Issuer Name |
: |
NAVI FINSERV LIMITED |
Security Code |
: |
975NFL25 |
ISIN No |
: |
INE342T07411 |
Face Value |
: |
1,000 |
Yield |
: |
9.0000
|
Maturity Date |
: |
18/01/2025
|
Coupon (%) |
: |
9.75 |
Coupon Frequency |
: |
|
Last Interest Payment Date |
: |
|
Rating |
: |
,,,, |
|
Trade Date | LTP | Yield | Traded Qty. | Turnover (Rs. lacs) | Deal time
| Settlement
|
---|
28/06/2024 | 100.5965 | 9.00 | 300 | 3.00 | 11:51 | T+0 | BACK |
|
|
|