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.*
ECL Finance Limited
951482
ECL-10.40%-24-12-24-PVT
10.40
24/12/2024
ANNUALY
ICRA AA+
20150106-14
RELIGARE FINVEST LIMITED
951419
RFL-10.40%-11-12-17-PVT
10.40
11/12/2017
--
ICRA AA-/STABLE
20141224-10
RELIGARE FINVEST LIMITED
951714
RFL-10.40%-6-2-18-PVT
10.40
06/02/2018
--
IND AA-
20150226-11
RELIGARE FINVEST LIMITED
951715
RFL-10.40%-16-2-18-PVT
10.40
16/02/2018
ANNUALY
IND AA-
20150226-11
HeidelbergCement India Limited
949702
HEIDELBERG-10.4%-16-12-21-PVT
10.40
16/12/2021
HALF YEARLY
IND AA-
20131218-13
Patel KNR Heavy Infrastructures Limited
949491
PATELKNR-10.4%-30-9-25-A-PVT
10.40
30/09/2025
HALF YEARLY
CARE AAA
20130924-16
Vastu Housing Finance Corporation Limited
958472
VHFCL-10.40%-27-11-25-PVT
10.40
27/11/2025
MONTHLY
20190101-26
Vastu Housing Finance Corporation Limited
958396
VHFCL-10.4%-27-11-25-PVT
10.40
27/11/2025
MONTHLY
20181130-
SREI Equipment Finance Limited
955818
SEFL-10.4%-1-6-24-PVT
10.40
01/06/2024
ANNUALY
BWR AA+
20170309-18
Magma Fincorp Limited
955542
MFL-10.40%-6-1-27-PVT
10.40
06/01/2027
ANNUALY
20170113-22
Magma Fincorp Limited
955625
MFL-10.40%-24-01-27-PVT
10.40
24/01/2027
ANNUALY
20170202-
Magma Fincorp Limited
955398
MFL-10.40%-7-12-26-PVT
10.40
07/12/2026
ANNUALY
20161215-21
Sterlite Power Grid Ventures Limited
955287
SPGVL-10.40%-15-4-19-PVT
10.40
15/04/2019
ANNUALY
20161201-12
Sterlite Power Grid Ventures Limited
955288
SPGVL-10.40%-15-4-19-PVT
10.40
15/04/2019
ANNUALY
20161201-12
Reliance Ports and Terminals Limited
947357
RTPL-10.40%-18-07-2021-PVT
10.40
18/07/2021
--
CRISIL AAA/stable
20110725-14
Shriram Transport Finance Co. Ltd.,
947572
STFC-10.40%-C5-27-7-14-PVT
10.40
27/07/2014
--
CARE AA+
20111116-12
Meghmani Organics Ltd.
947019
MEGHMANI-A-10.40%-12-10-14-PVT
10.40
12/10/2014
--
CARE A+
20110107-6
Meghmani Organics Ltd.
947020
MEGHMANI-B-10.40%-12-10-15-PVT
10.40
12/10/2015
--
CARE A+
20110107-6
Reliance Capital Limited
947312
RELCAP-10.40%-26-05-16-PVT
10.40
26/05/2016
--
CARE AAA
20110629-9
Kotak Mahindra Prime Limited
946029
KMPL-10.40%-15-11-2018-PVT
10.40
15/11/2018
--
CRISIL AA & ICRA LAA
20090206-9
Yes Bank Ltd.
972317
YESBANK-10.4%-23-3-2022-PVT
10.40
23/03/2022
Interest annually on 23rd march
ICRA LA+. CARE A+
20070524-4
Yes Bank Ltd.
972318
YESBANK-10.4%-31-3-2022-PVT
10.40
31/03/2022
Interest annually on 31st march
ICRA LA+, CARE A+
20070524-4
Yes Bank Ltd.
972319
YESBANK-10.4%-20-4-2022-PVT
10.40
20/04/2022
Interest annuall on 20th apr coupon basis days - 365 or 366 days dependin on the year
ICRA "LA+" CARE A+
20070531-15
Vivriti Capital Private Limited
973612
VCPL-10.39%-30-12-22-PVT
10.39
30/12/2022
MONTHLY
CARE A
20211214-
PRISM JOHNSON LIMITED.
958250
PJL-XIRR-10.39%-17-9-21-PVT
10.39
17/09/2021
ANNUALY
20180919-17
<< Previous
91
92
93
94
95
96
97
98
99
100
Next >>
* Note : Notice No. nomenclature is Year(4), Month(2), date(2) – Notice number.