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 Ports and Terminals Limited
947357
RTPL-10.40%-18-07-2021-PVT
10.40
18/07/2021
--
CRISIL AAA/stable
20110725-14
Meghmani Organics Ltd.
947019
MEGHMANI-A-10.40%-12-10-14-PVT
10.40
12/10/2014
--
CARE A+
20110107-6
INDIABULLS HOUSING FINANCE LIMITED
950432
IHFL-10.35%-30-12-16-PVT
10.35
30/12/2016
ANNUALY
BWR AA+
20140715-9
INDIABULLS HOUSING FINANCE LIMITED
950419
IBHFL-10.35%-II-27-6-16-PVT
10.35
27/06/2016
ANNUALY
BWR AA+
20140711-12
INDIABULLS HOUSING FINANCE LIMITED
950420
IBHFL-10.35%-III-27-6-17-PVT
10.35
27/06/2017
ANNUALY
CARE AA+
20140711-12
HDB FINANCIAL SERVICES LIMITED
949541
HDB-10.35%-A28-8-10-18-PVT
10.35
08/10/2018
ANNUALY
CARE AAA
20131011-10
Patel KNR Heavy Infrastructures Limited
949496
PATELKNR-10.35%-31-3-27-F-PVT
10.35
31/03/2027
HALF YEARLY
CARE AAA
20130924-16
L&T Infrastructure Finance Company Limited
949852
LTINFRA-10.35%-PERPETUAL-PVT
10.35
--
ANNUALY
ICRA 'AA'
20140502-
Reliance Capital Limited
949431
RCL-10.35%-B294-21-8-20-E-PVT
10.35
21/08/2020
ANNUALY
CARE AAA
20130830-13
RELIGARE FINVEST LIMITED
952345
RFL-10.35%-23-7-18-PVT
10.35
23/07/2018
ANNUALY
20150710-19
ECL Finance Limited
951122
ECL-10.35%-16-10-20-PVT
10.35
16/10/2020
QUARTERLY
CARE AA
20141103-10
Bank of maharashtra
972325
BOM-SR4-10.35%-19-07-2022-PVT
10.35
19/07/2022
Int Annually on 19th july,10.35% for 1st 10 years, then 10.85% for last 5 years
CRISIL AA/stable, CARE AA-
20070828-4
Reliance Capital Limited
947171
RELCAP-10.35%-24-3-14-PVT
10.35
24/03/2014
--
CARE AAA
20110415-9
Reliance Capital Limited
947172
RELCAP-10.35%-10-4-14-PVT
10.35
10/04/2014
--
CARE AAA
20110415-9
Reliance Capital Limited
947254
RCL-170-173-10.35%-25-4-14-PVT
10.35
24/04/2014
--
CARE AAA
20110524-7
Kotak Mahindra Prime Limited
947394
KMPL-1969-10.35%-8-8-14-PVT
10.35
08/08/2014
--
CRISIL AA+/STABLE
20110812-13
Reliance Capital Limited
947262
RELCAP-174-10.35%-2-5-14-PVT
10.35
02/05/2014
--
CARE AAA
20110526-15
United Phosphorus Ltd.
946871
UPL-SR-B-10.35%-5-10-2019-PVT
10.35
05/10/2019
--
CARE AA+
20101008-11
Dishman Pharmaceuticals & Chemicals Ltd.
946679
DPCL-A-10.35%-18-02-14-PVT
10.35
18/02/2014
--
CARE AA-
20100512-9
Dishman Pharmaceuticals & Chemicals Ltd.
946681
DPCL-C-10.35%-18-02-2016-PVT
10.35
18/02/2016
--
CRISIL AA-
20100512-9
Dishman Pharmaceuticals & Chemicals Ltd.
946682
DPCL-D-10.35%-18-02-17-PVT
10.35
18/02/2017
--
CARE AA-
20100512-9
Shriram Transport Finance Co. Ltd.,
946591
STFC-10.35%-31-10-2019-PVT
10.35
31/10/2019
--
CARE AA
20100325-10
Shriram Transport Finance Co. Ltd.,
946589
STFC-10.35%-22-11-2019-PVT
10.35
22/11/2019
--
CARE AA
20100325-10
Magma Housing Finance
951316
MHF-10.3265%-30-5-16-PVT
10.33
30/05/2016
ANNUALY
CARE AA-
20141205-17
Magma Housing Finance
951674
MHF-10.3308%-25-4-18-PVT
10.33
25/04/2018
CUMULATIVE
CARE AA-
20150216-7
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* Note : Notice No. nomenclature is Year(4), Month(2), date(2) – Notice number.