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    Securitywise Trade Information
    Issuer Name : NAVI FINSERV LIMITED
    Security Code : 1060NFL2027 ISIN No : INE342T07569
    Face Value : 10,000 Yield : 11.1900
    Maturity Date : 21/05/2027 Coupon (%) : 10.60 Coupon Frequency :
    Last Interest Payment Date : Rating : ,,,,
    Trade DateLTPYieldTraded Qty.Turnover
    (Rs. lacs)
    28/03/2025100.300010.96202.00
    28/03/202599.250011.5610010.00
    28/03/202599.250011.56404.00
    28/03/202599.000011.7120020.00
    28/03/202599.200011.59505.00
    28/03/202599.250011.5610010.00
    28/03/202599.280011.55505.00
    28/03/202599.250011.5620020.00
    28/03/2025100.040011.114000400.00
    28/03/202599.100011.65505.00
    28/03/202598.930011.7510010.00
    28/03/202599.840011.2210010.00
    28/03/202599.100011.65101.00
    28/03/202599.150011.62303.00
    27/03/2025100.000011.133000300.00
    27/03/202599.250011.56101.00
    27/03/202599.100011.6510010.00
    27/03/202599.750011.27505.00
    27/03/202599.100011.65101.00
    27/03/202599.200011.60303.00
    27/03/202599.100011.65101.00
    27/03/202599.750011.27101.00
    27/03/202599.000011.71505.00
    27/03/202599.700011.3010010.00
    27/03/202599.790011.253000300.00
    27/03/202599.200011.59101.00
    27/03/202599.000011.71202.00
    27/03/202599.250011.56202.00
    27/03/202599.100011.65202.00
    26/03/202599.100011.65101.00
    26/03/2025100.300010.96212.10
    26/03/202598.840011.80303.00
    26/03/2025100.500010.84202.00
    26/03/202599.100011.65101.00
    26/03/202599.200011.59101.00
    26/03/202599.250011.56101.00
    26/03/202599.250011.56202.00
    26/03/202598.930011.7520020.00
    26/03/202599.250011.56202.00
    25/03/202599.750011.27202.00
    25/03/202599.100011.65101.00
    25/03/2025100.040011.112000200.00
    25/03/202598.840011.80303.00
    25/03/202598.920011.7623023.00
    25/03/202598.920011.7622022.00
    25/03/202599.250011.56101.00
    25/03/202599.750011.2715015.00
    25/03/202599.250011.56101.00
    25/03/202599.250011.56202.00
    25/03/202598.930011.7530030.00
    25/03/2025100.000011.132000200.00
    25/03/202599.050011.6820020.00
    25/03/2025100.000011.13130001,300.00
    25/03/202598.920011.76404.00
    25/03/202599.000011.7117017.00
    25/03/202599.250011.56101.00
    25/03/202598.920011.7610010.00
    25/03/202598.920011.7610010.00
    25/03/202599.700011.3020020.00
    25/03/202599.100011.65303.00
    25/03/202599.250011.56101.00
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