Security List Details
Security List Details
Security List Details
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
CHOLAMANDALAM
CHOLAMANDALAM INVESTMENT AND FIN. CO.
7 IN8121A07012 INVESTMENT AND FIN. CO. LTD 1000000 11-05-2021 11-05-2023 5.70% Once a year Finance Non PSU NBFC Suspended
LTD SR 604 5.70 NCD 11MY23 FVRS10LAC
IN8146O08018 HINDUJA LEYLAND FINANCE HINDUJA LEYLAND FINANCE LIMITED 9.75 NCD
8 1000000 08-03-2021 08-10-2026 9.75% Once a year Finance Non PSU NBFC Suspended
LIMITED 08OT26 FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
G SEC LINK
PIRAMAL CAPITAL & HOUSING PIRAMAL HOUSING FINANCE LIMITED BR LOA
20 IN8516Y07013 1000000 16-04-2021 14-04-2023 (REFER On Maturity Finance Non PSU Other Suspended
FINANCE LIMITED 14AP23 FVRS10LAC
REMARK)
NIFTY 50
IN8572O07041 ECAP EQUITIES LIMITED SERIES D2J801A BR
24 ECAP EQUITIES LIMITED 100000 17-10-2018 17-06-2022 INDEX On Maturity Finance Non PSU Other Suspended
NCD 17JU22 FVRS1LAC
LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
IN8850M07011 NORTHERN ARC CAPITAL NORTHERN ARC CAPITAL LIMITED BR NCD S&P BSE
32 500000 25-02-2021 24-02-2023 On Maturity Finance Non PSU Other Suspended
LIMITED 24FB23 FVRS5LAC SENSEX LINK
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
IN8915D07011 CITICORP FINANCE (INDIA) CITICORP FINANCE (INDIA) LIMITED SR 774 TR 1 NIFTY 50
33 100000 26-02-2021 24-02-2028 On Maturity Finance Non PSU Other Suspended
LIMITED BR NCD 24FB28 FVRS1LAC LINK
RESET RATE
STARLITE LIGHTING LIMITED RR LOA 22AP22 Compounding
107 INE001R07060 STARLITE LIGHTING LIMITED N.A. Debentures Private Placement Taxable 1000000 350000000 25-10-2018 22-04-2022 - REFER On Maturity ICRA A(CE)/Stable Utilities Non PSU Other Active
FVRS10LAC
REMARKS
RELIANCE INDUSTRIES RELIANCE INDUSTRIES LIMITED SR-D 7.17 NCD CARE AAA/Stable;ICRA AAA;CRISIL
115 INE002A08500 RIL 2022 PPD SERIES D Debentures Private Placement Taxable 1000000 50000000000 08-11-2017 08-11-2022 7.17% Simple Once a year Basic Materials Non PSU Other Active
LIMITED 08NV22 FVRS10LAC LOAUPTO21NV17 AAA/Stable
LINKED WITH
REPO
RELIANCE INDUSTRIES RELIANCE INDUSTRIES LIMITED PPD SR K2 BR
120 INE002A08591 PPD SERIES K2 Debentures Private Placement Taxable 1000000 45000000000 17-04-2020 17-04-2023 RATE+2.80%- Simple Once a year CARE AAA/Stable;CRISIL AAA/Stable Basic Materials Non PSU Other Active
LIMITED NCD 17AP23 10LAC LOAUPTO16AP20
REFER
REMARKS
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
MIBOR
RELIANCE INDUSTRIES RELIANCE INDUSTRIES LIMITED PPD-N BR NCD Compounding
126 INE002A08658 PPD SERIES N Debentures Private Placement Taxable 1000000 36000000000 19-05-2020 21-09-2023 LINKED+2.90 Once a year CARE AAA/Stable;CRISIL AAA/Stable Basic Materials Non PSU Other Active
LIMITED 21SP23 FVRS10LAC LOAUPTO18MY20
%
RELIANCE INDUSTRIES RELIANCE INDUSTRIES LIMITED SR IA 8.70 NCD CARE AAA;ICRA AAA/Stable;CRISIL
127 INE002A08666 SERIES IA Debentures Private Placement Taxable 1000000 25000000000 11-12-2018 11-12-2028 8.70% Simple Once a year Basic Materials Non PSU Other Active
LIMITED 11DC28 PPRS6LAC AAA/Stable
5 YEAR IDFC
ASHOKA HIGHWAYS (DURG) ASHOKA HIGHWAYS (DURG) LIMITED BR LOA IDF Twelve times a
138 INE003K07012 N.A. Debentures Private Placement Taxable 100000 2000000000 10-11-2016 15-06-2025 Simple Utilities Non PSU Other Active
LIMITED 15JU25 FVRS1LAC BENCHMARK year
RATE LINKED
EMBASSY PROPERTY
EMBASSY PROPERTY DEVELOPMENTS Four times a
139 INE003L07044 DEVELOPMENTS PRIVATE N.A. Debentures Private Placement Taxable 289 1090000000 11-01-2016 26-12-2021 12% Simple ICRA BBB-/Negative Utilities Non PSU Other Active
PRIVATE LIMITED 12 NCD 26DC21 FVRS289 year
LIMITED
15% XIRR
EMBASSY PROPERTY
EMBASSY PROPERTY DEVELOPMENTS AND 7.26 Four times a Provisional ACUITE PP-MLD
141 INE003L07069 DEVELOPMENTS PRIVATE N.A Debentures Private Placement Taxable 667124 2750000000 03-04-2020 02-03-2030 Simple Utilities Non PSU Other Active
PRIVATE LIMITED BR NCD 02MR30 FVRS667124 GSEC year BBB/Stable
LIMITED
LINKED
14.25%XIRR
EMBASSY PROPERTY
EMBASSY PROPERTY DEVELOPMENTS AND 7.26 Four times a Provisional ACUITE PP-MLD
142 INE003L07077 DEVELOPMENTS PRIVATE N.A Debentures Private Placement Taxable 698084 10800000000 03-04-2020 02-03-2030 Simple Utilities Non PSU Other Active
PRIVATE LIMITED BR NCD 02MR30 FVRS698084 GSEC year BBB/Stable
LIMITED
LINKED
EMBASSY PROPERTY
EMBASSY PROPERTY DEVELOPMENTS
143 INE003L07127 DEVELOPMENTS PRIVATE NA Debentures Private Placement Taxable 1000000 5360000000 27-10-2020 26-10-2032 8.40% IRR Simple On Maturity Utilities Non PSU Other Active
PRIVATE LIMITED 8.40 IRR NCD 26OT32
LIMITED
FVRS10LAC
EMBASSY PROPERTY
EMBASSY PROPERTY DEVELOPMENTS
144 INE003L07150 DEVELOPMENTS PRIVATE Debentures Private Placement Taxable 979490 6000000000 26-03-2021 28-04-2023 G SEC LINK Simple On Maturity ACUITE BBB/Stable Utilities Non PSU Other Active
PRIVATE LIMITED SR 1 BR NCD 28AP23
LIMITED
FVRS979490
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
EMBASSY PROPERTY
EMBASSY PROPERTY DEVELOPMENTS
145 INE003L07168 DEVELOPMENTS PRIVATE SERIES 2 Debentures Private Placement Taxable 979490 2000000000 26-03-2021 28-04-2023 G SEC LINK Simple On Maturity ACUITE BBB/Stable Utilities Non PSU Other Active
PRIVATE LIMITED SR 2 BR NCD 28AP23
LIMITED
FVRS979490
RESET
RENEW POWER PRIVATE RENEW POWER PRIVATE LIMITED CARE A1+ (Under rating watch with
146 INE003S07155 SINGLE ISSUE Debentures Private Placement Taxable 1000000 2000000000 28-09-2016 28-09-2022 RATE(REFER Simple Once a year Energy Non PSU Other Active
LIMITED RRNCD28SP22 FVRS10LAC LOA UPTO27SP16 developing implications)
REMARKS)
RESET RATE
RENEW POWER PRIVATE RENEW POWER PRIVATE LIMITED SR-1 RR LOA CARE A1+ (Under rating watch with
147 INE003S07189 RPVPL SERIES 1 Debentures Private Placement Taxable 1000000 3210000000 02-08-2017 31-07-2025 (REFER Simple On Maturity Energy Non PSU Other Active
LIMITED 31JL25 FVRS10LAC developing implications)
REMARKS)
16-Oct-2001
to 15-Oct-
2008- Nil, 16-
ICICI LIMITED NMDCSEB1 RR UNMD 16OT21 FV Four times a
154 INE005A086X8 ICICI LIMITED NMDCSEB1 Bonds Private Placement Taxable 100000 16-10-2001 16-10-2021 Oct-2008 to Simple ICRA AAA;CARE AAA Finance Non PSU Bank Active
RS 1 LAC year
16-Oct-2021
23.328%
ICICI BANK BONDS -2000 ICICI AUG 2000 DDB MMB4 05JN22 FV RS 50000
160 INE005A11085 ICICI AUG 2000 Bonds Public Issue Taxable 50000 10-11-2000 05-01-2022 Finance Non PSU Bank Active
AUGUST (008)-MMB IV
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ICICI BANK BONDS -2000 ICICI OCT 2000 DDB MMB5 14OT21 FV RS 50000
161 INE005A11200 ICICI OCT 2000 Bonds Public Issue Taxable 50000 33800000 15-12-2000 14-10-2021 Finance Non PSU Bank Active
OCTOBER (010)-MMB V
ICICI BANK BONDS -1998 ICICI AUG 1998 DDB MMB3 05DC22 FV RS 1 LAC
162 INE005A11309 ICICI AUG 1998 Bonds Public Issue Taxable 100000 689400000 17-01-2001 05-12-2022 Finance Non PSU Bank Active
AUGUST (984)-MMB III
ICICI BANK BONDS -1998 ICICI OCT 1998 DDB MMB3 01MY23 FV RS 1 LAC
163 INE005A11341 ICICI OCT 1998 Bonds Public Issue Taxable 100000 385100000 18-01-2001 01-05-2023 Finance Non PSU Bank Active
OCTOBER (985)- MMB III
ICICI BANK BONDS -1998 ICICI DEC 1998 DDB MMB3 11JU23 FV RS 1 LAC
164 INE005A11382 ICICI DEC 1998 Bonds Public Issue Taxable 100000 211300000 18-01-2001 11-06-2023 Finance Non PSU Bank Active
DECEMBER (986)-MMB III
ICICI BANK BONDS -2000 ICICI NOV 2000 DDB MMB5 13MR22 FV RS 50000
165 INE005A11440 ICICI NOV 2000 Bonds Public Issue Taxable 50000 08-01-2001 13-03-2022 Finance Non PSU Bank Active
NOVEMBER (011)-MMB V
ICICI BANK BONDS -1999 ICICI MAY 1999 DDB MMB3 16AP23 FV RS 1 LAC
166 INE005A11531 ICICI MAY 1999 Bonds Public Issue Taxable 100000 16-01-2001 16-04-2023 Finance Non PSU Bank Active
MAY (993)-MMB III
ICICI BANK BONDS -1999 ICICI NOV 1999 DDB MMB2 24SP22 FV RS 1 LAC
167 INE005A11697 ICICI NOV 1999 Bonds Public Issue Taxable 100000 13-01-2001 24-09-2022 Finance Non PSU Bank Active
NOVEMBER (997)-MMB II
ICICI BANK BONDS -2000 ICICI DEC 2000 DDB MMB4 19JU22 FV RS 50000
168 INE005A11747 ICICI DEC 2000 Bonds Public Issue Taxable 50000 15-01-2001 19-06-2022 Finance Non PSU Bank Active
DECEMBER (012)-MMB IV
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ICICI BANK BONDS -2001 ICICI MAR 2001 DDB CGB2 26JL22 FV RS 40000
169 INE005A11846 ICICI MAR 2001 Bonds Public Issue Taxable 40000 23-05-2001 26-07-2022 Finance Non PSU Bank Active
MARCH (103)-CGB II
ICICI BANK BONDS -2001 ICICI JULY 2001 DDB CGB2 28AG22 FV RS 40000
171 INE005A11960 ICICI JULY 2001 Bonds Public Issue Taxable 40000 22320000 25-09-2001 28-08-2022 Finance Non PSU Bank Active
JULY (107)-CGB II
ICICI BANK BONDS -2001 ICICI SEPT 2001 DDB CGB 12NV22 FV RS 40000
173 INE005A11AI3 ICICI SEPT 2001 Bonds Public Issue Taxable 40000 16320000 29-11-2001 12-11-2022 Finance Non PSU Bank Active
SEPTEMBER (109)-CGB II
INE005A11AO1 ICICI BANK BONDS -2001 ICICI NOV 2001 DDB CGB2 24DC22 FV RS 40000
174 ICICI NOV 2001 Bonds Public Issue Taxable 40000 15-01-2002 24-12-2022 Finance Non PSU Bank Active
NOVEMBER (111)-CGB II
INE005A11AU8 ICICI BANK BONDS -2001 ICICI DEC 2001 DDB CGB2 23JN23 FV RS 40000
175 ICICI DEC 2001 Bonds Public Issue Taxable 40000 08-02-2002 23-01-2023 Finance Non PSU Bank Active
DECEMBER (112)-CGB I
INE005A11BA8 ICICI BANK BONDS -2002 ICICI JAN 2002 DDB CGB2 19FB23 FV RS 40000
176 ICICI JAN 2002 Bonds Public Issue Taxable 40000 08-03-2002 19-02-2023 Finance Non PSU Bank Active
JANUARY (201) -CGB II
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ICICI BANK BONDS -2002 ICICI FEB 2002 DDB CGB2 27MR23 FV RS 40000
177 INE005A11BF7 ICICI FEB 2002 Bonds Public Issue Taxable 40000 27-03-2002 27-03-2023 Finance Non PSU Bank Active
FEBRUARY (202)-CGB II
INE005A11BK7 ICICI BANK BONDS -2002 ICICI MAR 2002 DDB CGB2 23JL23 FV RS 40000
178 ICICI MAR 2002 Bonds Public Issue Taxable 40000 23-04-2002 23-07-2023 Finance Non PSU Bank Active
MARCH (203)-CGB II
ALLIANCE BUSINESS PARKS ALLIANCE BUSINESS PARKS PRIVATE LIMITED Compounding Twelve times a
181 INE005Y07208 TRANCHE I Debentures Private Placement Taxable 1000000 1000000000 18-03-2020 18-02-2024 16.75% Utilities Non PSU Other Active
PRIVATE LIMITED TRANCHE I 16.75 NCD 18FB24 FVRS10LAC year
CYBERCITY BUILDERS AND CYBERCITY BUILDERS AND DEVELOPERS PVT Twelve times a
182 INE006S07034 Debentures Private Placement Taxable 437736 265000000 22-01-2021 22-07-2023 18% Simple Utilities Non PSU Other Active
DEVELOPERS PVT LIMITED LIMITED 18 NCD 22JL23 FVRS437736 year
RADIANT POLYMERS PRIVATE RADIANT POLYMERS PRIVATE LIMITED SR-A Compounding Twelve times a ;CARE D (ISSUER NOT
186 INE007Z07011 A Debentures Private Placement Taxable 1000000 337000000 26-02-2018 15-09-2022 12.84% Utilities Non PSU Other Active
LIMITED 12.84 NCD 15SP22 FVRS10LAC year COOPERATING*)
RESET RATE
RADIANT POLYMERS PRIVATE RADIANT POLYMERS PRIVATE LIMITED SR-B Compounding Twelve times a CARE D (ISSUER NOT
187 INE007Z07029 B Debentures Private Placement Taxable 1000000 413000000 26-02-2018 15-03-2024 (REFER Utilities Non PSU Other Active
LIMITED RR NCD 15MR24 FVRS10LAC year COOPERATING*)
REMARKS)
11.40% (Refer
INE008A08Q56 Omni Bonds 2008 Upper Tier IDBI BANK LIMITED 11.4 BD 29OT23 FVRS10LAC
189 IDBI BANK LIMITED Bonds Private Placement Taxable 1000000 29-10-2008 29-10-2023 remark) Simple Once a year CRISIL A-/Stable;ICRA WITHDRAWN Finance Non PSU Bank Suspended
II Series XIV
Omni Bonds 2010-11 Tier II IDBI BANK LIMITED 8.57 BD 08JL25 FVRS10LAC
193 INE008A08S88 IDBI BANK LIMITED Bonds Private Placement Taxable 1000000 08-07-2010 08-07-2025 8.57% Simple Once a year CRISIL A+/Stable;ICRA A/Stable Finance Non PSU Bank Active
Series II
Omni bonds 2011-12 Tier II IDBI BANK LIMITED 9.38 BD 04AG21 FVRS10LAC
194 INE008A08T61 IDBI BANK LIMITED Bonds Private Placement Taxable 1000000 4844000000 04-08-2011 04-08-2021 9.38% Simple Once a year CRISIL A+/Stable;ICRA A/Stable Finance Non PSU Bank Active
Series I
Omni bonds 2011-12 Tier II IDBI BANK LIMITED 9.72 BD 26NV21 FVRS10LAC
195 INE008A08T79 IDBI BANK LIMITED Bonds Private Placement Taxable 1000000 2500000000 26-11-2011 26-11-2021 9.72% Simple Once a year ICRA A/Stable;CRISIL A+/Stable Finance Non PSU Bank Active
Series II
Omni Bonds 2011-12 Tier II IDBI BANK LIMITED 9.7 BD 30NV21 FVRS10LAC
196 INE008A08T87 IDBI BANK LIMITED Bonds Private Placement Taxable 1000000 30-11-2011 30-11-2021 9.70% Simple Once a year ICRA A/Stable;CRISIL A+/Stable Finance Non PSU Bank Active
Series III
Omni Bonds 2011-12 Tier II IDBI BANK LIMITED 9.45 BD 13DC21 FVRS10LAC
197 INE008A08T95 IDBI BANK LIMITED Bonds Private Placement Taxable 1000000 13-12-2011 13-12-2021 9.45% Simple Once a year CRISIL A+/Stable;ICRA A/Stable Finance Non PSU Bank Active
Series IV
INE008A08U19 Omni Bonds 2011-12 Tier II IDBI BANK LIMITED 9.25 BD 15MR22 FVRS10LAC
198 IDBI BANK LIMITED Bonds Private Placement Taxable 1000000 15-03-2012 15-03-2022 9.25% Simple Once a year ICRA A/Stable;CRISIL A+/Stable Finance Non PSU Bank Active
Series VI
