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    Securitywise Trade Information
    Issuer Name : KEERTANA FINSERV PRIVATE LIMITED
    Security Code : 113KFPL27 ISIN No : INE0NES07162
    Face Value : 100,000 Yield : 13.9900
    Maturity Date : 06/03/2027 Coupon (%) : 11.30 Coupon Frequency :
    Last Interest Payment Date : Rating : ,,,,
    Trade DateLTPYieldTraded Qty.Turnover
    (Rs. lacs)
    28/03/202597.200013.7511.00
    28/03/202597.200013.7511.00
    28/03/202597.200013.7511.00
    28/03/202597.200013.7511.00
    28/03/202597.200013.7544.00
    28/03/202596.660014.102020.00
    28/03/202597.200013.7511.00
    27/03/2025100.310011.7122.00
    27/03/202596.660014.10197197.00
    27/03/2025100.240011.751010.00
    27/03/2025100.240011.7599.00
    27/03/2025100.240011.7533.00
    27/03/202596.660014.101010.00
    26/03/202596.480014.2255.00
    26/03/2025100.240011.7544.00
    26/03/202597.180013.7511.00
    26/03/2025100.240011.7555.00
    26/03/2025100.080011.8515101,510.00
    26/03/2025100.080011.8515101,510.00
    26/03/2025100.340011.6922.00
    26/03/202598.300013.0155.00
    26/03/202597.180013.7511.00
    26/03/202596.580014.1555.00
    25/03/202597.160013.7611.00
    25/03/202597.170013.7511.00
    25/03/2025100.080011.86260260.00
    25/03/202597.170013.7522.00
    25/03/2025100.240011.752020.00
    25/03/202597.400013.6011.00
    25/03/2025100.240011.751010.00
    25/03/202597.170013.7511.00
    25/03/202597.170013.7555.00
    25/03/202597.170013.7555.00
    25/03/202597.250013.702626.00
    25/03/202596.720014.052626.00
    25/03/202597.170013.7522.00
    25/03/202597.170013.7511.00
    25/03/202596.500014.20258258.00
    25/03/202597.170013.7511.00
    25/03/202597.170013.751010.00
    25/03/202597.170013.7511.00
    25/03/202597.170013.751010.00
    25/03/202597.170013.7522.00
    25/03/202597.170013.7566.00
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