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.*
IFMR Capital Finance Pvt Ltd
954564
IFMRCF-10.4361%-A-3-8-19-PVT
10.44
03/08/2019
MONTHLY
20160812-14
IFMR Capital Finance Pvt Ltd
954565
IFMRCF-10.4361%-B-3-8-19-PVT
10.44
03/08/2019
MONTHLY
20160812-14
IFMR Capital Finance Pvt Ltd
954566
IFMRCF-10.4361%-C-3-8-19-PVT
10.44
03/08/2019
MONTHLY
20160812-14
ICC Realty (India) Private Limited
958914
IRIPL-10.43%-5-8-24-PVT
10.43
05/08/2024
ANNUALY
IND AA-/Stable
20190813-26
Spandana Sphoorty Financial Limited
975063
SSFL-10.43%-07-03-25-PVT
10.43
07/03/2025
QUARTERLY
IND A
20230911-27
United Phosphorus Ltd.
946872
UPL-SR-C-10.42%-5-10-2021-PVT
10.42
05/10/2021
--
CARE AA+
20101008-11
Prism Cement Ltd.
946843
PRISMCEM-C-10.42%-17-9-15-PVT
10.42
17/09/2015
--
ICRA LAA-
20100923-10
Magma Fincorp Limited
950042
MAGMA-10.4073%-4-9-15-PVT
10.41
04/09/2015
CUMULATIVE
CARE AA+
20140404-12
Capsave Finance Private Limited
959979
CFPL-10.41%-17-6-23-PVT
10.41
17/06/2023
HALF YEARLY
CRISIL A-
20200914-12
SATIN CREDITCARE NETWORK LIMITED
960178
SCNL-10.40%-9-5-22-PVT
10.40
09/05/2022
ANNUALY
CARE A-
20201111-16
SATIN CREDITCARE NETWORK LIMITED
960128
SCNL-10.40%-30-3-22-PVT
10.40
30/03/2022
ANNUALY
CARE A-
20201019-25
Northern Arc Capital Ltd.
959746
NACL-10.40%-13-7-23-PVT
10.40
13/07/2023
QUARTERLY
ICRA A+
20200720-37
Capsave Finance Private Limited
959814
CFPL-10.4%-30-7-23-PVT
10.40
30/07/2023
ANNUALY
CRISIL A-
20200805-17
Capsave Finance Private Limited
959826
CFPL-10.40%-31-7-23-PVT
10.40
31/07/2023
ANNUALY
CRISIL A-/Stable
20200807-24
AROHAN FINANCIAL SERVICES LTD.
960251
AFSL-10.4%-19-5-22-PVT
10.40
19/05/2022
QUARTERLY
ICRA A-
20201201-16
Vivriti Capital Private Limited
974734
VCPL-10.40%-29-5-24-PVT
10.40
29/05/2024
ANNUALY
CARE A Positive
20230331-48
SATYA MICROCAPITAL LIMITED
975946
SML-10.40%-23-2-26-PVT
10.40
23/02/2026
MONTHLY
ICRA BBB+
Navi Finserv Limited
975913
NFL-10.40%-13-11-26-PVT
10.40
13/11/2026
MONTHLY
CRISIL A
20240816-40
Navi Finserv Limited
975914
NFL-10.40%-13-2-26-PVT
10.40
13/02/2026
ANNUALY
CRISIL A
20240816-40
SATIN CREDITCARE NETWORK LIMITED
975632
SCNL-10.40%-30-4-27-PVT
10.40
30/04/2027
QUARTERLY
ICRA A
20240503-22
Kotak Mahindra Investments Limited
950033
KMIL-10.40%-23-02-2017-PVT
10.40
23/02/2017
CUMULATIVE
CRISIL AA+
20140401-9
Kotak Mahindra Investments Limited
950034
KMIL-10.40%-02-06-2016-PVT
10.40
02/06/2016
CUMULATIVE
CRISIL AA+
20140401-9
Kotak Mahindra Investments Limited
949992
KMIL-10.40%-08-03-16-PVT
10.40
08/03/2016
--
CRISIL AA+
20140324-18
L&T Vrindavan Properties Limited
950089
LTVPL-10.4%-24-3-17-PVT
10.40
24/03/2017
ANNUALY
CARE AA+(SO)
20140411-16
RELIGARE FINVEST LIMITED
951638
RFL-10.4%-22-1-18-PVT
10.40
22/01/2018
--
ICRA AA-/STABLE
20150206-14
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* Note : Notice No. nomenclature is Year(4), Month(2), date(2) – Notice number.