INE008A08U27 Omni bonds 2011-12 Series IDBI BANK LIMITED 9.33 BD 13MR22 FVRS10LAC
199 IDBI BANK LIMITED Bonds Private Placement Taxable 1000000 13-03-2012 13-03-2022 9.33% Simple Once a year ICRA A/Stable Finance Non PSU Bank Active
V
INE008A08U35 Omni Bonds 2012-13 Series I IDBI BANK LIMITED 9.03 BD 30MY22 FVRS10LAC
200 IDBI BANK LIMITED Bonds Private Placement Taxable 1000000 30-05-2012 30-05-2022 9.03% Simple Once a year ICRA A/Stable Finance Non PSU Bank Active
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE008A08U43 Omni Bonds 2012-13 Tier II IDBI BANK LIMITED 9.25 BD 25OT37 FVRS10LAC
201 IDBI BANK LIMITED Bonds Private Placement Taxable 1000000 25-10-2012 25-10-2037 9.25% Simple Once a year CRISIL A+/Stable Finance Non PSU Bank Active
Series II
INE008A08U50 Omni bonds 2012-13 Tier II IDBI BANK LIMITED 8.99 BD 13DC27 FVRS10LAC
202 IDBI BANK LIMITED Bonds Private Placement Taxable 1000000 13-12-2012 13-12-2027 8.99% Simple Once a year ICRA A/Stable;CRISIL A+/Stable Finance Non PSU Bank Active
Series III
INE008A08U68 Omni Bonds 2012-13 IPDI IDBI BANK LIMITED 9.4 BD PERPETUAL
203 IDBI BANK LIMITED Bonds Private Placement Taxable 1000000 26-12-2012 31-12-9999 9.40 % Simple Once a year CRISIL A+/Stable;ICRA A/Stable Finance Non PSU Bank Active
Tier I Series IV FVRS10LAC
INE008A08U76 IDBI BANK LIMITED SR-I 9.27 BD 12SP24 ICRA A/Stable;IND A/Negative;CRISIL
204 IDBI BANK LIMITED 2014-15 SERIES I Bonds Private Placement Taxable 1000000 10000000000 12-09-2014 12-09-2024 9.27% Simple Twice a year Finance Non PSU Bank Active
FVRS10LAC A+/Stable
INE008A08U92 IDBI BANK LIMITED SR-III 8.725 BD 21JN25 IND A/Negative;CRISIL A+/Stable;ICRA
205 IDBI BANK LIMITED 2014-15 SERIES III Bonds Private Placement Taxable 1000000 30000000000 21-01-2015 21-01-2025 8.725% Simple Once a year Finance Non PSU Bank Active
FVRS10LAC A/Stable
COX AND KINGS LIMITED 10 NCD 15NV21 Twelve times a CARE D (ISSUER NOT Consumer
210 INE008I07338 COX AND KINGS LIMITED N.A. Debentures Private Placement Taxable 1000000 500000000 18-01-2019 15-11-2021 10.00% Simple Non PSU Other Active
FVRS10LAC year COOPERATING*) Services
COX AND KINGS LIMITED 9 NCD 04FB22 CARE D (ISSUER NOT Consumer
211 INE008I08138 COX AND KINGS LIMITED N.A. Debentures Private Placement Taxable 1000000 2000000000 05-02-2019 04-02-2022 9.00% Simple Twice a year Non PSU Other Active
FVRS10LAC COOPERATING*) Services
INE00CC07018 RAJESH BUILDSPACES RAJESH BUILDSPACES PRIVATE LIMITED SR-1 Compounding Four times a
214 SERIES 1 Debentures Private Placement Taxable 10000000 420000000 31-03-2018 30-03-2023 15.35% Utilities Non PSU Other Active
PRIVATE LIMITED 15.35 NCD 30MR23 FVRS1CR year
INE00CC07026 RAJESH BUILDSPACES RAJESH BUILDSPACES PRIVATE LIMITED SR-3 Compounding Four times a
215 SERIES 3 Debentures Private Placement Taxable 10000000 70000000 31-03-2018 30-03-2023 15.35% Utilities Non PSU Other Active
PRIVATE LIMITED 15.35 NCD 30MR23 PPRS4285000 year
INE00CC07059 RAJESH BUILDSPACES RAJESH BUILDSPACES PRIVATE LIMITED SR 2 Compounding Four times a
216 SERIES 2 Debentures Private Placement Taxable 10000000 950000000 30-06-2018 30-03-2023 15.35% Utilities Non PSU Other Active
PRIVATE LIMITED 15.35 NCD 30MR23 PPRS134500 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE00CD07016 RAJESH LANDMARK RAJESH LANDMARK PROJECTS PRIVATE Compounding Four times a
217 SERIES 1 Debentures Private Placement Taxable 10000000 800000000 11-06-2018 10-06-2023 15.35% Utilities Non PSU Other Active
PROJECTS PRIVATE LIMITED LIMITED SR-1 15.35 NCD 10JU23 FVRS1CR year
CD RATE
NV PROJECTS PRIVATE NV PROJECTS PRIVATE LIMITED BR NCD LINKED Compounding Twelve times a
242 INE00F507012 N.A. Debentures Private Placement Taxable 968333 1930000000 26-08-2019 26-07-2031 ICRA A- (SO)/Stable Utilities Non PSU Other Active
LIMITED 26JL31 FVRS968333 (REFER year
REMAKRS)
RESET RATE
ADVANCE INDIA PROJECTS ADVANCE INDIA PROJECTS LIMITED RR NCD Four times a
244 INE00FQ07011 Debentures Private Placement Taxable 1000000 890000000 15-12-2020 31-12-2022 - REFER Simple Utilities Non PSU Other Active
LIMITED 31DC22 FVRS10LAC year
REMARKS
RESET RATE
ADVANCE INDIA PROJECTS ADVANCE INDIA PROJECTS LIMITED RR NCD Four times a
245 INE00FQ07029 Debentures Private Placement Taxable 1000000 1900000000 15-12-2020 30-09-2024 - REFER Simple Utilities Non PSU Other Active
LIMITED 30SP24 FVRS10LAC year
REMARKS
RESET RATE
ADVANCE INDIA PROJECTS ADVANCE INDIA PROJECTS LIMITED RR NCD Four times a
246 INE00FQ07037 Debentures Private Placement Taxable 1000000 2500000000 15-12-2020 31-12-2025 - REFER Simple Utilities Non PSU Other Active
LIMITED 31DC25 FVRS10LAC year
REMARKS
RESET RATE
INE00GB07011 PRIYESH INVESTMENTS PRIYESH INVESTMENTS PRIVATE LIMITED RR Compounding Twelve times a
247 N.A. Debentures Private Placement Taxable 1000000 550000000 01-08-2018 31-07-2022 - REFER IVR WITHDRAWN Finance Non PSU Other Active
PRIVATE LIMITED LOA 31JL22 FVRS10LAC year
REMARKS
Consumer Goods
INE00GO08012 LEAP INDIA PRIVATE LIMITED 8 CCD 09JL28
248 LEAP INDIA PRIVATE LIMITED SERIES LEAP CCD 1- 400 Debentures Private Placement Taxable 1000000 401100000 10-07-2018 09-07-2028 8% Simple Twice a year including FMGC Non PSU Other Active
FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Consumer Goods
INE00GO08020 LEAP INDIA PRIVATE LIMITED SR E 0.0001 CCD
249 LEAP INDIA PRIVATE LIMITED SERIES E Debentures Private Placement Taxable 1000 99999600 19-06-2020 19-06-2030 0.0001% Simple Once a year including FMGC Non PSU Other Active
19JU30 FVRS1000
INE00HA08019 CTA SOFTECH PRIVATE CTA SOFTECH PRIVATE LIMITED SR-I 10 OCD
254 SERIES I Debentures Private Placement Taxable 10 530000000 07-06-2018 06-06-2026 10% Simple Once a year Utilities Non PSU Other Active
LIMITED 06JU26 FVRS10
INE00HU07019 MODERN AUTOMOTIVES MODERN AUTOMOTIVES LIMITED 16.67 NCD Compounding Twelve times a
256 N.A. Debentures Private Placement Taxable 1000000 300000000 04-11-2019 31-03-2023 16.67% Utilities Non PSU Other Active
LIMITED 31MR23 FVRS10LAC year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
APG ABODE HOMES PRIVATE APG ABODE HOMES PRIVATE LIMITED 1 OCD
285 INE00KP08011 N.A. Debentures Private Placement Taxable 100 2000000 26-02-2018 25-02-2028 1% Simple Once a year Utilities Non PSU Other Active
LIMITED 25FB28 FVRS100
ASSETZ VALUE HOMES NORTH ASSETZ VALUE HOMES NORTH PRIVATE Compounding Four times a
286 INE00KT07015 SERIES A Debentures Private Placement Taxable 100 350000000 23-04-2018 22-10-2022 10% Utilities Non PSU Other Active
PRIVATE LIMITED LIMITED SR-A 10 NCD 22OT22 FVRS100 year
RESET RATE
ASSETZ VALUE HOMES NORTH ASSETZ VALUE HOMES NORTH PRIVATE Compounding Four times a
287 INE00KT07023 SERIES B Debentures Private Placement Taxable 100 250000000 23-04-2018 22-10-2022 (REFER Utilities Non PSU Other Active
PRIVATE LIMITED LIMITED SR-B RR NCD 22OT22 FVRS100 year
REMARKS)
RESET RATE
INE00MC07017 SNS STARCH LIMITED SERIES 1-4 RR NCD
295 SNS STARCH LIMITED SERIES 1-4 Debentures Private Placement Taxable 100 440000000 18-04-2019 31-03-2024 - REFER Simple Once a year Utilities Non PSU Other Active
31MR24 FVRS100
REMARKS
INE00MO07012 PHOENIX VENTURES PRIVATE PHOENIX VENTURES PRIVATE LIMITED 13 NCD Compounding Four times a
296 N.A. Debentures Private Placement Taxable 10000000 2500000000 28-06-2018 27-06-2022 13% Utilities Non PSU Other Active
LIMITED 27JU22 PPRS66LACS year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE00MX07013 SVATANTRA MICROFIN SVATANTRA MICROFIN PRIVATE LIMITED 11.5 Four times a
297 N.A Debentures Private Placement Taxable 1000000 150000000 01-06-2020 01-06-2023 11.5% Simple CRISIL A+/Stable Utilities Non PSU Other Active
PRIVATE LIMITED NCD 01JU23 FVRS10LAC year
INE00MX07104 SVATANTRA MICROFIN SVATANTRA MICROFIN PRIVATE LIMITED 13.5 Four times a
305 Debentures Private Placement Taxable 833333.333 600000000 16-06-2020 21-04-2023 13.5% Simple CRISIL A+/Stable Utilities Non PSU Other Active
PRIVATE LIMITED NCD 21AP23 FVRS833333.333 year
INE00MX08029 SVATANTRA MICROFIN SVATANTRA MICROFIN PRIVATE LIMITED 13.75 Four times a
307 N.A Debentures Private Placement Taxable 10 150000000 31-03-2020 31-03-2026 13.75% Simple CRISIL A+/Stable Utilities Non PSU Other Active
PRIVATE LIMITED NCD 31MR26 FVRS10 year
RESET RATE
INE00OT08015 ACME HUKKERI SOLAR ACME HUKKERI SOLAR ENERGY PRIVATE
314 N.A. Debentures Private Placement Taxable 1000 108486000 13-02-2019 12-02-2049 - REFER Simple Once a year Energy Non PSU Other Active
ENERGY PRIVATE LIMITED LIMITED RR CCD 12FB49 FVRS1000
REMARKS
RESET RATE
INE00OU08013 ACME KITTUR SOLAR ENERGY ACME KITTUR SOLAR ENERGY PRIVATE
315 N.A. Debentures Private Placement Taxable 1000 104321000 13-02-2019 12-02-2049 - REFER Simple Once a year Energy Non PSU Other Active
PRIVATE LIMITED LIMITED RR CCD 12FB49 FVRS1000
REMARKS
RESET RATE
INE00OV08011 ACME SIDLAGHATTA SOLAR ACME SIDLAGHATTA SOLAR ENERGY PRIVATE
316 N.A. Debentures Private Placement Taxable 1000 138768000 13-02-2019 12-02-2049 - REFER Simple Once a year Energy Non PSU Other Active
ENERGY PRIVATE LIMITED LIMITED RR CCD 12FB49 FVRS1000
REMARKS
RESET RATE
INE00OW08019 ACME GULEDAGUDDA SOLAR ACME GULEDAGUDDA SOLAR ENERGY
317 N.A. Debentures Private Placement Taxable 1000 104664000 13-02-2019 12-02-2049 - REFER Simple Once a year Energy Non PSU Other Active
ENERGY PRIVATE LIMITED PRIVATE LIMITED RR CCD 12FB49 FVRS1000
REMARKS
RAMJAY HOMES REAL ESTATE RAMJAY HOMES REAL ESTATE PRIVATE Compounding Four times a
320 INE00PB07020 SERIES 2 Debentures Private Placement Taxable 100000 100000000 05-02-2020 04-02-2023 15.12% Utilities Non PSU Other Active
PRIVATE LIMITED LIMITED SR 2 15.12 LOA 04FB23 FVRS1LAC year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE00PD07018 PRAMAN INFRASTRUCTURES PRAMAN INFRASTRUCTURES PRIVATE LIMITED Compounding Four times a
322 N.A. Debentures Private Placement Taxable 13006.86 300000000 04-07-2018 30-09-2021 14% Utilities Non PSU Other Active
PRIVATE LIMITED 14 NCD 30SP21 FVRS13006.86 year
INE00Q508017 AVAADA SOLAR ENERGY AVAADA SOLAR ENERGY PRIVATE LIMITED SR-I
325 FCCD-I LOT Debentures Private Placement Taxable 10 1750000000 21-04-2018 20-04-2028 0% Simple Utilities Non PSU Other Active
PRIVATE LIMITED CCD 20AP28 FVRS10
INE00Q508025 AVAADA SOLAR ENERGY AVAADA SOLAR ENERGY PRIVATE LIMITED SR-
326 FCCD-II LOT Debentures Private Placement Taxable 10 1750000000 30-05-2018 29-05-2028 0% Simple Utilities Non PSU Other Active
PRIVATE LIMITED II CCD 29MY28 FVRS10
INE00Q508033 AVAADA SOLAR ENERGY AVAADA SOLAR ENERGY PRIVATE LIMITED SR-
327 FCCD-III LOT Debentures Private Placement Taxable 10 1750000000 04-06-2018 03-06-2028 0% Simple Utilities Non PSU Other Active
PRIVATE LIMITED III CCD 03JU28 FVRS10
INE00Q508041 AVAADA SOLAR ENERGY AVAADA SOLAR ENERGY PRIVATE LIMITED SR-
328 FCCD-IV LOT Debentures Private Placement Taxable 10 1750000000 21-07-2018 20-07-2028 0% Simple Utilities Non PSU Other Active
PRIVATE LIMITED IV CCD 20JL28 FVRS10
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE00Q508058 AVAADA SOLAR ENERGY AVAADA SOLAR ENERGY PRIVATE LIMITED SR-
329 FCCD-V LOT Debentures Private Placement Taxable 10 1750000000 24-07-2018 23-07-2028 0% Simple Utilities Non PSU Other Active
PRIVATE LIMITED V CCD 23JL28 FVRS10
Public Sector
INE00QS07014 INDORE MUNICIPAL INDORE MUNICIPAL CORPORATION SR-I 9.25 BWR AA (SO)/Stable;ACUITE
332 SERIES I Bonds Private Placement Taxable 1000000 1399000000 29-06-2018 29-06-2028 9.25% Simple Twice a year Utilities Undertaking (PSU) Other Active
CORPORATION BD 29JU28 FVRS10LAC AA(CE)/Stable
INE00QV07018 CUSHION REALTY PRIVATE CUSHION REALTY PRIVATE LIMITED 16 NCD Four times a
333 N.A. Debentures Private Placement Taxable 100000 900000000 21-03-2018 15-03-2022 16% Simple Utilities Non PSU Other Active
LIMITED 15MR22 FVRS1LAC year
INE00QV07026 CUSHION REALTY PRIVATE CUSHION REALTY PRIVATE LIMITED 16 NCD Four times a
334 N.A. Debentures Private Placement Taxable 100000 250000000 14-06-2018 14-06-2022 16% Simple Utilities Non PSU Other Active
LIMITED 14JU22 FVRS1LAC year
HDFC 3
INE00QW07024 SECURENS SYSTEMS PRIVATE SECURENS SYSTEMS PRIVATE LIMITED SERIES MONTHS Twelve times a CRISIL BB/Stable (ISSUER NOT
335 SERIES D Debentures Private Placement Taxable 1000000 110000000 06-11-2018 05-11-2023 Simple Utilities Non PSU Other Active
LIMITED D BR NCD 05NV23 FVRS10LAC MCLR + 615 year COOPERATING*)
BPS SPREAD
RESET RATE
FOURTH PARTNER ENERGY FOURTH PARTNER ENERGY PRIVATE LIMITED Compounding
348 INE00S407028 Debentures Private Placement Taxable 100000 1500000000 04-06-2021 03-06-2028 (REFER Twice a year Utilities Non PSU Other Active
PRIVATE LIMITED RR NCD 03JU28 FVRS1LAC
REMARK)
INE00SD07012 RMZ BUILDCON PRIVATE RMZ BUILDCON PRIVATE LIMITED SR-I 8 NCD Four times a
349 SERIES I Debentures Private Placement Taxable 595588.187 16450000000 14-06-2018 14-06-2031 8% Simple ICRA WITHDRAWN Others Non PSU Other Active
LIMITED 14JU31 FVRS595588.187 year
ADANI RAIL INFRA PRIVATE ADANI RAIL INFRA PRIVATE LIMITED SR SINGLE
