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.*
Axis Finance Limited
973063
AFL-5.8%-17-3-23-PVT
5.80
17/03/2023
ANNUALY
IND AAA
20210319-25
Axis Finance Limited
960477
AFL-7.45%-14-2-31-PVT
7.45
14/02/2031
ANNUALY
CRISIL AAA
20210216-22
Axis Finance Limited
960316
AFL-ZC-14-12-23-PVT
0.00
14/12/2023
--
CRISIL AAA
20201216-
Axis Finance Limited
960339
AFL-5%-21-12-22-PVT
5.00
21/12/2022
ANNUALY
CRISIL AAA/stable
20201222-
Axis Finance Limited
960181
AFL-4.95%-3-11-22-PVT
4.95
03/11/2022
ANNUALY
IND AAA/Stable
20201112-24
Axis Finance Limited
960048
AFL-6.5%-16-9-24-PVT
6.50
16/09/2024
ANNUALY
CRISIL AAA/stable
20200928-38
Axis Finance Limited
959546
AFL-7.45%-26-5-23-PVT
7.45
26/05/2023
ANNUALY
IND AAA
20200611-20
Axis Finance Limited
959587
AFL-GSEC-5-6-23-PVT
7.00
05/06/2023
CUMULATIVE
IND PP - MLD AAA emr / Stable
20200622-
Axis Finance Limited
959594
AFL-7.25%-15-6-23-PVT
7.25
15/06/2023
ANNUALY
IND AAA
20200623-
Axis Finance Limited
959782
AFL-6.15%-17-7-23-PVT
6.15
17/07/2023
ANNUALY
IND AAA/Stable
20200730-
Axis Finance Limited
975410
AFL-8.14%-21-2-29-PVT
8.14
21/02/2029
ANNUALY
IND AAA/Stable
20240223-12
Axis Finance Limited
975351
AFL-8.19%-29-1-29-PVT
8.19
29/01/2029
ANNUALY
CARE AAA
20240131-8
Axis Finance Limited
975319
AFL-8.38%-11-1-34-PVT
8.38
11/01/2034
ANNUALY
CARE AAA
20240115-28
Axis Finance Limited
975291
AFL-8.3%-26-12-25-PVT
8.30
26/12/2025
ANNUALY
CRISIL AAA
20240101-28
Axis Finance Limited
975293
AFL-8.92%-26-2-27-PVT
8.92
26/02/2027
ANNUALY
CRISIL AAA
20240101-28
Axis Finance Limited
975098
AFL-8%-22-7-26-PVT
8.00
22/07/2026
ANNUALY
IND AAA/Stable
Axis Finance Limited
975074
AFL-8%-11-12-26-PVT
8.00
11/12/2026
ANNUALY
CARE AAA/Stable
Axis Finance Limited
975208
AFL-8.10%-7-11-28-PVT
8.10
17/11/2028
ANNUALY
CRISIL AAA/stable
20231121-19
Axis Finance Limited
975171
AFL-8.28%-28-10-33-PVT
8.28
28/10/2033
ANNUALY
IND AAA/Stable
20231101-1
Axis Finance Limited
975680
AFL-8.15%-22-5-29-PVT
8.15
22/05/2029
ANNUALY
IND AAA/Stable
Axis Finance Limited
975599
AXFL-8.29%-19-8-27-PVT
8.29
19/08/2027
ANNUALY
IND AAA/Stable
Axis Finance Limited
973999
AFL-GSEC-13-6-25-PVT
0.00
13/06/2025
CUMULATIVE
IND PP - MLD AAA emr / Stable
20220617-
Axis Finance Limited
973934
AFL-6.75%-6-5-25-PVT
6.75
06/05/2025
ANNUALY
CRISIL-AAA/STABLE
20220511-
Axis Finance Limited
974388
AFL-8.06%-26-11-32-PVT
8.06
26/11/2032
ANNUALY
CRISIL AAA/Stable
20221129-35
Axis Finance Limited
974126
AFL-7.51%-24-10-25-PVT
7.51
24/10/2025
ANNUALY
CRISIL AAA/stable
20220829-35
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* Note : Notice No. nomenclature is Year(4), Month(2), date(2) – Notice number.