--
25/05/2020
--
CRISIL AA+/STABLE
20130604-16
Steel Authority of India Ltd
972797
SAIL-9.30%-H-25-5-20-PVT
--
25/05/2020
--
FITCH AAA (Ind)
20121218-18
Steel Authority of India Ltd.,
972793
SAIL-C-9.30%-25-05-20-PVT
--
25/05/2020
--
FITCH AAA (Ind)
20121214-22
Larsen & Toubro Limited
946711
LARSEN-8.65%-26-05-2020-PVT
8.65
26/05/2020
--
CRISIL AAA/stable
20100602-11
Shriram Transport Finance Co. Ltd.,
946757
STFL-10.75%-28-05-2020-PVT
10.75
28/05/2020
--
CARE AA
20100712-6
Bajaj Auto Finance Ltd.
946730
BAJAJAUTO-9.50%-01-06-2020-PVT
9.50
01/06/2020
--
CRISIL AA+/STABLE
20100618-11
National Bank for Agricultural and Rural Development
972602
NABARD-ZC-01-06-2020-PVT
--
01/06/2020
--
CARE AAA
20101223-11
Shriram Transport Finance Co. Ltd.,
946958
STFC-10.60%-A-04-06-20-PVT
10.60
04/06/2020
--
CARE AA
20101214-3
Jindal Steel & Power Ltd
946488
JSPL-9.80%-08-06-2020-PVT
9.80
08/06/2020
--
ICRA 'LAA'
20100204-7
Hinduja Leyland Finance Limited
952705
HLF-10.55%-12-6-20-PVT
10.55
12/06/2020
ANNUALY
20150909-9
Power Finance Corporation Ltd
950572
PFC-8.65%-15-6-20-PVT
8.65
15/06/2020
ANNUALY
CRISIL AAA
20140723-
SATIN CREDITCARE NETWORK LIMITED
950595
SATIN-14.70%-15-6-2020-PVT
14.70
15/06/2020
HALF YEARLY
CARE BBB
20140730-4
Aarti Industries Ltd
950633
AARTI-11.75%-15-6-20-PVT
11.75
15/06/2020
ANNUALY
CRISIL A+/STABLE
20140813-11
Reliance Infrastructure Ltd
949305
RELINFRA-11A-15-6-20-10%-PVT
10.00
15/06/2020
ANNUALY
BWR AA
20130702-9
Reliance Infrastructure Ltd
949307
RELINFRA-12A-10%-15-6-20-PVT
10.00
15/06/2020
ANNUALY
BWR AA
20130702-9
Shriram-City Union Finance Ltd.
952321
SCUF-9.30%-17-6-20-PVT
9.30
17/06/2020
ANNUALY
20150707-12
Simplex Infrastructures Limited
952308
SIMPLEX-11.25%-17-6-20-PVT
11.25
17/06/2020
ANNUALY
20150703-9
Hinduja Finance Limited
951815
HFL-3%-18-06-20-PVT
3.00
18/06/2020
CUMULATIVE
BWRA -
20150323-18
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* Note : Notice No. nomenclature is Year(4), Month(2), date(2) – Notice number.