350 INE00U207069 SINGLE Debentures Private Placement Taxable 10000000 5000000000 29-03-2019 29-04-2023 N.A. BWR AA-(CE) Utilities Non PSU Other Active
LIMITED TR 1 NCD 29AP23 FVRS1CR
ADANI RAIL INFRA PRIVATE ADANI RAIL INFRA PRIVATE LIMITED SR SINGLE
351 INE00U207077 SINGLE SERIES Debentures Private Placement Taxable 10000000 2650000000 29-03-2019 22-04-2022 N.A. BWR AA-(CE) Utilities Non PSU Other Active
LIMITED NCD 22AP22 FVRS1CR
ADANI RAIL INFRA PRIVATE ADANI RAIL INFRA PRIVATE LIMITED SR SINGLE
352 INE00U207093 SINGLE Debentures Private Placement Taxable 10000000 5000000000 29-03-2019 29-04-2023 N.A. BWR AA- (SO)/Stable Utilities Non PSU Other Active
LIMITED TR 2 NCD 29AP23 FVRS1CR
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ADANI RAIL INFRA PRIVATE ADANI RAIL INFRA PRIVATE LIMITED SINGLE
353 INE00U207101 SINGLE SERIES Debentures Private Placement Taxable 10000000 7000000000 05-07-2019 05-05-2023 N.A. Simple BWR AA-(CE) Utilities Non PSU Other Active
LIMITED SERIES NCD 05MY23 FVRS1CR
ADANI RAIL INFRA PRIVATE ADANI RAIL INFRA PRIVATE LIMITED SR C NCD
354 INE00U207127 SERIES C Debentures Private Placement Taxable 1000000 3980000000 26-09-2019 29-04-2022 BWR AA-(CE)/Stable Utilities Non PSU Other Active
LIMITED 29AP22 FVRS10LAC
TENON FACILITY
INE00UB07012 TENON FACILITY MANAGEMENT INDIA PRIVATE Compounding Four times a
355 MANAGEMENT INDIA PRIVATE SERIES I Debentures Private Placement Taxable 666666.67 600000000 25-06-2019 24-06-2024 15% Others Non PSU Other Active
LIMITED SR I 15 NCD 24JU24 FVRS666666.67 year
LIMITED
Public Sector
JOHN DEERE FINANCIAL INDIA JOHN DEERE FINANCIAL INDIA PRIVATE
359 INE00V208041 SERIES 2 Debentures Private Placement Taxable 1000000 1000000000 07-07-2020 15-09-2022 6.40% Simple Once a year CRISIL AAA/Stable Others Undertaking (PSU) Other Active
PRIVATE LIMITED LIMITED SR 2 6.40 NCD 15SP22 FVRS10LAC
Public Sector
JOHN DEERE FINANCIAL INDIA JOHN DEERE FINANCIAL INDIA PRIVATE
360 INE00V208058 SERIES 1 Debentures Private Placement Taxable 1000000 2000000000 07-07-2020 15-09-2021 6.20% Simple Once a year CRISIL AAA/Stable Others Undertaking (PSU) Other Active
PRIVATE LIMITED LIMITED SR 1 6.20 NCD 15SP21 FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
JOHN DEERE FINANCIAL INDIA JOHN DEERE FINANCIAL INDIA PRIVATE
361 INE00V208066 Debentures Private Placement Taxable 1000000 3000000000 28-01-2021 20-01-2023 5.75% Simple Once a year CRISIL AAA/Stable Others Undertaking (PSU) Other Active
PRIVATE LIMITED LIMITED 5.75 NCD 20JN23 FVRS10LAC
INE00VC07018 PEREGRINE GUARDING PEREGRINE GUARDING PRIVATE LIMITED SR I Compounding Four times a
362 SERIES I Debentures Private Placement Taxable 666666.67 400000000 25-06-2019 24-06-2024 15% Utilities Non PSU Other Active
PRIVATE LIMITED 15 NCD 24JU24 FVRS666666.67 year
RESET RATE
INE00VH08015 TRIDHAATU RENOVATORS TRIDHAATU RENOVATORS PRIVATE LIMITED Compounding
364 N.A. Debentures Private Placement Taxable 100000 250000000 25-01-2019 25-01-2029 - REFER Once a year Utilities Non PSU Other Active
PRIVATE LIMITED RR OCD 25JN29 FVRS1LAC
REMARKS
RESET RATE
INE00VH08023 TRIDHAATU RENOVATORS TRIDHAATU RENOVATORS PRIVATE LIMITED Compounding
365 Debentures Private Placement Taxable 100000 250000000 30-06-2018 30-06-2028 - REFER Once a year Utilities Non PSU Other Active
PRIVATE LIMITED RR OCD 30JU28 FVRS1LAC
REMARKS
TRIDHAATU ABODES PRIVATE TRIDHAATU ABODES PRIVATE LIMITED SR-I Compounding Four times a
366 INE00VI07015 SERIES I Debentures Private Placement 10000000 680000000 07-10-2019 31-03-2023 14.50% Utilities Non PSU Other Active
LIMITED 14.5 NCD 31MR23 FVRS1CR year
INE00VQ07018 AZURE POWER ROOFTOP ONE AZURE POWER ROOFTOP ONE PRIVATE
368 N.A. Debentures Private Placement Taxable 10000 431660000 18-01-2019 15-10-2024 10.322% Simple Twice a year Utilities Non PSU Other Active
PRIVATE LIMITED LIMITED 10.322 NCD 15OCT24 FVRS10000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
BASE
INE00VQ07026 AZURE POWER ROOFTOP ONE AZURE POWER ROOFTOP ONE PRIVATE RATE+SPRE
369 N.A Debentures Private Placement Taxable 10000 75270000 26-03-2020 15-10-2024 Simple Twice a year Utilities Non PSU Other Active
PRIVATE LIMITED LIMITED BR NCD 15OT24 FVRS10000 AD (325 BP)%
BASE
INE00VR07016 AZURE POWER ROOFTOP AZURE POWER ROOFTOP THREE PRIVATE RATE+SPRE
370 N.A Debentures Private Placement Taxable 10000 133030000 26-03-2020 15-10-2025 Simple Twice a year Utilities Non PSU Other Active
THREE PRIVATE LIMITED LIMITED BR NCD 15OT25 FVRS10000 AD (425
BPS)%
BASE
INE00VU07028 AZURE POWER ROOFTOP AZURE POWER ROOFTOP (GENCO.) PRIVATE RATE+SPRE
372 N.A Debentures Private Placement Taxable 10000 174240000 26-03-2020 15-10-2024 Simple Twice a year Utilities Non PSU Other Active
(GENCO.) PRIVATE LIMITED LIMITED BR NCD 15OT24 FVRS10000 AD (325BP)%
BASE
AZURE POWER ROOFTOP FIVE AZURE POWER ROOFTOP FIVE PRIVATE RATE+SPRE
373 INE00VV07018 N.A Debentures Private Placement Taxable 10000 109730000 26-03-2020 15-10-2024 Simple Twice a year Utilities Non PSU Other Active
PRIVATE LIMITED LIMITED BR NCD 15OT24 FVRS10000 AD (325 BP)%
INE00VW08014 SKYZEN INFRABUILD PRIVATE SKYZEN INFRABUILD PRIVATE LIMITED 10 CCD Compounding
374 Debentures Private Placement Taxable 10 177620000 16-01-2013 15-01-2033 10% Once a year Utilities Non PSU Other Active
LIMITED 15JN33 FVRS10
INE00VW08022 SKYZEN INFRABUILD PRIVATE SKYZEN INFRABUILD PRIVATE LIMITED 10 CCD Compounding
375 N.A. Debentures Private Placement Taxable 10 95000000 04-12-2013 03-12-2033 10% Once a year Utilities Non PSU Other Active
LIMITED 03DC33 FVRS10
INE00VW08030 SKYZEN INFRABUILD PRIVATE SKYZEN INFRABUILD PRIVATE LIMITED 10 CCD Compounding
376 N.A. Debentures Private Placement Taxable 10 50000000 05-03-2014 04-03-2034 10% Once a year Utilities Non PSU Other Active
LIMITED 04MR34 FVRS10
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE00VW08048 SKYZEN INFRABUILD PRIVATE SKYZEN INFRABUILD PRIVATE LIMITED 10 CCD Compounding
377 N.A. Debentures Private Placement Taxable 10 55000000 04-07-2014 03-07-2034 10% Once a year Utilities Non PSU Other Active
LIMITED 03JL34 FVRS10
INE00VW08055 SKYZEN INFRABUILD PRIVATE SKYZEN INFRABUILD PRIVATE LIMITED 10 CCD Compounding
378 N.A. Debentures Private Placement Taxable 10 750000 27-05-2015 26-05-2035 10% Once a year Utilities Non PSU Other Active
LIMITED 26MY35 FVRS10
RICHMAN SLUM
INE00WK07019 RICHMAN SLUM REDEVELOPER PRIVATE Compounding Four times a
380 REDEVELOPER PRIVATE N.A. Debentures Private Placement Taxable 100000 1700000000 09-04-2018 31-03-2023 12% Others Non PSU Other Active
LIMITED 12 NCD 31MR23 FVRS1LAC year
LIMITED
RELIANCE TELECOM
RELIANCE TELECOM INFRAINVEST PRIVATE
388 INE00XA08032 INFRAINVEST PRIVATE N.A Debentures Private Placement Taxable 1000 6510000000 06-08-2014 02-08-2024 Utilities Non PSU Other Active
LIMITED CCD 02AG24 FVRS1000
LIMITED
RELIANCE TELECOM
RELIANCE TELECOM INFRAINVEST PRIVATE
389 INE00XA08040 INFRAINVEST PRIVATE SERIES II Debentures Private Placement Taxable 1000 6500000000 16-01-2015 16-01-2025 Utilities Non PSU Other Active
LIMITED SR II CCD 16JN25 FVRS1000
LIMITED
MUTHOOT VEHICLE & ASSET MUTHOOT VEHICLE & ASSET FINANCE LIMITED Twelve times a
390 INE00XE07093 SERIES OPTION I Debentures Public Issue Taxable 1000 149328000 17-03-2020 17-03-2022 9.25% CARE BBB+;CRISIL A/Stable Utilities Non PSU Other Active
FINANCE LIMITED OPTION I 9.25 NCD 17MR22 FVRS1000 year
MUTHOOT VEHICLE & ASSET MUTHOOT VEHICLE & ASSET FINANCE LIMITED Twelve times a
391 INE00XE07101 SERIES OPTION II Debentures Public Issue Taxable 1000 256104000 17-03-2020 17-05-2023 9.50% CARE BBB+;CRISIL A/Stable Utilities Non PSU Other Active
FINANCE LIMITED OPTION II 9.50 NCD 17MY23 FVRS1000 year
MUTHOOT VEHICLE & ASSET MUTHOOT VEHICLE & ASSET FINANCE LIMITED Twelve times a
392 INE00XE07119 SERIES OPTION III Debentures Public Issue Taxable 1000 294823000 17-03-2020 17-03-2025 9.75% CRISIL A/Stable;CARE BBB+ Utilities Non PSU Other Active
FINANCE LIMITED OPTION III 9.75 NCD 17MR25 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
MUTHOOT VEHICLE & ASSET MUTHOOT VEHICLE & ASSET FINANCE LIMITED
393 INE00XE07127 SERIES OPTION IV Debentures Public Issue Taxable 1000 179355000 17-03-2020 17-03-2022 9.50% Once a year CRISIL A/Stable;CARE BBB+ Utilities Non PSU Other Active
FINANCE LIMITED OPTION IV 9.50 NCD 17MR22 FVRS1000
MUTHOOT VEHICLE & ASSET MUTHOOT VEHICLE & ASSET FINANCE LIMITED
394 INE00XE07135 SERIES OPTION V Debentures Public Issue Taxable 1000 112882000 17-03-2020 17-05-2023 9.75% Once a year CRISIL A/Stable;CARE BBB+ Utilities Non PSU Other Active
FINANCE LIMITED OPTION V 9.75 NCD 17MY23 FVRS1000
MUTHOOT VEHICLE & ASSET MUTHOOT VEHICLE & ASSET FINANCE LIMITED
395 INE00XE07143 SERIES OPTION VI Debentures Public Issue Taxable 1000 262134000 17-03-2020 17-03-2025 10% Once a year CRISIL A/Stable;CARE BBB+ Utilities Non PSU Other Active
FINANCE LIMITED OPTION VI 10 NCD 17MR25 FVRS1000
MUTHOOT VEHICLE & ASSET MUTHOOT VEHICLE & ASSET FINANCE LIMITED
396 INE00XE07150 SERIES OPTION VII Debentures Public Issue Taxable 1000 164208000 17-03-2020 17-03-2022 N.A CARE BBB+;CRISIL A/Stable Utilities Non PSU Other Active
FINANCE LIMITED OPTION VII NCD 17MR22 FVRS1000
MUTHOOT VEHICLE & ASSET MUTHOOT VEHICLE & ASSET FINANCE LIMITED
397 INE00XE07168 SERIES OPTION VIII Debentures Public Issue Taxable 1000 257740000 17-03-2020 17-05-2023 N.A CARE BBB+;CRISIL A/Stable Utilities Non PSU Other Active
FINANCE LIMITED OPTION VIII NCD 17MY23 FVRS1000
MUTHOOT VEHICLE & ASSET MUTHOOT VEHICLE & ASSET FINANCE LIMITED
398 INE00XE07176 SERIES OPTION IX Debentures Public Issue Taxable 1000 83144000 17-03-2020 17-03-2025 N.A CARE BBB+;CRISIL A/Stable Utilities Non PSU Other Active
FINANCE LIMITED OPTION IX NCD 17MR25 FVRS1000
MUTHOOT VEHICLE & ASSET MUTHOOT VEHICLE & ASSET FINANCE LIMITED
399 INE00XE07184 SERIES OPTION X Debentures Public Issue Taxable 1000 240282000 17-03-2020 17-09-2027 N.A CARE BBB+;CRISIL A/Stable Utilities Non PSU Other Active
FINANCE LIMITED OPTION X NCD 17SP27 FVRS1000
RESET RATE-
GMR INFRA DEVELOPERS GMR INFRA DEVELOPERS LIMITED TRANCHE B Compounding
403 INE00Y507027 TRANCHE B Debentures Private Placement Taxable 1000000 10000000000 12-03-2020 11-03-2023 REFER Once a year Utilities Non PSU Other Active
LIMITED RR LOA 11MR23 FVRS10LAC
REMARKS
NIFTY 50
INE00ZD07017 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SR-A BR
417 SERIES A Debentures Private Placement Taxable 100000 250000000 31-07-2019 30-09-2022 INDEX Simple On Maturity Finance Non PSU NBFC Active
LIMITED NCD 30SP22 FVRS1LAC
LINKED
INE00ZD07025 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SERIES B NIFTY
418 SERIES B Debentures Private Placement Taxable 100000 1300000 27-08-2019 09-12-2022 Simple On Maturity Finance Non PSU NBFC Active
LIMITED BR NCD 09DC22 FVRS1LAC LINKED
INE00ZD07041 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SERIES D NIFTY
420 SERIES D Debentures Private Placement Taxable 100000 285000000 11-09-2019 24-12-2022 Simple On Maturity Finance Non PSU NBFC Active
LIMITED BR NCD 24DC22 FVRS1LAC LINKED
INE00ZD07074 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SR G-TYPE I NIFTY
421 SERIES G-TYPE I Debentures Private Placement Taxable 100000 760000 20-12-2019 22-02-2023 Simple On Maturity Finance Non PSU NBFC Active
LIMITED BR NCD 22FB23 FVRS1LAC LINKED
INE00ZD07082 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SR G-TYPE II NIFTY
422 SERIES G-TYPE II Debentures Private Placement Taxable 100000 760000 20-12-2019 23-04-2023 Simple On Maturity Finance Non PSU NBFC Active
LIMITED BR NCD 23AP23 FVRS1LAC LINKED
NIFTY 50
INE00ZD07090 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SR H BR
423 SERIES H Debentures Private Placement Taxable 100000 3325000 30-12-2019 04-03-2023 INDEX Simple On Maturity Finance Non PSU NBFC Active
LIMITED NCD 04MR23 FVRS1LAC
LINKED
INE00ZD07116 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SR J-TYPE I NIFTY
424 SERIES J TYPE I Debentures Private Placement Taxable 100000 4750000 07-01-2020 12-03-2023 Simple On Maturity Finance Non PSU NBFC Active
LIMITED BR NCD 12MR23 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
NIFTY 50
INE00ZD07157 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SR M BR
425 SERIES M Debentures Private Placement Taxable 100000 855000 14-02-2020 19-04-2023 INDEX Simple On Maturity Finance Non PSU NBFC Active
LIMITED NCD 19AP23 FVRS1LAC
LINKED
NIFTY 50
INE00ZD07181 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SR N TYPE II
427 SERIES N TYPE II Debentures Private Placement Taxable 100000 475000 27-02-2020 11-06-2023 INDEX Simple On Maturity Finance Non PSU NBFC Active
LIMITED BR NCD 11JU23 FVRS1LAC
LINKED
NIFTY 50
INE00ZD07207 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SR P TYPE I
428 SERIES P TYPE I Debentures Private Placement Taxable 100000 500000 02-03-2020 12-06-2023 INDEX Simple On Maturity Finance Non PSU NBFC Active
LIMITED BR NCD 12JN23 FVRS1LAC
LINKED
NIFTY 50
INE00ZD07215 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SR P TYPE II
