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.*
Mahindra & Mahindra Financial Services Limited
949820
MMFSL-9.95%-AA-15-1-19-PVT
9.95
15/01/2019
ANNUALY
CRISIL AA+/STABLE
20140127-10
Mahindra & Mahindra Financial Services Limited
949821
MMFSL-9.95%-AB-16-1-19-PVT
9.95
16/01/2019
ANNUALY
CRISIL AA+/STABLE
20140127-10
Infrastructure Leasing & Financial Services Limited
949896
ILFS-9.95%-4-2-19-PVT
9.95
04/02/2019
ANNUALY
IND AAA
20140224-14
Infrastructure Leasing & Financial Services Limited
949897
ILFS-9.95%-4-2-21-PVT
9.95
04/02/2021
ANNUALY
CARE AAA
20140224-14
ICICI Bank Ltd.
951089
ICICI-9.95%-26-3-24-PVT
9.95
26/03/2024
ANNUALY
CRISIL AAA
20141031-
Shriram Transport Finance Co. Ltd.,
951326
STFC-9.95%-28-11-19-PVT
9.95
28/11/2019
ANNUALY
IND AA+
20141209-8
HDFC Bank Ltd.
972447
HDFC-9.95%-SRIIB-19-02-2024-PVT
9.95
19/02/2024
yearly
CARE & FITCH
20090302-6
STATE BANK OF HYDERABAD
972393
SBH-PERPETUAL-9.95%-PVT
9.95
28/03/2018
--
CRISIL AAA/STABLE CARE AAA
20080604-11
Infrastructure Leasing & Financial Services Limited
947105
ILFS-9.95%-14-02-2016-PVT
9.95
14/02/2021
--
CARE AAA
20110303-12
AXIS Bank Ltd.
946080
AXISBANK-9.95%-28-03-19-PVT
9.95
28/03/2019
--
FITCH AAA(ind), CARE AAA
20090408-2
United Phosphorus Ltd.
946637
UPL-B-09-04-2020-PVT
9.95
09/04/2020
--
CARE AA+
20100416-7
Kotak Mahindra Prime Limited
950263
KMPL-9.94%-6-4-16-PVT
9.94
06/04/2016
CUMULATIVE
CRISIL AA+/STABLE
20140528-
Kotak Mahindra Prime Limited
950272
KMPL-9.93%-13-3-17-PVT
9.93
13/03/2017
CUMULATIVE
CRISIL AA+/STABLE
20140528-
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
Kotak Mahindra Prime Limited
949595
KMPL-9.9078%-21-10-16-A-PVT
9.91
21/10/2016
ANNUALY
CRISIL AA+/STABLE
20131031-12
Infrastructure Leasing & Financial Services Limited
949898
ILFS-9.9%-4-2-24-PVT
9.90
04/02/2024
ANNUALY
IND AAA
20140224-14
IL&FS Financial Services Limited
949861
IL&FS-9.9%-VI-28-1-19-PVT
9.90
28/01/2019
ANNUALY
IND AAA
20140211-19
Bajaj Finance Limited
949873
BAJAJ-9.9%-87-28-1-19-PVT
9.90
28/01/2019
ANNUALY
CRISIL AA+/STABLE
20140213-12
Reliance Home Finance Limited
949874
RHFL-9.9%-B25-31-1-17-PVT
9.90
31/01/2017
HALF YEARLY
CARE AA+
20140213-24
Mahindra & Mahindra Financial Services Limited
949822
MMFSL-9.9%-AC-17-1-19-PVT
9.90
17/01/2019
ANNUALY
CRISIL AA+/STABLE
20140127-10
Mahindra & Mahindra Financial Services Limited
949831
MMFSL-9.9%-AE-20-1-17-PVT
9.90
20/01/2017
ANNUALY
CRISIL AA+/STABLE
20140128-7
L&T Infrastructure Finance Company Limited
949695
LTINFRA-9.9%-9-12-16-PVT
9.90
09/12/2016
ANNUALY
ICRA AA+
20131216-18
Kotak Mahindra Prime Limited
950269
KMPL-9.9%-24-4-17-PVT
9.90
24/04/2017
CUMULATIVE
CRISIL AA+/STABLE
20140528-
Kotak Mahindra Prime Limited
950270
KMPL-9.9%-8-5-17-PVT
9.90
08/05/2017
CUMULATIVE
CRISIL AA+/STABLE
20140528-
Kotak Mahindra Prime Limited
950264
KMPL-9.9%-25-4-16-PVT
9.90
25/04/2016
CUMULATIVE
CRISIL AA+/STABLE
20140528-
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* Note : Notice No. nomenclature is Year(4), Month(2), date(2) – Notice number.