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.*
SREI Equipment Finance Limited
950273
SREI-10.65%-15-5-16-PVT
10.65
15/05/2016
ANNUALY
CARE AA
20140530-
Shriram Transport Finance Co. Ltd.,
950612
STFC-10.65%-28-1-2020-PVT
10.65
28/01/2020
ANNUALY
CARE AA+
20140808-16
Hinduja Leyland Finance Limited
951703
HLFL-10.65%-16-2-19-PVT
10.65
16/02/2019
ANNUALY
CARE A+
20150224-16
Hinduja Leyland Finance Limited
951704
HLFL-10.65%-16-2-20-PVT
10.65
16/02/2020
ANNUALY
CARE A+
20150224-16
Hinduja Leyland Finance Limited
951700
HLFL-10.65%-16-2-18-PVT
10.65
16/02/2018
ANNUALY
CARE A+
20150224-16
Edelweiss Asset Reconstruction Company Limited
954436
EARCL-10.65%-25-07-19-PVT
10.65
25/07/2019
ANNUALY
20160728-19
Future Retail Ltd.
958809
FRL-10.65%-3-6-22-PVT
10.65
03/06/2022
ANNUALY
CARE AA-/Stable
20190611-27
Future Retail Ltd.
958810
FRL-10.65%-3-6-23-PVT
10.65
03/06/2023
ANNUALY
CARE AA-/Stable
20190611-27
EDELWEISS RURAL & CORPORATE SERVICES LIMITED
959390
ERCSL-10.65%-18-4-22-PVT
10.65
18/04/2022
ANNUALY
CRISIL AA-
20200330-21
EDELWEISS RURAL & CORPORATE SERVICES LIMITED
959220
ERCSL-10.65%-7-4-22-PVT
10.65
07/04/2022
ANNUALY
CRISIL AA-
20200203-31
Gera Developments Private Limited
957925
GDPL-10.65%-7-5-23-PVT
10.65
07/05/2023
HALF YEARLY
20180517-16
Reliance Capital Limited
947511
RCL-D-10.65%-12-08-18-PVT
10.65
12/08/2018
--
BWR AAA
20111019-12
Shriram Transport Finance Co. Ltd.,
947569
STFC-10.65%-C3-10-6-14-PVT
10.65
10/06/2014
--
CARE AA+
20111116-12
Kotak Mahindra Prime Limited
947304
KMPL-1942-10-6-14-PVT
10.65
10/06/2014
--
ICRA 'LAA'
20110623-8
Bank of maharashtra
972324
BOM-SR1-10.65%-PERP-PVT
10.65
01/01/2099
Int Annually on 31st july, 10.65% for first 10years, 11.15% for subsequent years
CRISIL AA/Stable, CARE AA-
20070828-4
IOT Utkal Energy Services Limited
950207
IOT-10.63%-IV-20-8-28-PVT
10.63
20/08/2028
HALF YEARLY
CRISIL AAA(SO)/Negative
20140425-
IOT Utkal Energy Services Limited
950208
IOT-10.63%-IV-20-9-28-PVT
10.63
20/09/2028
HALF YEARLY
IND AAA(SO)/Stable
20140425-
IOT Utkal Energy Services Limited
950199
IOT-10.63%-IV-20-10-28-PVT
10.63
20/10/2028
HALF YEARLY
CRISIL AAA(SO)/Negative
20140425-
IOT Utkal Energy Services Limited
950201
IOT-10.63%-IV-20-5-28-PVT
10.63
20/05/2028
HALF YEARLY
CRISIL AAA(SO)/Negative
20140425-
IOT Utkal Energy Services Limited
950203
IOT-10.63%-IV-20-6-28-PVT
10.63
20/06/2028
HALF YEARLY
CRISIL AAA(SO)/Negative
20140425-
IOT Utkal Energy Services Limited
950205
IOT-10.63%-IV-20-7-28-PVT
10.63
20/07/2028
HALF YEARLY
CRISIL AAA(SO)/Negative
20140425-
Kotak Mahindra Prime Limited
949537
KMPL-10.6081%-27-9-16-PVT
10.61
27/09/2016
CUMULATIVE
CRISIL AA+/STABLE
20131010-15
Kotak Mahindra Prime Limited
949538
KMPL-10.6073%-2258-27-9-16-PVT
10.61
27/09/2016
ANNUALY
CRISIL AA+/STABLE
20131010-15
Shriram Transport Finance Co. Ltd.,
949510
STFC-10.6%-002-13-9-20-A-PVT
10.60
13/09/2020
ANNUALY
CARE AA+
20130930-14
SREI Infrastructure Finance limited
949356
SREI-10.6%-29-4-19-E-PVT
10.60
29/04/2019
ANNUALY
BWR AA
20130712-12
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* Note : Notice No. nomenclature is Year(4), Month(2), date(2) – Notice number.