429 SERIES P TYPE II Debentures Private Placement Taxable 100000 500000 02-03-2020 06-05-2023 INDEX Simple On Maturity Finance Non PSU NBFC Active
LIMITED BR NCD 06MY23 FVRS1LAC
LINKED
NIFTY 50
INE00ZD07223 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SR Q BR
430 SERIES Q Debentures Private Placement Taxable 100000 475000 03-03-2020 07-05-2023 INDEX Simple On Maturity Finance Non PSU NBFC Active
LIMITED NCD 07MY23 FVRS1LAC
LINKED
NIFTY 50
INE00ZD07264 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SR U BR
433 SERIES U Debentures Private Placement Taxable 100000 1500000 13-03-2020 17-05-2023 INDEX Simple On Maturity Finance Non PSU NBFC Active
LIMITED NCD 17MY23 FVRS1LAC
LINKED
NIFTY 50
INE00ZD07272 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SR V BR
434 SERIES V Debentures Private Placement Taxable 100000 1425000 31-03-2020 14-07-2023 INDEX Simple On Maturity Finance Non PSU NBFC Active
LIMITED NCD 14JL23 FVRS1LAC
LINKED
NIFTY 50
INE00ZD07298 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SR I TYPE II
435 SERIES 1 TYPE II Debentures Private Placement Taxable 100000 9400000 17-04-2020 31-07-2023 INDEX Simple On Maturity Finance Non PSU NBFC Active
LIMITED BR NCD 31JL23 FVRS1LAC
LINKED
NIFTY 50
INE00ZD07306 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SR 2 BR
436 SERIES 2 Debentures Private Placement Taxable 100000 1288000 14-05-2020 27-08-2023 INDEX Simple On Maturity Finance Non PSU NBFC Active
LIMITED NCD 27AG23 FVRS1LAC
LINKED
INE00ZD07330 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SERIES 4 BR COMMODITY
437 SERIES 4 Debentures Private Placement Taxable 100000 19500000 07-07-2020 27-07-2021 Simple CARE BBB/Stable Finance Non PSU NBFC Active
LIMITED NCD 27JL21 FVRS1LAC LINKED
INE00ZD07355 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SR 6 13 NCD Four times a
439 SERIES 6 Debentures Private Placement Taxable 100000 24300000 20-08-2020 25-08-2021 13% Simple Finance Non PSU NBFC Active
LIMITED 25AG21 FVRS1LAC year
NIFTY 50
INE00ZD07363 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SR 7 BR
440 SERIES 7 Debentures Private Placement Taxable 100000 1947540 24-08-2020 15-02-2022 INDEX Simple On Maturity CARE BBB/Stable Finance Non PSU NBFC Active
LIMITED NCD 15FB22 FVRS1LAC
LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
NIFTY 50
INE00ZD07389 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SR 9 BR
442 SERIES 9 Debentures Private Placement Taxable 100000 13170500 11-09-2020 26-10-2023 INDEX Simple On Maturity CARE BBB-/Stable Finance Non PSU NBFC Active
LIMITED NCD 26OT23 FVRS1LAC
LINKED
WTI CRUDE
INE00ZD07397 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SR 10 BR
443 SERIES 10 Debentures Private Placement Taxable 100000 2885250 10-12-2020 31-12-2022 OIL SPOT Simple On Maturity CARE BBB/Stable Finance Non PSU NBFC Active
LIMITED NCD 31DC22 FVRS 1LAC
RATE LINKED
INE00ZD07413 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SR 12 BR NIFTY50 LINK
445 SERIES 12 Debentures Private Placement Taxable 100000 2834100 04-02-2021 27-02-2024 Simple On Maturity CARE BBB/Stable Finance Non PSU NBFC Active
LIMITED NCD 27FB24 FVRS1LAC
INE00ZD07421 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SR 13 BR NIFTY50 LINK
446 SERIES 13 Debentures Private Placement Taxable 100000 5605932 05-02-2021 22-07-2022 Simple On Maturity CARE BBB-/Stable Finance Non PSU NBFC Active
LIMITED NCD 22JL22 FVRS1LAC
INE00ZD07454 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SR 15 12 Four times a
448 SERIES 15 Debentures Private Placement Taxable 100000 15100000 27-04-2021 25-04-2022 12% Simple Finance Non PSU NBFC Active
LIMITED NCD 25AP22 FVRS1LAC year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
NIFTY 50
INE00ZD07488 ABANS FINANCE PRIVATE ABANS FINANCE PRIVATE LIMITED SR 18 BR
451 SERIES 18 Debentures Private Placement Taxable 1000000 994685 17-06-2021 11-03-2023 INDEX Simple On Maturity CARE PP-MLD BBB- Finance Non PSU NBFC Active
LIMITED NCD 11MR23 FVRS10LAC
LINKED
INE00ZQ07019 ATS BUILDLINE PRIVATE ATS BUILDLINE PRIVATE LIMITED SR-I 16 NCD Four times a
454 SERIES I Debentures Private Placement Taxable 10000 1000000000 28-05-2018 27-05-2023 16% Simple Industrial Non PSU Other Active
LIMITED 27MY23 FVRS10000 year
INE00ZQ07027 ATS BUILDLINE PRIVATE ATS BUILDLINE PRIVATE LIMITED SR-II 16 NCD Four times a
455 SERIES II Debentures Private Placement Taxable 10000 700000000 28-05-2018 27-05-2022 16% Simple Industrial Non PSU Other Active
LIMITED 27MY22 FVRS10000 year
OZONE REALTORS PRIVATE OZONE REALTORS PRIVATE LIMITED SR-A 14 Four times a
461 INE010T07034 A Debentures Private Placement Taxable 1000 600000000 25-01-2018 25-01-2022 14% Simple Utilities Non PSU Other Active
LIMITED NCD 25JN22 FVRS1000 year
RESET RATE
TRIL IT4 PRIVATE LIMITED SR I RR NCD 14MR28 Twelve times a
464 INE011S08032 TRIL IT4 PRIVATE LIMITED N.A. Debentures Private Placement Taxable 687500 1600000000 17-03-2015 14-03-2028 (REFER Simple ICRA A Utilities Non PSU Other Active
FVRS687500 year
REMAKRS)
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
NIFTY50
JM FINANCIAL SERVICES JM FINANCIAL SERVICES LIMITED TR A OPT I
466 INE012I07025 TRANCHE A ¿¿ OPTION I Debentures Private Placement Taxable 250000 51500000 27-07-2020 26-10-2021 INDEX On Maturity ICRA PP-MLD AA/Stable Others Active
LIMITED BR LOA 26OT21 FVRS2.5LAC
LINKED
NIFTY50
JM FINANCIAL SERVICES JM FINANCIAL SERVICES LIMITED TR A OPT II
467 INE012I07033 TRANCH A OPTION II Debentures Private Placement Taxable 250000 566500000 27-07-2020 24-12-2021 INDEX On Maturity ICRA PP-MLD AA/Stable Others Active
LIMITED BR LOA 24DC21 FVRS2.5LAC
LINKED
INE013A070C6 RELIANCE CAPITAL LIMITED SR-FB-354 8.85 BWR D;CARE D (ISSUER NOT
469 RELIANCE CAPITAL LIMITED FB-NCD-354 Debentures Private Placement Taxable 1000000 2000000000 13-07-2016 13-07-2021 8.85% Simple Once a year Finance Non PSU NBFC Active
NCD 13JL21 FVRS10LAC COOPERATING*)
NIFTY 50
INE013A070G7 RELIANCE CAPITAL LIMITED B/383 TYPE II BR CARE PP-MLD D (ISSUER NOT
472 RELIANCE CAPITAL LIMITED B/383 - TYPE II Debentures Private Placement Taxable 100000 10000000 05-10-2016 05-01-2022 INDEX On Maturity Finance Non PSU NBFC Active
NCD 05JN22 FVRS1LAC COOPERATING*)
LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
NIFTY 50
INE013A070H5 RELIANCE CAPITAL LIMITED B/384 TYPE I BR CARE PP-MLD D (ISSUER NOT
473 RELIANCE CAPITAL LIMITED B/384 - TYPE I Debentures Private Placement Taxable 100000 50000000 20-10-2016 20-10-2021 INDEX On Maturity Finance Non PSU NBFC Active
NCD 20OT21 FVRS1LAC COOPERATING*)
LINKED
INE013A070R4 RELIANCE CAPITAL LIMITED SR-B/382 8.93 NCD CARE D (ISSUER NOT
474 RELIANCE CAPITAL LIMITED RCL F SERIES B NCD 382 Debentures Private Placement Taxable 1000000 9000000000 09-03-2018 09-03-2028 8.93% Simple Once a year Finance Non PSU NBFC Active
09MR28 FVRS10LAC COOPERATING*);BWR D
NIFTY 50
RELIANCE CAPITAL LIMITED SR-B/423 BR NCD CARE PP-MLD D (ISSUER NOT
476 INE013A071P6 RELIANCE CAPITAL LIMITED RCL MLD B/423 Debentures Private Placement Taxable 100000 250000000 06-09-2017 06-03-2023 INDEX On Maturity Finance Non PSU NBFC Active
06MR23 FVRS1LAC COOPERATING*)
LINKED
LARGE CAP
INE013A071R2 RCL MLD SERIES B/436 RELIANCE CAPITAL LIMITED SR-B/436 TYPE I ALPHA INDEX CARE PP-MLD D (ISSUER NOT
477 RELIANCE CAPITAL LIMITED Debentures Private Placement Taxable 100000 500000000 23-03-2018 23-03-2022 On Maturity Finance Non PSU NBFC Active
TYPE I BR NCD 23MR22 FVRS1LAC LINKED COOPERATING*)
RELIANCE
ENHANCED
RELIANCE CAPITAL LIMITED SR-B/442 BR NCD ALPHA CARE PP-MLD D (ISSUER NOT
478 INE013A071S0 RELIANCE CAPITAL LIMITED B/442 Debentures Private Placement Taxable 100000 132700000 27-07-2018 27-07-2022 On Maturity Finance Non PSU NBFC Active
27JL22 FVRS1LAC EQUITY COOPERATING*)
INDEX
LINKED
ASK HIGH
INE013A072Q2 RELIANCE CAPITAL LIMITED SR-B/428 BR NCD CONVICTION
480 RELIANCE CAPITAL LIMITED RCL MLD B/428 Debentures Private Placement Taxable 100000 178500000 23-01-2018 25-01-2022 On Maturity Finance Non PSU NBFC Active
25JN22 FVRS1LAC INDEX
LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE013A073M9 RELIANCE CAPITAL LIMITED SR-FB-373 8.5 NCD BWR D;CARE PP-MLD D (ISSUER
482 RELIANCE CAPITAL LIMITED FB-NCD-373 Debentures Private Placement Taxable 1000000 500000000 10-03-2017 10-03-2022 8.5% Simple Once a year Finance Non PSU NBFC Active
10MR22 FVRS10LAC NOT COOPERATING*)
NIFTY 50
INE013A074R6 RELIANCE CAPITAL LIMITED SR-B/437 BR NCD CARE PP-MLD D (ISSUER NOT
486 RELIANCE CAPITAL LIMITED RCL MLD SERIES B/437 Debentures Private Placement Taxable 100000 160000000 18-04-2018 18-04-2028 INDEX On Maturity Finance Non PSU NBFC Active
18AP28 FVRS1LAC COOPERATING*)
LINKED
INE013A075C5 RELIANCE CAPITAL LIMITED SR-FB-355 8.75 BWR D;CARE D (ISSUER NOT
487 RELIANCE CAPITAL LIMITED FB-NCD-355 Debentures Private Placement Taxable 1000000 500000000 22-07-2016 22-07-2021 8.75% Simple Once a year Finance Non PSU NBFC Active
NCD 22JL21 FVRS10LAC COOPERATING*)
ASK HIGH
INE013A075R3 RELIANCE CAPITAL LIMITED SR-B/438 BR NCD CONVICTION CARE PP-MLD D (ISSUER NOT
490 RELIANCE CAPITAL LIMITED RCL MLD SERIES B/438 Debentures Private Placement Taxable 100000 330500000 25-04-2018 25-04-2022 Simple On Maturity Finance Non PSU NBFC Active
25AP22 FVRS1LAC INDEX COOPERATING*)
LINKED
KARVY
RELIANCE CAPITAL LIMITED SERIES B/447 BR CAPITAL CARE PP-MLD D (ISSUER NOT
494 INE013A076S9 RELIANCE CAPITAL LIMITED RCL MLDSERIES B/447 Debentures Private Placement Taxable 100000 315900000 09-01-2019 11-07-2022 Simple On Maturity Finance Non PSU NBFC Active
NCD 11JL22 FVRS1LAC ALPHA 500 COOPERATING*)
INDEX
NIFTY 50
INE013A077Q1 RELIANCE CAPITAL LIMITED SR-B/433A BR NCD
498 RELIANCE CAPITAL LIMITED B/433A Debentures Private Placement Taxable 100000 424100000 07-02-2018 09-08-2021 INDEX On Maturity Finance Non PSU NBFC Active
09AG21 FVRS1LAC
LINKED
INE013A078H8 RELIANCE CAPITAL LIMITED SR-FB-NCD-368 8.5 BWR D;CARE D (ISSUER NOT
499 RELIANCE CAPITAL LIMITED FB-NCD-368 Debentures Private Placement Taxable 1000000 300000000 07-11-2016 02-11-2021 8.50% Simple Once a year Finance Non PSU NBFC Active
NCD 02NV21 FVRS10LAC COOPERATING*)
ASK HIGH
INE013A078Q9 RELIANCE CAPITAL LIMITED SR-B/434 BR NCD CONVICTION CARE PP-MLD D (ISSUER NOT
501 RELIANCE CAPITAL LIMITED B/434 Debentures Private Placement Taxable 100000 278000000 09-02-2018 11-02-2022 On Maturity Finance Non PSU NBFC Active
11FB22 FVRS1LAC INDEX COOPERATING*)
LINKED
RELIANCE CAPITAL LIMITED 10.05 NCD 13DC22 ;CARE A+ (Under rating watch with
515 INE013A07TA2 RELIANCE CAPITAL LIMITED Debentures Private Placement Taxable 1000000 70000000 13-12-2012 13-12-2022 10.05% Simple Once a year Finance Non PSU NBFC Active
FVRS10LAC LOA UPTO 26DC12 developing implications)
RCL F SERIES (TIER II) T RELIANCE CAPITAL LIMITED SR-T-51 10.19 LOA BWR D;CARE D (ISSUER NOT
545 INE013A08333 RELIANCE CAPITAL LIMITED Debentures Private Placement Taxable 1000000 2000000000 02-01-2014 02-01-2024 10.19% Simple Twice a year Finance Non PSU NBFC Active
NCD-51 02JN24 FVRS10LAC COOPERATING*)
RCL F SERIES (TIER II) T RELIANCE CAPITAL LIMITED SR-T-52 10.19 LOA BWR D;CARE D (ISSUER NOT
546 INE013A08341 RELIANCE CAPITAL LIMITED Debentures Private Placement Taxable 1000000 2000000000 07-01-2014 07-01-2024 10.19% Simple Twice a year Finance Non PSU NBFC Active
NCD-52 07JN24 FVRS10LAC COOPERATING*)
RCL F SERIES (TIER II) T RELIANCE CAPITAL LIMITED SR-T-53 10.19 LOA BWR D;CARE D (ISSUER NOT
547 INE013A08358 RELIANCE CAPITAL LIMITED Debentures Private Placement Taxable 1000000 4000000000 13-01-2014 13-01-2024 10.19% Simple Twice a year Finance Non PSU NBFC Active
NCD-53 13JN24 FVRS10LAC COOPERATING*)
MACROTECH DEVELOPERS MACROTECH DEVELOPERS LIMITED SR-1 9.5 CARE BBB- (SO) (Under rating watch
553 INE014S07012 1 Debentures Private Placement Taxable 1000000 4950000000 13-07-2017 13-07-2023 9.5% Once a year Utilities Non PSU Other Active
LIMITED NCD 13JL23 FVRS10LAC with developing implications)
NIFTY 10YR
EDELWEISS ASSET EDELWEISS ASSET RECONSTRUCTION CO. LTD
555 INE015L07188 B1F601C Debentures Private Placement Taxable 100000 150000000 22-06-2016 17-06-2026 G-SEC INDEX On Maturity CARE PP-MLD AA- (CE)/Negative Finance Non PSU Other Active
RECONSTRUCTION CO. LTD SR-B1F601C BR NCD 17JU26 FVRS1LAC
LINKED
NIFTY 10YR
EDELWEISS ASSET EDELWEISS ASSET RECONSTRUCTION CO. LTD
558 INE015L07246 I8F601C Debentures Private Placement Taxable 100000 250000000 30-06-2016 01-07-2021 G-SEC INDEX On Maturity ICRA PP-MLD A+ (CE)/Negative Finance Non PSU Other Suspended
RECONSTRUCTION CO. LTD SR-I8F601C BR NCD 01JL21 FVRS1LAC
LINKED
NIFTY 10YR
EDELWEISS ASSET EDELWEISS ASSET RECONSTRUCTION CO. LTD
559 INE015L07253 I8F601D Debentures Private Placement Taxable 100000 250000000 30-06-2016 25-06-2026 G-SEC INDEX On Maturity ICRA PP-MLD A+ (CE)/Negative Finance Non PSU Other Active
RECONSTRUCTION CO. LTD SR-I8F601D BR NCD 25JU26 FVRS1LAC
LINKED
EDELWEISS ASSET EDELWEISS ASSET RECONSTRUCTION CO. LTD ICRA PP-MLD A+ (CE)/Negative;CARE
