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.*
Reliance Capital Limited
950619
RCL-9.42%-B301-4-8-24-PVT
9.42
04/08/2024
ANNUALY
CARE AAA
20140808-11
Power Finance Corporation Ltd
950553
PFC-9.42%-20-3-20-PVT
9.42
20/03/2020
ANNUALY
CRISIL AAA
20140723-
JM FINANCIAL PRODUCTS LIMITED
958221
JFPL-9.4241%-25-2-20-PVT
9.42
25/02/2020
ANNUALY
20180907-17
JM FINANCIAL PRODUCTS LIMITED
958261
JFPL-9.4241%-30-6-22-PVT
9.42
30/06/2022
ANNUALY
20180924-46
Shriram Housing Finance Limited
960422
SHFL-9.42%-15-1-31-PVT
9.42
15/01/2031
ANNUALY
CRISIL AA
20210119-13
Macrotech Developers Limited
974986
MDL-9.42%-30-6-26-PVT
9.42
30/06/2026
QUARTERLY
ICRA A+(Stable)
20230721-34
360 ONE Prime Limited
976180
360OPL-9.42%-31-5-27-PVT
9.42
31/05/2027
ANNUALY
ICRA AA
Sintex Prefab & Infra Ltd
956911
SPIL-9.41%-8-10-20-PVT
9.41
08/10/2020
QUARTERLY
20170925-13
Power Finance Corporation Ltd
950559
PFC-9.41%-1-9-2016-PVT
9.41
01/09/2016
ANNUALY
CRISIL AAA
20140723-
Kotak Mahindra Prime Limited
950369
KMPL-9.4135%-2418-20-6-16-PVT
9.41
20/06/2016
CUMULATIVE
CRISIL AA+/STABLE
20140627-7
Power Finance Corporation Ltd
950542
PFC-9.41%-1-6-19-PVT
9.41
01/06/2019
ANNUALY
CRISIL AAA
20140722-
IDBI Bank Ltd
972408
IDBI-SRII-9.41%-16-02-2018-PVT
9.41
16/02/2018
Yearly
CRISIL AA+/STABLE, FITCH AA+(ind), ICRA LAA
20080929-5
Indian Railway Finance Corporation Ltd
972658
IRFC-78-9.41%-28-07-2021-PVT
9.41
28/07/2021
--
CARE AAA
20110812-14
IFCI Ltd.
959682
IFCIL-9.4%-21-4-23-PVT
9.40
21/04/2023
ANNUALY
ICRA BBB-
20200708-25
Manappuram Home Finance Limited
959766
MHFL-9.4%-19-7-23-PVT
9.40
19/07/2023
ANNUALY
CARE AA-
20200724-
INCRED FINANCIAL SERVICES LIMITED
960047
IFSL-9.40%-14-3-22-PVT
9.40
14/03/2022
HALF YEARLY
CARE A
20200928-
INCRED FINANCIAL SERVICES LIMITED
959903
IFS-9.4%-10-2-22-PVT
9.40
10/02/2022
ANNUALY
CARE A
20200821-9
Avanse Financial Services Limited
976152
AVFSL-9.4%-29-10-27-PVT
9.40
29/10/2027
HALF YEARLY
CRISIL AA-/Stable
20241105-9
Avanse Financial Services Limited
976121
AFSL-9.4%-22-10-27-PVT
9.40
22/10/2027
HALF YEARLY
CRISIL AA-
20241024-32
PLUM 25-7
976071
PL257-9.40%-20-3-28-PTC
9.40
20/03/2028
MONTHLY
ICRA A
A.K. Capital Finance Ltd.
976069
AKCFL-9.40%-3-10-27-PVT
9.40
03/10/2027
MONTHLY
CARE AA-
20241004-27
Avanse Financial Services Limited
976082
AVFSL-9.40%-7-10-27-PVT
9.40
07/10/2027
HALF YEARLY
CRISIL AA-/Stable
20241009-17
Avanse Financial Services Limited
976056
AFSL-9.40%-27-9-27-PVT
9.40
27/09/2027
HALF YEARLY
CARE AA-/Stable
20241001-30
Avanse Financial Services Limited
976106
AFSL-9.4%-16-4-27-PVT
9.40
16/04/2027
HALF YEARLY
CRISIL AA-
Avanse Financial Services Limited
974989
AFSL-9.4%-08-07-26-PVT
9.40
08/07/2026
ANNUALY
CARE AA-
20230724-28
<< Previous
161
162
163
164
165
166
167
168
169
170
Next >>
* Note : Notice No. nomenclature is Year(4), Month(2), date(2) – Notice number.