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.*
Shriram Transport Finance Co. Ltd.,
950936
STFC-9.75%-19-9-19-PVT
9.75
19/09/2019
ANNUALY
IND AA+
20141001-14
AU Financiers (India) Limited
949658
AUFIN-13%-19-9-19-A-PVT
13.00
19/09/2019
ANNUALY
CRISIL A
20131205-
Ecap Equities Limited
956642
EEL-NIFTY-F9F707A-19-9-19-PVT
0.00
19/09/2019
--
20170706-6
INDIABULLS HOUSING FINANCE LIMITED
956224
IBHFL-8.35%-19-9-19-PVT
8.35
19/09/2019
ANNUALY
CARE AAA
20170504-
IFCI Ltd.
972628
IFCI-54R-7.07%-19-9-2019-PVT
7.07
19/09/2019
--
ICRA LA-
20110307-7
Volkswagen Finance Private Limited
954944
VFPL-8.47%-20-9-19-PVT
8.47
20/09/2019
ANNUALY
20160930-33
National Bank for Agriculture and Rural Development
954957
NABARD-7.29%-20-9-19-PVT
7.29
20/09/2019
ANNUALY
20161003-24
Shriram Transport Finance Co. Ltd.,
955001
STFCL-8.25%-20-9-19-PVT
8.25
20/09/2019
ANNUALY
20161010-26
Shriram Transport Finance Co. Ltd.,
954521
STFCL-ZC-20-09-19-PVT
0.00
20/09/2019
--
20160809-4
Shriram Transport Finance Co. Ltd.,
954522
STFCL-ZC-20-09-19-PVT
0.00
20/09/2019
--
20160809-4
SATIN CREDITCARE NETWORK LIMITED
956920
SCNL-13.50%-20-9-19-PVT
13.50
20/09/2019
MONTHLY
20170926-27
INDIABULLS HOUSING FINANCE LIMITED
956941
IHFL-7.45%-20-9-19-PVT
7.45
20/09/2019
ANNUALY
20171004-20
IOT Utkal Energy Services Limited
950159
IOT-9.843%-II-20-9-19-PVT
9.84
20/09/2019
CUMULATIVE
CRISIL AAA(SO)/Negative
20140423-
Reliable Devices Trust
958473
RDT-SERIES3-21-9-19-PTC
0.00
21/09/2019
CUMULATIVE
20190101-31
Shriram Transport Finance Co. Ltd.,
957763
STFCL-8.10%-23-9-19-PVT
8.10
23/09/2019
ANNUALY
20180402-49
Housing Development Finance Corp.Lt
954686
HDFCL-7.95%-23-09-19-PVT
7.95
23/09/2019
ANNUALY
20160826-26
Infrastructure Leasing & Financial Services Limited
955012
ILFS-ZC-23-9-19-PVT
0.00
23/09/2019
--
20161013-
Infrastructure Leasing & Financial Services Limited
954965
ILFS-8.05%-23-9-19-PVT
8.05
23/09/2019
ANNUALY
20161004-41
Cox & Kings Limited
954990
COX-8.50%-23-9-19-PVT
8.50
23/09/2019
ANNUALY
20161007-
Edelweiss Finvest Pvt. Ltd.
956362
EFPL-NIFTY-E8E705B-23-9-19-PVT
0.00
23/09/2019
--
20170601-44
Edelweiss Finvest Pvt. Ltd.
956367
EFPL-NIFTY-E8E705G-23-9-19-PVT
0.00
23/09/2019
--
20170601-44
Edelweiss Finvest Pvt. Ltd.
956654
EFPL-NIFTY-F8F701B-23-9-19-PVT
0.00
23/09/2019
--
20170707-16
Ecap Equities Limited
956390
EEL-E8E704B-NIFTY-23-9-19-PVT
0.00
23/09/2019
--
20170605-11
Ecap Equities Limited
956395
EEL-E8E704G-NIFTY-23-9-19-PVT
0.00
23/09/2019
--
20170605-11
JM Financial Assets Reconstruction Company Private Limited
951003
JMFAR-13%-23-9-19-PVT
13.00
23/09/2019
ANNUALY
CRISIL A+/STABLE
20141013-
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* Note : Notice No. nomenclature is Year(4), Month(2), date(2) – Notice number.