560 INE015L07261 F6G601A Debentures Private Placement Taxable 100000 300000000 01-07-2016 26-06-2026 10% On Maturity Finance Non PSU Other Active
RECONSTRUCTION CO. LTD SR-F6G601A 10 NCD 26JU26 FVRS1LAC PP-MLD AA- (CE)/Negative
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
EDELWEISS ASSET EDELWEISS ASSET RECONSTRUCTION CO. LTD ICRA PP-MLD A+ (CE)/Negative;CARE
561 INE015L07279 F6G602A Debentures Private Placement Taxable 100000 50000000 04-07-2016 29-06-2026 10% Once a year Finance Non PSU Other Active
RECONSTRUCTION CO. LTD SR-F6G602A 10 NCD 29JU26 FVRS1LAC PP-MLD AA- (CE)/Negative
NIFTY 10YR
EDELWEISS ASSET EDELWEISS ASSET RECONSTRUCTION CO. LTD
563 INE015L07311 B1G601A Debentures Private Placement Taxable 100000 400000000 12-07-2016 13-07-2021 G-SEC INDEX On Maturity ICRA PP-MLD A+ (CE)/Negative Finance Non PSU Other Active
RECONSTRUCTION CO. LTD SR-B1G601A BR NCD 13JL21 FVRS1LAC
LINKED
NIFTY 10YR
EDELWEISS ASSET EDELWEISS ASSET RECONSTRUCTION CO. LTD
564 INE015L07329 B1G601C Debentures Private Placement Taxable 100000 400000000 12-07-2016 13-07-2021 G-SEC INDEX On Maturity ICRA PP-MLD A+ (CE)/Negative Finance Non PSU Other Active
RECONSTRUCTION CO. LTD SR-B1G601C BR NCD 13JL21 FVRS1LAC
LINKED
NIFTY 10YR
EDELWEISS ASSET EDELWEISS ASSET RECONSTRUCTION CO. LTD
565 INE015L07337 B1G601D Debentures Private Placement Taxable 100000 400000000 12-07-2016 07-07-2026 G-SEC INDEX On Maturity ICRA PP-MLD A+ (CE)/Negative Finance Non PSU Other Active
RECONSTRUCTION CO. LTD SR-B1G601D BR NCD 07JL26 FVRS1LAC
LINKED
NIFTY 10YR
EDELWEISS ASSET EDELWEISS ASSET RECONSTRUCTION CO. LTD
566 INE015L07378 J8G601B Debentures Private Placement Taxable 100000 250000000 18-07-2016 19-07-2021 G-SEC INDEX On Maturity ICRA PP-MLD A+ (CE)/Negative Finance Non PSU Other Active
RECONSTRUCTION CO. LTD SR-J8G601B BR NCD 19JL21 FVRS1LAC
LINKED
NIFTY 10YR
EDELWEISS ASSET EDELWEISS ASSET RECONSTRUCTION CO. LTD
567 INE015L07386 J8G601C Debentures Private Placement Taxable 100000 250000000 18-07-2016 13-07-2026 G-SEC INDEX On Maturity ICRA PP-MLD A+ (CE)/Negative Finance Non PSU Other Active
RECONSTRUCTION CO. LTD SR-J8G601C BR NCD 13JL26 FVRS1LAC
LINKED
NIFTY 10YR
EDELWEISS ASSET EDELWEISS ASSET RECONSTRUCTION CO. LTD
568 INE015L07410 J8G602B Debentures Private Placement Taxable 100000 500000000 22-07-2016 23-07-2021 G-SEC INDEX On Maturity ICRA PP-MLD A+ (CE)/Negative Finance Non PSU Other Active
RECONSTRUCTION CO. LTD SR-J8G602B BR NCD 23JL21 FVRS1LAC
LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
NIFTY 10YR
EDELWEISS ASSET EDELWEISS ASSET RECONSTRUCTION CO. LTD
569 INE015L07428 J8G602C Debentures Private Placement Taxable 100000 7180000000 22-07-2016 17-07-2026 G-SEC INDEX On Maturity ICRA PP-MLD A+ (CE)/Negative Finance Non PSU Other Active
RECONSTRUCTION CO. LTD SR-J8G602C BR NCD 17JL26 FVRS1LAC
LINKED
NIFTY 10 YR
BENCHMARK
G-SEC
EDELWEISS ASSET EDELWEISS ASSET RECONSTRUCTION CO. LTD
576 INE015L07535 E2H701A Debentures Private Placement Taxable 100000 12425000000 06-09-2017 06-09-2022 (CLEAN On Maturity ICRA PP-MLD A+ (CE)/Negative Finance Non PSU Other Active
RECONSTRUCTION CO. LTD SR-E2H701A BR NCD 06SP22 FVRS1LAC
PRICE)
INDEX
LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
NIFTY 10 YR
BENCHMARK
G-SEC
EDELWEISS ASSET EDELWEISS ASSET RECONSTRUCTION CO. LTD
577 INE015L07543 E2H701B Debentures Private Placement Taxable 100000 350000000 06-09-2017 05-09-2024 (CLEAN On Maturity ICRA PP-MLD A+ (CE)/Negative Finance Non PSU Other Active
RECONSTRUCTION CO. LTD SR-E2H701B BR NCD 05SP24 FVRS1LAC
PRICE)
INDEX
LINKED
EDELWEISS ASSET EDELWEISS ASSET RECONSTRUCTION CO. LTD CARE AA-(CE)/Negative;ICRA PP-MLD
578 INE015L07550 SERIES I2I701A Debentures Private Placement Taxable 100000 600000000 12-09-2017 11-09-2024 8.85% Once a year Finance Non PSU Other Active
RECONSTRUCTION CO. LTD SR-I2I701A 8.85 NCD 11SP24 FVRS1LAC A+ (CE)/Negative
NIFTY 10 YR
EDELWEISS ASSET EDELWEISS ASSET RECONSTRUCTION CO. LTD BENCHMARK
581 INE015L07592 SERIES E1K803A Debentures Private Placement Taxable 100000 12380000000 14-11-2018 15-11-2021 On Maturity ICRA PP-MLD A+ (CE)/Negative Finance Non PSU Other Active
RECONSTRUCTION CO. LTD SERIES E1K803A BR NCD 15NV21 FVRS1LAC G-SEC INDEX
LINKED
NIFTY 10 YR
EDELWEISS ASSET EDELWEISS ASSET RECONSTRUCTION CO. LTD BENCHMARK
584 INE015L07659 I3C901A Debentures Private Placement Taxable 100000 1700000000 28-03-2019 28-03-2024 On Maturity CARE PP-MLD AA- (CE)/Negative Finance Non PSU Other Active
RECONSTRUCTION CO. LTD SR I3C901A BR NCD 28MR24 FVRS1LAC G-SEC INDEX
LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
NIFTY 10
EDELWEISS ASSET EDELWEISS ASSET RECONSTRUCTION CO. LTD YEAR
589 INE015L07725 SERIES K9A001A Debentures Private Placement Taxable 100000 80000000 31-01-2020 24-01-2030 Simple On Maturity CARE PP-MLD AA- (CE)/Negative Finance Non PSU Other Active
RECONSTRUCTION CO. LTD SR K9A001A BR NCD 24JN30 FVRS1LAC BENCHMARK
G-SEC INDEX
NIFTY 10 YR
BENCHMARK
EDELWEISS ASSET EDELWEISS ASSET RECONSTRUCTION CO. LTD G-SEC
590 INE015L07733 SERIES A5C001A Debentures Private Placement Taxable 100000 250000000 06-03-2020 31-03-2025 Simple On Maturity CARE PP-MLD AA- (CE)/Negative Finance Non PSU Other Active
RECONSTRUCTION CO. LTD SR A5C001A BR NCD 31MR25 FVRS1LAC (CLEAN
PRICE)
INDEX
NIFTY 10 YR
BENCHMARK
EDELWEISS ASSET EDELWEISS ASSET RECONSTRUCTION CO. LTD G-SEC
591 INE015L07758 SERIES L1C001A Debentures Private Placement Taxable 100000 250000000 06-03-2020 31-03-2022 Simple On Maturity CARE PP-MLD AA- (CE)/Negative Finance Non PSU Other Active
RECONSTRUCTION CO. LTD SR L1C001A BR NCD 31MR22 FVRS1LAC (CLEAN
PRICE)
INDEX
NIFTY 10 YR
BENCHMARK
EDELWEISS ASSET EDELWEISS ASSET RECONSTRUCTION CO. LTD
592 INE015L07766 SERIES L2C001A Debentures Private Placement Taxable 100000 250000000 06-03-2020 31-03-2023 G-SEC Simple On Maturity CARE PP-MLD AA- (CE)/Negative Finance Non PSU Other Active
RECONSTRUCTION CO. LTD SR L2C001A BR NCD 31MR23 FVRS1LAC
(CLEAN
PRICE)
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INDEX
NIFTY 10 YR
BENCHMARK
EDELWEISS ASSET EDELWEISS ASSET RECONSTRUCTION CO. LTD G-SEC
593 INE015L07774 SERIES L3C001A Debentures Private Placement Taxable 100000 250000000 06-03-2020 29-03-2024 Simple On Maturity CARE PP-MLD AA- r (CE)/Negative Finance Non PSU Other Active
RECONSTRUCTION CO. LTD SR L3C001A BR NCD 29MR24 FVRS1LAC (CLEAN
PRICE)
INDEX
LINKED TO
RBI REPO
VISTAAR FINANCIAL SERVICES VISTAAR FINANCIAL SERVICES PRIVATE RATE-RBI Four times a
595 INE016P07153 N.A Debentures Private Placement Taxable 1000000 100000000 17-06-2020 21-04-2023 Simple ICRA A-/Stable Finance Non PSU Other Active
PRIVATE LIMITED LIMITED BR NCD 21AP23 FVRS10LAC REPO year
RATE+7.45%
LARSEN AND TOUBRO LIMITED LARSEN AND TOUBRO LIMITED 9.10 NCD
610 INE018A07763 N.A. Debentures Private Placement Taxable 1000000 2600000000 25-10-2012 25-10-2023 9.10% Simple Once a year CRISIL AAA/Stable;ICRA AAA/Stable Industrial Non PSU Other Active
25OT23 FVRS10LAC LOAUPTO10JU20
LARSEN AND TOUBRO LIMITED LARSEN AND TOUBRO LIMITED 9.10 NCD
611 INE018A07771 N.A. Debentures Private Placement Taxable 1000000 2600000000 25-10-2012 25-10-2024 9.10% Simple Once a year CRISIL AAA/Stable;ICRA AAA/Stable Industrial Non PSU Other Active
25OT24 FVRS10LAC LOAUPTO10JU20
LARSEN AND TOUBRO LIMITED LARSEN AND TOUBRO LIMITED 9.10 NCD
612 INE018A07789 N.A. Debentures Private Placement Taxable 1000000 2600000000 25-10-2012 25-10-2025 9.10% Simple Once a year ICRA AAA/Stable;CRISIL AAA/Stable Industrial Non PSU Other Active
25OT25 FVRS10LAC LOAUPTO10JU20
LARSEN AND TOUBRO LIMITED LARSEN AND TOUBRO LIMITED 9.10 NCD
613 INE018A07797 N.A. Debentures Private Placement Taxable 1000000 2600000000 25-10-2012 25-10-2026 9.10% Simple Once a year ICRA AAA/Stable;CRISIL AAA/Stable Industrial Non PSU Other Active
25OT26 FVRS10LAC LOAUPTO10JU20
LARSEN AND TOUBRO LIMITED LARSEN AND TOUBRO LIMITED 9.10 NCD
614 INE018A07805 N.A. Debentures Private Placement Taxable 1000000 2910000000 25-10-2012 25-10-2027 9.10% Simple Once a year ICRA AAA/Stable;CRISIL AAA/Stable Industrial Non PSU Other Active
25OT27 FVRS10LAC LOAUPTO10JU20
LARSEN AND TOUBRO LIMITED LARSEN AND TOUBRO LIMITED 9.75 NCD
615 INE018A08AJ0 Debentures Private Placement Taxable 1000000 10-04-2012 11-04-2022 9.75% Simple Once a year ICRA AAA/Stable;CRISIL AAA/Stable Industrial Non PSU Other Active
11AP22 FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
1.65% IAP
INE018A08AK8 LARSEN AND TOUBRO LIMITED LARSEN AND TOUBRO LIMITED BR NCD 23MY23 (INFLATION
616 Debentures Private Placement Taxable 1000000 23-05-2013 23-05-2023 Simple Once a year CRISIL AAA/Stable Industrial Non PSU Other Active
FV RS10 LAC ADJUSTED
PRINCIPAL)
INE018A08AR3 LARSEN AND TOUBRO LIMITED LARSEN AND TOUBRO LIMITED SR I 7.87
617 SERIES I Debentures Private Placement Taxable 1000000 15000000000 18-04-2019 18-04-2022 7.87% Simple Once a year CRISIL AAA/Stable Industrial Non PSU Other Active
NCD18AP22 FVRS10LAC LOAUPTO14JL19
LARSEN AND TOUBRO LIMITED LARSEN AND TOUBRO LIMITED SR I 8.02 NCD
618 INE018A08AS1 SERIES I Debentures Private Placement Taxable 1000000 20000000000 22-05-2019 22-05-2022 8.02% Simple Once a year CRISIL AAA/Stable Industrial Non PSU Other Active
22MY22 FVRS10LAC LOAUPTO15AG19
INE018A08AU7 LARSEN AND TOUBRO LIMITED LARSEN AND TOUBRO LIMITED SR I 6.72 NCD
619 SERIES I Debentures Private Placement Taxable 1000000 10000000000 24-01-2020 24-04-2023 6.72% Simple Once a year CRISIL AAA/Stable Industrial Non PSU Other Active
24AP23 FVRS10LAC LOAUPTO24FB20
INE018A08AV5 LARSEN AND TOUBRO LIMITED LARSEN AND TOUBRO LIMITED 7.20 NCD
620 N.A Debentures Private Placement Taxable 1000000 12500000000 20-04-2020 20-04-2023 7.20% Simple Once a year CRISIL AAA/Stable Industrial Non PSU Other Active
20AP23 FVRS10LAC LOAUPTO09JL20
INE018A08AX1 LARSEN AND TOUBRO LIMITED LARSEN AND TOUBRO LIMITED SR 2 7 NCD
621 SERIES 2 Debentures Private Placement Taxable 1000000 4500000000 23-04-2020 25-04-2022 7% Simple Once a year CRISIL AAA/Stable Industrial Non PSU Other Active
25AP22 FVRS10LAC LOAUPTO09JL20
LARSEN AND TOUBRO LIMITED LARSEN AND TOUBRO LIMITED SR 3 7.25 NCD
622 INE018A08AY9 SERIES 3 Debentures Private Placement Taxable 1000000 24500000000 23-04-2020 24-04-2023 7.25% Simple Once a year CRISIL AAA/Stable Industrial Non PSU Other Active
24AP23 FVRS10LAC LOAUPTO09JL20
INE018A08AZ6 LARSEN AND TOUBRO LIMITED LARSEN AND TOUBRO LIMITED SR 4 8 NCD
623 SERIES 4 Debentures Private Placement Taxable 1000000 18000000000 23-04-2020 23-04-2030 8% Simple Once a year CRISIL AAA/Stable Industrial Non PSU Other Active
23AP30 PPRS250000 LOAUPTO09JL20
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE018A08BA7 LARSEN AND TOUBRO LIMITED LARSEN AND TOUBRO LIMITED 7.70 LOA
624 N.A Debentures Private Placement Taxable 1000000 25000000000 28-04-2020 28-04-2025 7.70% Simple Once a year IND AAA/Stable;CRISIL AAA/Stable Industrial Non PSU Other Active
28AP25 FVRS10LAC
INE018A08BB5 LARSEN AND TOUBRO LIMITED LARSEN AND TOUBRO LIMITED 7.25 NCD
625 N.A. Debentures Private Placement Taxable 1000000 14500000000 06-05-2020 06-05-2024 7.25% Simple Once a year CRISIL AAA/Stable Industrial Non PSU Other Active
06MY24 FVRS10LAC LOAUPTO09JL20
INE018A08BC3 LARSEN AND TOUBRO LIMITED LARSEN AND TOUBRO LIMITED SR 4 8 LOA
626 SERIES 4 Debentures Private Placement Taxable 1000000 18000000000 23-04-2021 23-04-2030 8% Simple Once a year CRISIL AAA/Stable Industrial Non PSU Other Active
23AP30 PPRS5LAC
SBI CARDS AND PAYMENT SBI CARDS AND PAYMENT SERVICES LIMITED
627 INE018E08052 05 Debentures Private Placement Taxable 1000000 1000000000 26-11-2014 26-11-2021 9% Simple Once a year CRISIL AAA/Stable;ICRA AAA Finance Non PSU NBFC Active
SERVICES LIMITED SR-05 9 LOA 26NV21 FVRS10LAC
SBI CARDS AND PAYMENT SBI CARDS AND PAYMENT SERVICES LIMITED
628 INE018E08060 06 Debentures Private Placement Taxable 1000000 1000000000 25-02-2016 25-04-2022 9.65% Simple Once a year CRISIL AAA/Stable;ICRA AAA Finance Non PSU NBFC Active
SERVICES LIMITED SR-06 9.65 LOA 25AP22 FVRS10LAC
SBI CARDS AND PAYMENT SBI CARDS AND PAYMENT SERVICES LIMITED
629 INE018E08078 07 Debentures Private Placement Taxable 1000000 2000000000 17-10-2016 17-10-2023 8.1% Simple Once a year ICRA AAA;CRISIL AAA/Stable Finance Non PSU NBFC Active
SERVICES LIMITED SR-07 8.1 LOA 17OT23 FVRS10LAC
SBI CARDS AND PAYMENT SBI CARDS AND PAYMENT SERVICES LIMITED
630 INE018E08086 08 Debentures Private Placement Taxable 1000000 5000000000 17-07-2017 17-05-2023 8.30% Simple Once a year ICRA AAA;CRISIL AAA/Stable Finance Non PSU NBFC Active
SERVICES LIMITED SR-08 8.3 LOA 17MY23 FVRS10LAC
SBI CARDS AND PAYMENT SBI CARDS AND PAYMENT SERVICES LIMITED
631 INE018E08136 SERIES 13 Debentures Private Placement Taxable 1000000 5000000000 18-12-2018 17-06-2022 9.15% Simple Once a year ICRA AAA/Stable;CRISIL AAA/Stable Finance Non PSU NBFC Active
SERVICES LIMITED SERIES 13 9.15 NCD 17JU22 FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SBI CARDS AND PAYMENT SBI CARDS AND PAYMENT SERVICES LIMITED
