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.*
Power Finance Corporation Ltd
950501
PFC-8.85%-15-10-14-PVT
8.85
15/10/2014
ANNUALY
CRISIL AAA
20140722-
Power Finance Corporation Ltd
950473
PFC-8.85%-15-6-30-PVT
8.85
15/06/2030
ANNUALY
CRISIL AAA
20140721-
Cauvery Neeravari Nigama Limited
951888
CNNL-8.85%-31-3-25-PVT
8.85
31/03/2025
ANNUALY
CRISIL AA-(SO)/Stable
20150406-18
Yes Bank Ltd.
951713
YESBANK-8.85%-24-2-25-PVT
8.85
24/02/2025
ANNUALY
CARE AA+
20150226-12
Shriram-City Union Finance Ltd.
954551
SCUF-8.8455%-22-03-18-PVT
8.85
22/03/2018
ANNUALY
20160811-19
Shriram Transport Finance Co. Ltd.,
954547
STFCL-8.85%-3-8-21-PVT
8.85
03/08/2021
ANNUALY
20160811-25
Bajaj Finance Limited
954461
BFL-8.85%-21-7-26-PVT
8.85
21/07/2026
ANNUALY
20160801-12
Bajaj Finance Limited
954448
BFL-8.85%-15-07-26-PVT
8.85
15/07/2026
ANNUALY
20160729-27
Reliance Capital Limited
954429
RCL-8.85%-13-07-21-PVT
8.85
13/07/2021
ANNUALY
20160727-24
INDIABULLS COMMERCIAL CREDIT LIMITED
957837
ICCL-8.85%-28-3-28-PVT
8.85
28/03/2028
ANNUALY
20180412-
Aditya Birla Finance Limited
957522
ABFL-8.85%-14-8-19-PVT
8.85
14/08/2019
ANNUALY
20180223-
Aditya Birla Finance Limited
957525
ABFL-8.85%-9-9-22-PVT
8.85
09/09/2022
ANNUALY
20180223-
Aditya Birla Finance Limited
957540
ABFL-8.85%-22-2-19-PVT
8.85
22/02/2019
ANNUALY
20180223-
Aditya Birla Finance Limited
957541
ABFL-8.85%-23-2-21-PVT
8.85
23/02/2021
ANNUALY
20180223-
Aditya Birla Finance Limited
957542
ABFL-8.85%-23-2-26-PVT
8.85
23/02/2026
ANNUALY
20180223-
G R Infraprojects Limited
957935
GRIL-8.85%-8-5-20-PVT
8.85
08/05/2020
ANNUALY
20180524-32
INDIABULLS HOUSING FINANCE LIMITED
957986
IHFL-8.85%-28-4-22-PVT
8.85
28/04/2022
CUMULATIVE
20160620-37
INDIABULLS HOUSING FINANCE LIMITED
957987
IHFL-8.85%-5-6-23-PVT
8.85
05/06/2023
ANNUALY
20160620-37
INDIABULLS HOUSING FINANCE LIMITED
957979
IHFL-8.85%-30-5-23-PVT
8.85
30/05/2023
ANNUALY
20180614-10
Aditya Birla Housing Finance Limited
958010
ABHFL-8.8500%XIRR-7-6-21-PVT
8.85
07/06/2021
CUMULATIVE
20180629-22
Tata AIG General Insurance Company Limited
959118
TAIGGICL-8.85%-19-12-29-PVT
8.85
19/12/2029
ANNUALY
CRISIL AA+
20191223-20
Welspun Enterprises Limited
959529
WEL-8.85%-27-5-23-PVT
8.85
27/05/2023
ANNUALY
BWR AA-
20200609-22
Welspun Enterprises Limited
959560
WEL-8.85%-1-6-23-PVT
8.85
01/06/2023
ANNUALY
BWR AA-
20200615-30
ONGC Petro additions Limited.
958672
OPAL-8.85%-19-4-22-PVt
8.85
19/04/2022
ANNUALY
ICRA AAA
20190329-18
Housing Development Finance Corp.Lt
958650
HDFCL-8.58%-18-3-22-PVT
8.85
18/03/2022
ANNUALY
20190322-48
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* Note : Notice No. nomenclature is Year(4), Month(2), date(2) – Notice number.