Navi Finserv Limited

Other Financial Institutions

corporate

Coupon Rate
10.75%
Maturity Date
18 Oct 2025
ISIN
INE342T07395copy
Face Value
₹1,000
Key Attributes
Rating
CRISIL A (Stable)
Mode of Issue
Public
Private
Tax Saving
Yes
No
Collateral Security
Secured
Unsecured
Seniority
Senior
Non-Senior
Deal Details
Interest Frequency
Yearly
Principal Frequency
-
Coupon Type
Fixed
Sector
corporate
Total Issue Size
-
Allotment Date
27 Jul 2023
Remaining Tenure
6M
Security Name
NAVI FINSERV LIMITED SR III 10.75 NCD 18OT25 FVRS1000
Risk Assessment
Credit Rating
Rating
CRISIL A (Stable)
Date of Rating
11 Dec 2024
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