632 INE018E08144 SERIES 14 Debentures Private Placement Taxable 1000000 2500000000 29-01-2019 29-01-2029 9.55% Simple Once a year CRISIL AAA/Stable;ICRA AAA/Stable Finance Non PSU NBFC Active
SERVICES LIMITED SR 14 9.55 NCD 29JN29 FVRS10LAC
SBI CARDS AND PAYMENT SBI CARDS AND PAYMENT SERVICES LIMITED
633 INE018E08151 15 Debentures Private Placement Taxable 1000000 1750000000 13-05-2019 12-08-2022 8.55% Once a year CRISIL AAA/Stable;ICRA AAA/Stable Finance Non PSU NBFC Active
SERVICES LIMITED SR 15 8.55 NCD 12AG22 FVRS10LAC
SBI CARDS AND PAYMENT SBI CARDS AND PAYMENT SERVICES LIMITED
634 INE018E08169 SERIES 16 Debentures Private Placement Taxable 1000000 1000000000 12-06-2019 12-06-2029 8.99% Simple Once a year CRISIL AAA/Stable;ICRA AAA/Stable Finance Non PSU NBFC Active
SERVICES LIMITED SERIES 16 8.99 NCD 12JU29 FVRS10LC
SBI CARDS AND PAYMENT SBI CARDS AND PAYMENT SERVICES LIMITED
635 INE018E08177 SERIES 17 Debentures Private Placement Taxable 1000000 4100000000 14-11-2019 14-02-2023 7.60% Simple Once a year CRISIL AAA/Stable;ICRA AAA/Stable Finance Non PSU NBFC Active
SERVICES LIMITED SR 17 7.60 NCD 14FB23 FVRS10LAC
SBI CARDS AND PAYMENT SBI CARDS AND PAYMENT SERVICES LIMITED
636 INE018E08185 SERIES 18 Debentures Private Placement Taxable 1000000 3000000000 16-12-2019 09-03-2023 7.50% Simple Once a year CRISIL AAA/Stable;ICRA AAA/Stable Finance Non PSU NBFC Active
SERVICES LIMITED SR 18 7.50 NCD 09MR23 FVRS10LAC
SBI CARDS AND PAYMENT SBI CARDS AND PAYMENT SERVICES LIMITED
637 INE018E08193 SERIES 19 Debentures Private Placement Taxable 1000000 3000000000 26-02-2020 25-02-2025 7.40% Simple Once a year CRISIL AAA/Stable;ICRA AAA/Stable Finance Non PSU NBFC Active
SERVICES LIMITED SR 19 7.40 NCD 25FB25 FVRS10LAC
SBI CARDS AND PAYMENT SBI CARDS AND PAYMENT SERVICES LIMITED
638 INE018E08201 SERIES 20 Debentures Private Placement Taxable 1000000 4000000000 29-06-2020 29-06-2023 6.85% Simple Once a year ICRA AAA/Stable;CRISIL AAA/Stable Finance Non PSU NBFC Active
SERVICES LIMITED SERIES 20 6.85% NCD 29JU23 FVRS10LAC
SBI CARDS AND PAYMENT SBI CARDS AND PAYMENT SERVICES LIMITED
639 INE018E08219 SERIES 21 Debentures Private Placement Taxable 1000000 5000000000 17-08-2020 17-11-2023 5.75% Simple Once a year CRISIL AAA/Stable;ICRA AAA/Stable Finance Non PSU NBFC Active
SERVICES LIMITED SR 21 5.75 NCD 17NV23 FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SBI CARDS AND PAYMENT SBI CARDS AND PAYMENT SERVICES LIMITED
640 INE018E08227 SERIES 22 Debentures Private Placement Taxable 1000000 4500000000 22-12-2020 22-12-2025 6% Simple Once a year CRISIL AAA/Stable;ICRA AAA/Stable Finance Non PSU NBFC Active
SERVICES LIMITED SR 22 6 NCD 22DC25 FV10LAC
SBI CARDS AND PAYMENT SBI CARDS AND PAYMENT SERVICES LIMITED
641 INE018E08235 SERIES 23 Debentures Private Placement Taxable 1000000 5500000000 23-02-2021 23-02-2024 5.90% Simple Once a year ICRA AAA/Stable;CRISIL AAA/Stable Finance Non PSU NBFC Active
SERVICES LIMITED SR 23 5.90 NCD 23FB24 FVRS10LAC
SBI CARDS AND PAYMENT SBI CARDS AND PAYMENT SERVICES LIMITED
642 INE018E08243 SERIES 24 Debentures Private Placement Taxable 1000000 4550000000 10-05-2021 10-05-2024 5.70% Simple Once a year ICRA AAA/Stable;CRISIL AAA/Stable Finance Non PSU NBFC Active
SERVICES LIMITED SR 24 5.70 NCD 10MY24 FVRS10LAC
SBI CARDS AND PAYMENT SBI CARDS AND PAYMENT SERVICES LIMITED
643 INE018E08250 SERIES 25 Debentures Private Placement Taxable 1000000 5000000000 14-06-2021 14-06-2024 5.55% Simple Once a year CRISIL AAA/Stable;ICRA AAA/Stable Finance Non PSU NBFC Active
SERVICES LIMITED SR 25 5.55 NCD 14JU24 FVRS10LAC
UJJAWALA POWER PRIVATE UJJAWALA POWER PRIVATE LIMITED 13.6 NCD Four times a
645 INE018P08017 N.A. Debentures Private Placement Taxable 100 519410700 28-03-2018 31-03-2038 13.60% Simple Energy Non PSU Other Active
LIMITED 31MR38 FVRS100 year
JSW STEEL LIMITED 10.34 NCD 18JN24 Four times a IND AA/Stable;ICRA AA-/Positive;CARE
652 INE019A07241 JSW STEEL LIMITED Debentures Private Placement Taxable 1000000 10000000000 18-01-2013 18-01-2024 10.34% Simple Industrial Non PSU Other Active
FVRS10LAC LOA UPTO 06MY13 year AA-/Stable
JSW STEEL LIMITED 10.02 NCD 20MY23 Four times a ICRA AA-/Positive;CARE AA-
653 INE019A07258 JSW STEEL LIMITED Debentures Private Placement Taxable 1000000 20-05-2013 20-05-2023 10.02% Simple Industrial Non PSU Other Active
FVRS10LAC LOA UPTO 28AG13 year /Stable;IND AA/Stable
JSW STEEL LIMITED 10.02 NCD 19JL23 Four times a ICRA AA-/Positive;IND AA/Stable;CARE
654 INE019A07266 JSW STEEL LIMITED Debentures Private Placement Taxable 1000000 19-07-2013 19-07-2023 10.02% Simple Industrial Non PSU Other Active
FVRS10LAC LOA UPTO 28AG13 year AA-/Stable
TAKSHASHILA HEIGHTS INDIA TAKSHASHILA HEIGHTS INDIA PRIVATE LIMITED Compounding Four times a
668 INE01AP07012 N.A. Debentures Private Placement Taxable 100000 650000000 14-09-2020 30-09-2023 12% Utilities Non PSU Other Active
PRIVATE LIMITED 12 LOA 30SP23 FVRS1LAC year
HUSK POWER SYSEMS HUSK POWER SYSEMS PRIVATE LIMITED 9 NCD Four times a
670 INE01BE08012 N.A. Debentures Private Placement Taxable 100000 68800000 16-07-2018 15-07-2026 9% Simple Energy Non PSU Other Active
PRIVATE LIMITED 15JL26 FVRS1LAC year
HUSK POWER SYSEMS HUSK POWER SYSEMS PRIVATE LIMITED 9 NCD Four times a
671 INE01BE08020 N.A Debentures Private Placement Taxable 100000 37500000 30-11-2020 30-11-2028 9% Simple Energy Non PSU Other Active
PRIVATE LIMITED 30NV28 FVRS1LAC year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
LGCL PROPERTIES PRIVATE LGCL PROPERTIES PRIVATE LIMITED 17.5 LOA Compounding Four times a
672 INE01BP07010 N.A. Debentures Private Placement Taxable 100000 350000000 18-07-2018 30-06-2021 17.5% Utilities Non PSU Other Active
LIMITED 30JU21 FVRS1LAC year
RESET RATE
PHOENIX INFRASOFT INDIA PHOENIX INFRASOFT INDIA PRIVATE LIMITED Compounding Four times a
673 INE01C107013 SERIES 1 Debentures Private Placement Taxable 100 2984661000 07-09-2018 30-09-2048 (REFERE Others Non PSU Other Active
PRIVATE LIMITED SR-1 RR NCD 30SP48 FVRS100 year
REMARKS)
RESET RATE
PHOENIX INFRASPACE INDIA PHOENIX INFRASPACE INDIA PRIVATE LIMITED Compounding Four times a
674 INE01C207011 1 Debentures Private Placement Taxable 100 2580150000 07-09-2018 30-09-2048 (REFER Others Non PSU Other Active
PRIVATE LIMITED SR-1 RR NCD 30SP48 FVRS100 year
REMAKRS)
INE01CR07014 VARIN INFRA PROJECTS VARIN INFRA PROJECTS PRIVATE LIMITED 16.5 Compounding Four times a
675 N.A. Debentures Private Placement Taxable 10000 2250000000 25-09-2018 25-09-2023 16.50% Utilities Non PSU Other Active
PRIVATE LIMITED LOA 25SP23 FVRS10000 year
SERIES III CUM GENERAL ICL FINCORP LIMITED SRIII GEN&SRCTZ 13.66
677 INE01CY07093 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 10000000 07-11-2018 07-04-2024 13.66% Simple On Maturity Utilities Non PSU Other Active
AND SENIOR CITIZEN NCD 07AP24 FVRS1000
SERIES III MONTHLY ICL FINCORP LIMITED SR III MON GEN 12.25 Twelve times a
679 INE01CY07275 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 40000000 07-01-2019 07-01-2022 12.25% Simple Utilities Non PSU Other Active
GENERAL NCD 07JN22 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES III MONTHLY ICL FINCORP LIMITED SR III MON SEN CTZ 12.75 Twelve times a
680 INE01CY07283 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 40000000 07-01-2019 07-01-2022 12.75% /Stable Utilities Non PSU Other Active
SENIOR CITIZEN NCD 07JN22 FVRS1000 year
SERIES III CUM SENIOR ICL FINCORP LIMITED SR III CUM SEN CTZ 13.25 Compounding
682 INE01CY07309 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 40000000 07-01-2019 07-01-2022 13.25% On Maturity Utilities Non PSU Other Active
CITIZEN NCD 07JN22 FVRS1000
SERIES IV CUMULATIVE-
ICL FINCORP LIMITED SR IV C-GEN SEN CTZ Compounding
683 INE01CY07317 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 10000000 07-01-2019 07-06-2024 N.A. On Maturity Utilities Non PSU Other Active
13.66 NCD 07JU24 FVRS1000
CITIZEN
ICL FINCORP LIMITED SR III MON SEN CTZ 12.75 Twelve times a
685 INE01CY07416 ICL FINCORP LIMITED SERIES III MON SEN CTZ Debentures Private Placement Taxable 1000 10565000 07-02-2019 07-02-2022 12.75% Simple Utilities Non PSU Other Active
NCD 07FB22 FVRS1000 year
SERIES IV CUM GEN - SEN ICL FINCORP LIMITED SR-IV CUM GEN-S CTZ Compounding
688 INE01CY07440 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 12595000 07-02-2019 07-07-2024 13.66% On Maturity Utilities Non PSU Other Active
CTZ 13.66 NCD 07JL24 FVRS1000
SERIES III MONTHLY ICL FINCORP LIMITED SR III MTHLY GEN 12.25 Twelve times a
689 INE01CY07531 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 20827000 07-03-2019 07-03-2022 12.25% Simple Utilities Non PSU Other Active
GENERAL NCD 07MR22 FVRS1000 year
SERIES III MONTHLY ICL FINCORP LIMITED SR III MTHL SNR CTZ Twelve times a
690 INE01CY07549 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 20827000 07-03-2019 07-03-2022 12.75 Simple Utilities Non PSU Other Active
SENIOR CITIZEN 12.75 NCD 07MR22 FVRS1000 year
SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM GEN 12.75 Compounding
691 INE01CY07556 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 20827000 07-03-2019 07-03-2022 12.75% On Maturity Utilities Non PSU Other Active
GENERAL NCD 07MR22 FVRS1000
SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM SNR CTZ 13.25 Compounding
692 INE01CY07564 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 20827000 07-03-2019 07-03-2022 13.25% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN NCD 07MR22 FVRS1000
SERIES IV CUM GENERAL ICL FINCORP LIMITED SR IV GEN SNR CTZ 13.66 Compounding
693 INE01CY07572 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4700000 07-03-2019 07-08-2024 13.66% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN NCD 07AG24 FVRS1000
SERIES III MONTHLY ICL FINCORP LIMITED SR III MON GEN 12.25 Twelve times a
694 INE01CY07663 ICL FINCORP LIMITED Debentures Private Placement Taxfree 1000 6067000 12-04-2019 12-04-2022 12.25% Simple Utilities Non PSU Other Active
GENERAL NCD 12AP22 FVRS1000 year
SERIES III MONTHLY ICL FINCORP LIMITED SR III MTH SNR CTZ Twelve times a
695 INE01CY07671 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 12085000 12-04-2019 12-04-2022 12.75% Simple Utilities Non PSU Other Active
SENIOR CITIZEN 12.75 NCD 12AP22 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM SNR CTZ 13.25 Compounding
697 INE01CY07697 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 750000 12-04-2019 12-04-2022 13.25% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN NCD 12AP22 FVRS1000
SERIES IV CUMULATIVE-
ICL FINCORP LIMITED SRIV CUM GEN SNRCTZ Compounding
698 INE01CY07705 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 4055000 12-04-2019 12-09-2024 13.66% On Maturity Utilities Non PSU Other Active
13.66 NCD 12SP24 FVRS1000
CITIZEN
SERIES III MONTHLY ICL FINCORP LIMITED SR III MTH GEN 12.25 Twelve times a
699 INE01CY07796 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 6410000 07-05-2019 07-05-2022 12.25% Simple Utilities Non PSU Other Active
GENERAL NCD 07MY22 FVRS1000 year
SERIES III MONTHLY ICL FINCORP LIMITED SR III MTH SNR CTZ 12.75 Twelve times a
700 INE01CY07804 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 8410000 07-05-2019 07-05-2022 12.75% Simple Utilities Non PSU Other Active
SENIOR CITIZEN NCD 07MY22 FVRS1000 year
SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM GEN 12.75 Compounding
701 INE01CY07812 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 700000 07-05-2019 07-05-2022 12.75% On Maturity Utilities Non PSU Other Active
GENERAL NCD 07MY22 FVRS1000
SERIES III CUMULAIVE ICL FINCORP LIMITED SR III CUM SNR CTZ 13.25 Compounding
702 INE01CY07820 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1700000 07-05-2019 07-05-2022 12.75% On Maturity Utilities Non PSU Other Active
SENIOR CIIZEN NCD 07MY22 FVRS1000
SERIES III MONTHLY ICL FINCORP LIMITED SR III MTH GEN 12.25 Twelve times a
704 INE01CY07929 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 9584000 07-06-2019 07-06-2022 12.25% Simple Utilities Non PSU Other Active
GENERAL NCD 07JU22 FVRS1000 year
SERIES III MONTHLY ICL FINCORP LIMITED SR III MTH SNR CTZ 12.75 Twelve times a
705 INE01CY07937 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 9245000 07-06-2019 07-06-2022 12.75% Simple Utilities Non PSU Other Active
SENIOR CITIZEN NCD 07JU22 FVRS1000 year
SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM GEN 12.75 Compounding
706 INE01CY07945 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 400000 07-06-2019 07-06-2022 12.75% On Maturity Utilities Non PSU Other Active
GENERAL NCD 07JU22 FVRS1000
SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM SNR CTZ 13.25 Compounding
707 INE01CY07952 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 680000 07-06-2019 07-06-2022 13.25% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN NCD 07JU22 FVRS1000
INE01CY07AB8 SERIES II MONTHLY ICL FINCORP LIMITED SR II MTHLY GEN 12 NCD Twelve times a
