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.*
BLP Energy Private Limited
949373
BLPENERGY-10%-4-7-15-PVT
10.00
04/07/2015
QUARTERLY
CRISIL BBB-/Stable
20130722-11
Blue Blends (India) Ltd
955773
BBIL-16%-31-3-20-PVT
16.00
31/03/2020
MONTHLY
BWR BB
20170320-20
Blue Horizon Hotels Private Limited
960217
BHHPL-14.80%-26-10-24-PVT
14.80
26/10/2024
MONTHLY
ACUITE BB
20201124-19
BOB Financial Solutions Limited
973047
BFSL-7.65%-7-3-31-PVT
7.65
07/03/2031
ANNUALY
ICRA AAA/STABLE
20210315-2
Bombay Burmah Trading Corpn. Ltd.,
973132
BBTCL-NIFTY-29-3-23-PVT
0.00
29/03/2023
CUMULATIVE
IND PP MLD AA-emr/Stable
20210401-
Bombay Burmah Trading Corpn. Ltd.,
973555
BBTCL-GSEC-24-1-24-PVT
0.00
24/01/2024
CUMULATIVE
IND PP MLD AAemr Stable
20211028-
Bombay Burmah Trading Corpn. Ltd.,
960127
BBTCL-8.80%-28-9-23-PVT
8.80
28/09/2023
QUARTERLY
IND AA/Stable
20201019-19
Bombay Burmah Trading Corpn. Ltd.,
956460
BBTCL-8.44%-30-4-20-PVT
8.44
30/04/2020
QUARTERLY
20170609-27
Bombay Burmah Trading Corpn. Ltd.,
959474
BBTCL-8.80%-30-4-22-PVT
8.80
30/04/2022
QUARTERLY
IND AA
20200519-7
Bombay Burmah Trading Corpn. Ltd.,
959475
BBTCL-8.80%-30-4-23-PVT
8.80
30/04/2023
QUARTERLY
IND AA
20200519-7
BOND BASKET 01 2024
975402
BB-11.034%-30-3-26-PTC
11.03
30/06/2026
MONTHLY
CARE BBB
20240222-22
Brigade Properties Pvt Ltd
951847
BPPL-16%-19-3-22-PVT
16.00
19/03/2022
ANNUALY
ICRA A-
20150327-20
Bright Buildtech Private Limited
950235
BRIGHT-1%-1-9-23-PVT
1.00
01/09/2023
ANNUALY
BWR B+
20140505-
Bright Buildtech Private Limited
949444
BRIGHT-1%-1-9-23-PVT
1.00
01/09/2023
ANNUALY
BWR B+
20130904-11
C&J Corporate Park Private Limited
956890
CJCPPL-21%-30-6-21-PVT
21.00
30/06/2021
QUARTERLY
20170919-11
Candor Kolkata One Hi-Tech Structures Private Limited
958508
CK-10.75%-30-12-21-PVT
10.75
30/12/2021
MONTHLY
20190108-32
Capital First Home Finance Limited
957897
CFHFL-8.80%-17-4-25-PVT
8.80
17/04/2025
ANNUALY
20180430-10
Capital First Home Finance Limited
957820
CFHFL-8.80%-28-3-25-PVT
8.80
28/03/2025
ANNUALY
20180411-
Capital First Home Finance Limited
957040
CFHFL-8.25%-29-9-22-PVT
8.25
29/09/2022
ANNUALY
20171009-19
CAPITAL INDIA FINANCE LIMITED
960196
CIFL-9.50%-6-5-22-PVT
6.50
06/05/2022
ANNUALY
ACUITE A-/Negative
20201117-18
CAPITAL INDIA FINANCE LIMITED
960385
CIFL-9.5%-30-6-22-PVT
9.50
30/06/2022
ANNUALY
ACUITE A-
20200101-11
CAPITAL INDIA FINANCE LIMITED
959804
CIF-10.05%-30-7-23-PVT
10.05
30/07/2023
ANNUALY
ACUITE A-/Negative
20200805-12
CAPITAL INDIA FINANCE LIMITED
959610
CIFL-10%-24-6-23-PVT
10.00
24/06/2023
ANNUALY
ACUITE A
20200626-
Capital Local Area Bank Limited
951995
CLABL-11.75%-30-3-30-PVT
11.75
30/03/2030
ANNUALY
BWR A
20150417-12
Capital Trust Ltd.
958154
CTL-16.5%-30-11-22-PVT
16.50
30/11/2022
QUARTERLY
20180813-20
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* Note : Notice No. nomenclature is Year(4), Month(2), date(2) – Notice number.