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.*
HDFC Bank Ltd.
972148
HDFC-8.60%-04-02-2016-PVT
8.60
04/02/2016
--
CARE AAA
20060518-15
HDFC Bank Ltd.
972154
HDFC-1-2006-8.45%-19-05-2016-PVT
8.45
19/05/2016
04th February every year and on the date of redemption, 19.05.2016
CARE AAA
20060615-17
HDFC Bank Ltd.
972123
HDFC-7.5%-28-06-2015-PVT
7.50
28/06/2015
Annually on 04th Feb
CARE AAA : FITCH AAA
20060105-6
HDFC Bank Ltd.
972112
HDFC-7.5%-27-04-2015-PVT
7.50
27/04/2015
Annually on 04th Feb
CARE AAA : FITCH AAA
20051201-12
HDFC Bank Ltd.
972162
HDFCBNK-8.80%-05-06-2021-PVT
8.80
05/06/2021
4th Feb yearly
CARE AAA, CRISIL AAA
20060711-07
HDFC Bank Ltd.
972221
HDFC-9.20%-05-09-2021-PVT
9.20
05/09/2021
Annually on 4, Feb
CARE AAA, CRISIL AAA/STABLE
20060928-9
HDFC Bank Ltd.
972222
HDFC-9.10%-05-09-2016-PVT
9.10
05/09/2016
Yearly 4th Feb
CARE AAA, FITCH AAA (Ind)
20061003-3
HDFC Bank Ltd.
972223
HDFC-PERP-9.92%-PVT
9.92
--
Half Yearly on 4th Feb and 4th Aug
CARE AAA, CRISIL AAA/STABLE
20061003-01
HDFC Bank Ltd.
972264
HDFC-8.95%-20-10-2021-PVT
8.95
20/10/2021
Annually on 4th February
CARE AAA CRISIL AAA/Stable
20061206-2
HDFC Bank Ltd.
972747
HDFCBANK-9.45%-1-13-8-27-PVT
--
13/08/2027
--
FITCH AAA (Ind)
20120823-
HDFC Bank Ltd.
972761
HDFCBANK-8.95%-2-31-10-22-PVT
--
31/10/2022
--
CARE AAA
20121105-8
HDFC Bank Ltd.
972644
HDFC-9.48%-12-05-2026-PVT
9.48
12/05/2026
--
CARE AAA
20110518-4
HDFC Bank Ltd.
972808
HDFCBANK-9.10%-3-28-12-22-PVT
--
28/12/2022
--
FITCH AAA (Ind)
20130107-9
HDFC Bank Ltd.
956281
HDFCBANK-8.85%-PERPETUAL-PVT
8.85
31/12/2099
ANNUALY
CRISIL AA+
20170518-
HDFC Bank Ltd.
956683
HBL-7.56%-29-6-27-PVT
7.56
29/06/2027
ANNUALY
20170712-31
HDFC Bank Ltd.
951927
HDFCBANK-8.45%-31-3-25-PVT
8.45
31/03/2025
ANNUALY
CARE AAA
20150409-27
HDFC Bank Ltd.
946073
HDFC-SR3-9.85%-17-03-24-PVT
9.85
17/03/2024
yearly
CARE AAA, CRISIL AAA/STABLE YEARLY
20090330-4
HDFC Credila Financial Services Ltd
973363
HDFCCFSL-7.23%-1-8-31-PVT
7.23
01/08/2031
ANNUALY
CARE AAA
20210805-29
HDFC Credila Financial Services Ltd
974307
HCFSL-8.17%-14-10-32-PVT
8.17
14/10/2032
ANNUALY
CRISIL AAA/stable
20221019-41
HDFC Credila Financial Services Ltd
974381
HCFSL-7.95%-24-11-32-PVT
7.95
24/11/2032
ANNUALY
CRISIL AAA/Stable
20221125-33
HDFC Credila Financial Services Ltd
974730
HDFCCFSL-8.25%-29-3-28-PVT
8.25
29/03/2028
ANNUALY
CRISIL AAA
HDFC Credila Financial Services Ltd
973818
HDFCSF-7.30%-23-2-29-PVT
7.30
23/02/2029
ANNUALY
CRISIL AAA
20220302-41
HDFC Credila Financial Services Ltd
973748
HCFSL-7.50%-30-1-32-PVT
7.50
30/01/2032
ANNUALY
CRISIL AAA/stable
20220203-
HDFC Credila Financial Services Ltd
975292
HCFSL-9.60%-29-6-29-PVT
9.60
29/06/2029
ANNUALY
CRISIL AAA
20240101-23
HDFC Credila Financial Services Ltd
975426
HCFSL-9.60%-24-2-34-PVT
9.60
24/02/2034
ANNUALY
CRISIL AAA
20240227-31
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* Note : Notice No. nomenclature is Year(4), Month(2), date(2) – Notice number.