709 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2890000 08-07-2019 08-07-2021 12% Simple Utilities Non PSU Other Active
GENERAL 08JL21 FVRS1000 year
INE01CY07AC6 SERIES II MONTHLY ICL FINCORP LIMITED SR II MTHL SNR CTZN Twelve times a
710 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 6964000 08-07-2019 08-07-2021 12.50% Simple Utilities Non PSU Other Active
SENIOR CITIZEN 12.50 NCD 08JL21 FVRS1000 year
INE01CY07AD4 SERIES II CUMULATIVE ICL FINCORP LIMITED SR II CUM GEN 12.50 NCD Compounding
711 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 800000 08-07-2019 08-07-2021 12.50% On Maturity Utilities Non PSU Other Active
GENERAL 08JL21 FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES III MONTHLY ICL FINCORP LIMITED SR III MTHLY GEN 12.25 Twelve times a
713 INE01CY07AF9 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2207000 08-07-2019 08-07-2022 12.25% Simple Utilities Non PSU Other Active
GENERAL NCD 08JL22 FVRS1000 year
INE01CY07AG7 ICL FINCORP LIMITED SR III MTH SNR CTZN Twelve times a
714 ICL FINCORP LIMITED SR III MTHLY SNR CTZN Debentures Private Placement Taxable 1000 9460000 08-07-2019 08-07-2022 12.75% Simple Utilities Non PSU Other Active
12.75 NCD 08JL22 FVRS1000 year
INE01CY07AH5 SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM GEN 12.75 Compounding
715 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1280000 08-07-2019 08-07-2022 12.75% On Maturity Utilities Non PSU Other Active
GENERAL NCD 08JL22 FVRS1000
SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM SEN CTZN Compounding
716 INE01CY07AI3 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1617000 08-07-2019 08-07-2022 13.25% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN 13.25 NCD 08JL22 FVRS1000
INE01CY07AO1 SERIES II MONTHLY ICL FINCORP LIMITED SR II MTHLY GEN 12 NCD Twelve times a
718 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5200000 07-08-2019 07-08-2021 12% Simple Utilities Non PSU Other Active
GENERAL 07AG21 FVRS1000 year
SR II MONTHLY SENIOR ICL FINCORP LIMITED SR II MTHL SNR CTZN Twelve times a
719 INE01CY07AP8 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 9896000 07-08-2019 07-08-2021 12.50% Simple Utilities Non PSU Other Active
CITIZEN 12.50 NCD 07AG21 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01CY07AQ6 SERIES II CUMULATIVE ICL FINCORP LIMITED SR II CUMU GEN 12.50 Compounding
720 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3775000 07-08-2019 07-08-2021 12.50% On Maturity Utilities Non PSU Other Active
GENERAL NCD 07AG21 FVRS1000
INE01CY07AR4 SR II CUMULATIVE SENIOR ICL FINCORP LIMITED SR II CUMU SNR CTZN 13 Compounding
721 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1275000 07-08-2019 07-08-2021 13% On Maturity Utilities Non PSU Other Active
CITIZEN NCD 07AG21 FVRS1000
SERIES III MONTHLY ICL FINCORP LIMITED SR III MTHLY GEN 12.25 Twelve times a
722 INE01CY07AS2 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 7860000 07-08-2019 07-08-2022 12.25% Simple Utilities Non PSU Other Active
GENERAL NCD 07AG22 FVRS1000 year
SR III MONTHLY SENIOR ICL FINCORP LIMITED SR III MTHL SNR CTZ Twelve times a
723 INE01CY07AT0 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4705000 07-08-2019 07-08-2022 12.75% Simple Utilities Non PSU Other Active
CITIZEN 12.75 NCD 07AG22 FVRS1000 year
INE01CY07AU8 SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUMU GEN 12.75 Compounding
724 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1300000 07-08-2019 07-08-2022 12.75% On Maturity Utilities Non PSU Other Active
GENERAL NCD 07AG22 FVRS1000
INE01CY07AV6 SR III CUMULATIVE SENIOR ICL FINCORP LIMITED SR III CUM SNR CTZN Compounding
725 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1400000 07-08-2019 07-08-2022 13.25 On Maturity Utilities Non PSU Other Active
CITIZEN 13.25 NCD 07AG22 FVRS1000
INE01CY07BB6 SERIES II MONTHLY ICL FINCORP LIMITED SR II MTHLY GEN 12 NCD Twelve times a
727 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 8075000 07-09-2019 07-09-2021 12% Simple Utilities Non PSU Other Active
GENERAL 07SP21 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01CY07BC4 SR II MONTHLY SENIOR ICL FINCORP LIMITED SR II MTHL SNR CTZ Twelve times a
728 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 9638000 07-09-2019 07-09-2021 12.50% Simple Utilities Non PSU Other Active
CITIZEN 12.50 NCD 07SP21 FVRS1000 year
INE01CY07BD2 SERIES II CUMULATIVE ICL FINCORP LIMITED SR II CUM GEN 12.50 NCD Compounding Twelve times a
729 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2570000 07-09-2019 07-09-2021 12.50% Utilities Non PSU Other Active
GENERAL 07SP21 FVRS1000 year
SERIES II CUMULATIVE- ICL FINCORP LIMITED SR II CUM SNR CTZN 13 Compounding Twelve times a
730 INE01CY07BE0 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2616000 07-09-2019 07-09-2021 13% Utilities Non PSU Other Active
SENIOR CITIZEN NCD 07SP21 FVRS1000 year
INE01CY07BG5 SERIES III MONTHLY- ICL FINCORP LIMITED SR III MNTH SNR CTZ Twelve times a
732 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 15945000 07-09-2019 07-09-2022 12.75% Simple Utilities Non PSU Other Active
SENIOR CITIZEN 12.75 NCD 07SP22 FVRS1000 year
INE01CY07BH3 ICL FINCORP LIMITED SR III CUM GEN 12.75 Compounding Twelve times a
733 ICL FINCORP LIMITED SERIES III Debentures Private Placement Taxable 1000 350000 07-09-2019 07-09-2022 12.75% Utilities Non PSU Other Active
NCD 07SP22 FVRS1000 year
SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM SNR CTZN Compounding Twelve times a
734 INE01CY07BI1 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 400000 07-09-2019 07-09-2022 13.25% Utilities Non PSU Other Active
SENIOR CITIZEN 13.25 NCD 07SP22 FVRS1000 year
SERIES IV CUMULATIVE
ICL FINCORP LIMITED SR IV CUM GN&SR CTZ Compounding
735 INE01CY07BJ9 ICL FINCORP LIMITED GENERAL & SENIOR Debentures Private Placement Taxable 1000 6495000 07-09-2019 07-02-2025 13.66% On Maturity Utilities Non PSU Other Active
13.66 NCD 07FB25 FVRS1000
CITIZEN
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01CY07BO9 SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH GEN 12 NCD Twelve times a
736 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4740000 07-11-2019 07-11-2021 12% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) 07NV21 FVRS1000 year
SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH SEN CTZ 12.50 Twelve times a
737 INE01CY07BP6 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 10348000 07-11-2019 07-11-2021 12.50% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 07NV21 FVRS1000 year
INE01CY07BQ4 SERIES II(CUMULATIVE- ICL FINCORP LIMITED SR II CUM GEN 12.50 NCD Compounding
738 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1130000 07-11-2019 07-11-2021 12.50% On Maturity Utilities Non PSU Other Active
GENERAL) 07NV21 FVRS1000
INE01CY07BR2 SERIES II(CUMULATIVE- ICL FINCORP LIMITED SR II CUM SNR CTZ 13 Compounding
739 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3280000 07-11-2019 07-11-2021 13% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 07NV21 FVRS1000
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH GEN 12.25 Twelve times a
740 INE01CY07BS0 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 9500000 07-11-2019 07-11-2022 12.25% Simple Utilities Non PSU Other Active
GENERAL) NCD 07NV22 FVRS1000 year
III(MONTHLY-SENIOR ICL FINCORP LIMITED SR III MTH SNR CTZ 12.75 Twelve times a
741 INE01CY07BT8 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 21615000 07-11-2019 07-11-2022 12.75% Simple Utilities Non PSU Other Active
CITIZEN) NCD 07NV22 FVRS1000 year
INE01CY07BU6 SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM GEN 12.75 Compounding
742 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 900000 07-11-2019 07-11-2022 12.75% On Maturity Utilities Non PSU Other Active
GENERAL) NCD 07NV22 FVRS1000
INE01CY07BV4 SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM SNR CTZ 13.25 Compounding
743 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3790000 07-11-2019 07-11-2022 13.25% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 07NV22 FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES IV (CUMULATIVE-
INE01CY07BW2 ICL FINCORP LIMITED SR IV CUM GN&SN CTZ Compounding
744 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 11118000 07-11-2019 07-04-2025 13.66% On Maturity Utilities Non PSU Other Active
13.66 NCD 07AP25 FVRS1000
CITIZEN)
INE01CY07CB4 SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH GEN 12 NCD Twelve times a
745 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4943000 09-10-2019 09-10-2021 12% Simple Utilities Non PSU Other Active
GENERAL) 09OT21 FVRS1000 year
INE01CY07CC2 SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH SNR CTZ 12.50 Twelve times a
746 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 7036000 09-10-2019 09-10-2021 12.50% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 09OT21 FVRS1000 year
INE01CY07CD0 SERIES II(CUMULATIVE- ICL FINCORP LIMITED SR II CUM GEN 12.50 NCD Compounding
747 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2767000 09-10-2019 09-10-2021 12.50 On Maturity Utilities Non PSU Other Active
GENERAL) 09OT21 FVRS1000
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH-GEN 12.25 Twelve times a
749 INE01CY07CF5 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 8625000 09-10-2019 09-10-2022 12.25% Simple Utilities Non PSU Other Active
GENERAL) NCD 09OT22 FVRS1000 year
INE01CY07CG3 SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH SNR CTZ 12.75 Twelve times a
750 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 12325000 09-10-2019 09-10-2022 12.75% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 09OT22 FVRS1000 year
INE01CY07CH1 SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM GEN 12.75 Compounding
751 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 7250000 09-10-2019 09-10-2022 12.75% On Maturity Utilities Non PSU Other Active
GENERAL) NCD 09OT22 FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM SEN CTZ 13.25 Compounding
752 INE01CY07CI9 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 200000 09-10-2019 09-10-2022 13.25% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 09OT22 FVRS1000
SERIES IV (CUMULATIVE-
ICL FINCORP LIMITED SR IV CUM GN&SR CTZ Compounding
753 INE01CY07CJ7 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 7525000 09-10-2019 09-03-2025 13.66% On Maturity Utilities Non PSU Other Active
13.66 NCD 09MR25 FVRS1000
CITIZEN)
INE01CY07CO7 SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH GEN 12 NCD Twelve times a
754 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 10730000 19-12-2019 19-12-2021 12% Simple Utilities Non PSU Other Active
GENERAL) 19DC21 FVRS1000 year
SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH SNR CTZ 12.50 Twelve times a
755 INE01CY07CP4 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 23335000 19-12-2019 19-12-2021 12.50% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 19DC21 FVRS1000 year
INE01CY07CQ2 SERIES II(CUMULATIVE- ICL FINCORP LIMITED SR II CUM-GEN 12.50 NCD Compounding
756 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 7728000 19-12-2019 19-12-2021 12.50% On Maturity Utilities Non PSU Other Active
GENERAL) 19DC21 FVRS1000
INE01CY07CR0 SERIES II(CUMULATIVE- ICL FINCORP LIMITED SR II CUM SNR CTZN 13 Compounding
757 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4515000 19-12-2019 19-12-2021 13% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 19DC21 FVRS1000
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH GEN 12.25 Twelve times a
758 INE01CY07CS8 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 25210000 19-12-2019 19-12-2022 12.25% Simple Utilities Non PSU Other Active
GENERAL) NCD 19DC22 FVRS1000 year
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH SNR CT 12.75 Twelve times a
759 INE01CY07CT6 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 25954000 19-12-2019 19-12-2022 12.75% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 19DC22 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01CY07CU4 SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM GEN 12.75 Compounding
760 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2605000 19-12-2019 19-12-2022 12.75% On Maturity Utilities Non PSU Other Active
GENERAL) NCD 19DC22 FVRS1000
INE01CY07CV2 SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM SNR CTZ 13.25 Compounding
761 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2000000 19-12-2019 19-12-2022 13.25% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 19DC22 FVRS1000
SERIES IV (CUMULATIVE-
INE01CY07CW ICL FINCORP LIMITED SR IV CUM GN&SNR CT Compounding
762 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 20035000 19-12-2019 19-05-2025 13.66% On Maturity Utilities Non PSU Other Active
0 13.66 NCD 19MY25 FVRS1000
CITIZEN)
INE01CY07DB2 SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH GEN 12 NCD Twelve times a
763 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 10730000 13-01-2020 13-01-2022 12% Simple Utilities Non PSU Other Active
