Securitywise Trade Information
Issuer Name : NAVI FINSERV LIMITED
Security Code : 1050NFL2027 ISIN No : INE342T07536
Face Value : 100,000 Yield : --
Maturity Date : 27/08/2027 Coupon (%) : 10.50 Coupon Frequency :
Last Interest Payment Date : Rating : ,,,,
Trade DateLTPYieldTraded Qty.Turnover
(Rs. lacs)
Deal time
Settlement
13/12/202499.6011.210111.0016:15T+1
13/12/202499.6011.210111.0013:33T+1
13/12/202499.6011.210111.0013:37T+1
13/12/202499.6011.210111.0013:38T+1
13/12/202499.6011.210111.0013:39T+1
13/12/202499.6011.210111.0013:40T+1
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