GENERAL) 13JN22 FVRS1000 year
INE01CY07DC0 SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH SN CTZN 12.50 Twelve times a
764 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 23335000 13-01-2020 13-01-2022 12.50% Simple Utilities Non PSU Other Active
SENIOR CITIZEN NCD 13JN22 FVRS1000 year
INE01CY07DD8 SERIES II(CUMULATIVE- ICL FINCORP LIMITED SR II CUM GN 12.50 NCD Compounding
765 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 7728000 13-01-2020 13-01-2022 12.50% On Maturity Utilities Non PSU Other Active
GENERAL) 13JN22 FVRS1000
INE01CY07DF3 SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH GN 12.25 NCD Twelve times a
767 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 25210000 13-01-2020 13-01-2023 12.25% Simple Utilities Non PSU Other Active
GENERAL) 13JN23 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01CY07DG1 SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH SNR CTZN Twelve times a
768 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 25954000 13-01-2020 13-01-2023 12.75% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) 12.75 NCD 13JN23 FVRS1000 year
INE01CY07DH9 SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM GN 12.75 NCD Compounding
769 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2605000 13-01-2020 13-01-2023 12.75% On Maturity Utilities Non PSU Other Active
GENERAL) 13JN23 FVRS1000
SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM SN CTZN 13.25 Compounding
770 INE01CY07DI7 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2000000 13-01-2020 13-01-2023 13.25% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 13JN23 FVRS1000
SERIES IV(CUMULATIVE-
ICL FINCORP LIMITED SR IV CM GN& SN CTZ Compounding
771 INE01CY07DJ5 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 20035000 13-01-2020 13-06-2025 13.66% On Maturity Utilities Non PSU Other Active
13.66 NCD 13JU25 FVRS1000
CITIZEN)
INE01CY07DO5 SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH GEN 12 NCD Twelve times a
772 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 6171000 18-02-2020 18-02-2022 12% Simple Utilities Non PSU Other Active
GENERAL) 18FB22 FVRS1000 year
INE01CY07DP2 SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH SNR CTZN Twelve times a
773 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4350000 18-02-2020 18-02-2022 12.50% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) 12.50 NCD 18FB22 FVRS1000 year
INE01CY07DQ0 SERIES II(CUMULATIVE- ICL FINCORP LIMITED SR II CUM GEN 12.50 NCD Compounding
774 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3860000 18-02-2020 18-02-2022 12.50% On Maturity Utilities Non PSU Other Active
GENERAL) 18FB22 FVRS1000
INE01CY07DR8 SERIES II(CUMULATIVE- ICL FINCORP LIMITED SR II CUM SNR CTZN 13 Compounding
775 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3600000 18-02-2020 18-02-2022 13% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 18MR22 FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01CY07DS6 SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH GEN 12.25 Twelve times a
776 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5775000 18-02-2020 18-02-2023 12.25% Simple Utilities Non PSU Other Active
GENERAL) NCD 18FB23 FVRS1000 year
INE01CY07DT4 SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH SNR CTZN Twelve times a
777 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 14450000 18-02-2020 18-02-2023 12.75% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) 12.75 NCD 18FB23 FVRS1000 year
INE01CY07DU2 SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM GEN 12.75 Compounding
778 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 200000 18-02-2020 18-02-2023 12.75% On Maturity Utilities Non PSU Other Active
GENERAL) NCD 18FB23 FVRS1000
INE01CY07DV0 SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM SNR CTZN Compounding
779 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1230000 18-02-2020 18-02-2023 13.25% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN) 13.25 NCD 18FB23FVRS1000
SERIES IV (CUMULATIVE-
INE01CY07DW ICL FINCORP LIMITED SR IV CUM GN&SR CTZ Compounding
780 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 10710000 18-02-2020 18-07-2025 13.66% On Maturity Utilities Non PSU Other Active
8 13.66 NCD 18JL25 FVRS1000
CITIZEN)
SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH GEN 12 NCD Twelve times a
781 INE01CY07EB0 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 7770000 18-03-2020 18-03-2022 12% Simple Utilities Non PSU Other Active
GENERAL) 18MR22 FVRS1000 year
SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH SNR CTZN Twelve times a
782 INE01CY07EC8 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 9650000 18-03-2020 18-03-2022 12.50% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) 12.50 NCD 18MR22 FVRS1000 year
INE01CY07ED6 SERIES II(CUMULATIVE- ICL FINCORP LIMITED SR II CUM GEN 12.50 NCD Compounding
783 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3187000 18-03-2020 18-03-2022 12.50% On Maturity Utilities Non PSU Other Active
GENERAL) 18MR22 FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH GEN 12.25 Twelve times a
785 INE01CY07EF1 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 10005000 18-03-2020 18-03-2023 12.25% Simple Utilities Non PSU Other Active
GENERAL) NCD 18MR23 FVRS1000 year
INE01CY07EG9 SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH SNR CTZN Twelve times a
786 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 11252000 18-03-2020 18-03-2023 12.75% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) 12.75 NCD 18MR23 FVRS1000 year
INE01CY07EH7 SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM SNR CTZN Compounding
787 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 725000 18-03-2020 18-03-2023 13.25% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN) 13.25 NCD 18MR23 FVRS1000
SERIES IV (CUMULATIVE-
ICL FINCORP LIMITED SR IV CM GN& SN CTZ Compounding
788 INE01CY07EI5 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 21601000 18-03-2020 18-08-2025 13.66% On Maturity Utilities Non PSU Other Active
13.66 NCD 18AG25 FVRS1000
CITIZEN)
INE01CY07EN5 SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH GEN 12 NCD Twelve times a
789 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3050000 17-04-2020 17-04-2022 12% Simple Utilities Non PSU Other Active
GENERAL) 17AP22 FVRS1000 year
INE01CY07EO3 SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH SN CTZ 12.50 Twelve times a
790 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5660000 17-04-2020 17-04-2022 12.50% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 17AP22 FVRS1000 year
INE01CY07EQ8 SERIES III MONTHLY ICL FINCORP LIMITED SR III MTH GEN 12.25
792 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1750000 17-04-2020 17-04-2023 12.25% Simple Once a year Utilities Non PSU Other Active
GENERAL NCD 17AP23 FVRS1000
SERIES III MONTHLY ICL FINCORP LIMITED SR III MTH SN CTZ 12.75 Twelve times a
793 INE01CY07ER6 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 7400000 17-04-2020 17-04-2023 12.75% Simple Utilities Non PSU Other Active
SENIOR CITIZEN NCD 17AP23 FVRS1000 year
SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM SN CTZ 13.25 Compounding
794 INE01CY07ES4 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1205000 17-04-2020 17-04-2023 13.25% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN NCD 17AP23 FVRS1000
SERIES II MONTHLY ICL FINCORP LIMITED SR II MTH SNR CTZ 12.50 Twelve times a
797 INE01CY07EZ9 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 16545000 12-05-2020 12-05-2022 12.50% Simple Utilities Non PSU Other Active
SENIOR CITIZEN NCD 12MY22 FVRS1000 year
SERIES III MONTHLY ICL FINCORP LIMITED SR III MTH GN 12.25 NCD Twelve times a
800 INE01CY07FC5 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 11525000 12-05-2020 12-05-2023 12.25% Simple Utilities Non PSU Other Active
GENERAL 12MY23 FVRS1000 year
INE01CY07FD3 SERIES III MONTHLY ICL FINCORP LIMITED SR III MTH SNR CTZ 12.75 Twelve times a
801 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 13635000 12-05-2020 12-05-2023 12.75% Simple Utilities Non PSU Other Active
SENIOR CITIZEN NCD 12MY23 FVRS1000 year
SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM GEN 12.75 Compounding
802 INE01CY07FE1 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 700000 12-05-2020 12-05-2023 12.75% Once a year Utilities Non PSU Other Active
GENERAL NCD 12MY23 FVRS1000
SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM SN CTZ 13.25 Compounding
803 INE01CY07FF8 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1710000 12-05-2020 12-05-2023 13.25% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN NCD 12MY23 FVRS1000
SERIES I(MONTHLY- ICL FINCORP LIMITED SR I MTH GEN 11.50 NCD Twelve times a
805 INE01CY07FH4 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1025000 13-06-2020 13-07-2021 11.50% Simple Utilities Non PSU Other Active
GENERAL) 13JL21 FVRS1000 year
INE01CY07FM4 SERIES II(MONTHLY- ICL FINCORP LIMITED SR II(MTH-SN CT) 12.50 Twelve times a
810 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 9478000 13-06-2020 13-06-2022 12.50% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 13JU22 FVRS1000 year
INE01CY07FO0 SERIES II(CUMULATIVE- ICL FINCORP LIMITED SR II(CM-SN CTZ) 13 NCD Compounding
812 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1500000 13-06-2020 13-06-2022 13% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN) 13JU22 FVRS1000
INE01CY07FQ5 SERIES III(MONTHLY- ICL FINCORP LIMITED SR III(MTH-SN CT) 12.75 Twelve times a
814 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 9400000 13-06-2020 13-06-2023 12.75% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 13JU23 FVRS1000 year
SERIES IV (CUMULATIVE-
ICL FINCORP LIMITED SRIV(CM GN & SN CT) Compounding
817 INE01CY07FT9 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 6165000 13-06-2020 13-11-2025 13.66% On Maturity Utilities Non PSU Other Active
13.66 NCD 13NV25 FVRS1000
CITIZEN).
SERIES I(MONTHLY- ICL FINCORP LIMITED SR I MTH GEN 11.50 NCD Twelve times a
818 INE01CY07FU7 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4810000 30-06-2020 30-07-2021 11.50% Simple Utilities Non PSU Other Active
GENERAL). 30JL21 FVRS1000 year
SERIES I(MONTHLY- ICL FINCORP LIMITED SR I MTH SNR CTZN 12 Twelve times a
819 INE01CY07FV5 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4260000 30-06-2020 30-07-2021 12% Simple Utilities Non PSU Other Active
SENIOR CITIZEN). NCD 30JL21 FVRS1000 year
SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH GEN 12 NCD Twelve times a
822 INE01CY07FY9 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2400000 30-06-2020 30-06-2022 12% Simple Utilities Non PSU Other Active
GENERAL) 30JU22 FVRS1000 year
SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH SNR CTZN Twelve times a
823 INE01CY07FZ6 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 7983000 30-06-2020 30-06-2022 12.50% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) 12.50 NCD 30JU22 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01CY07GA7 SERIES II(CUMULATIVE- ICL FINCORP LIMITED SR II CUM GEN 12.50 NCD Compounding
824 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1640000 30-06-2020 30-06-2022 12.50% On Maturity Utilities Non PSU Other Active
GENERAL). 30JU22 FVRS1000
INE01CY07GB5 SERIES II(CUMULATIVE- ICL FINCORP LIMITED SR II CUM SNR CTZ 13 Compounding
825 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2119000 30-06-2020 30-06-2022 13% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 30JU22 FVRS1000
INE01CY07GC3 SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH GEN 12.25 Twelve times a
826 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5600000 30-06-2020 30-06-2023 12.25% Simple Utilities Non PSU Other Active
GENERAL). NCD 30JU23 FVRS1000 year
INE01CY07GD1 SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH-SNR CTZ 12.75 Twelve times a
827 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 14235000 30-06-2020 30-06-2023 12.75% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 30JU23 FVRS1000 year
INE01CY07GE9 SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CM SNR CTZ 13.25 Compounding
828 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2225000 30-06-2020 30-06-2023 13.25% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 30JU23 FVRS1000
SERIES IV (CUMULATIVE-
INE01CY07GF6 ICL FINCORP LIMITED SR IV CM GN&SN CTZ Compounding
829 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 6925000 30-06-2020 30-11-2025 13.66% On Maturity Utilities Non PSU Other Active
13.66 NCD 30NV25 FVRS1000
CITIZEN)
INE01CY07GG4 SERIES I(MONTHLY- ICL FINCORP LIMITED SR I MTH-GEN 11.50 NCD Twelve times a
830 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5970000 14-07-2020 14-08-2021 11.50% Simple Utilities Non PSU Other Active
GENERAL) 14AG21 FVRS1000 year
INE01CY07GH2 SERIES I(MONTHLY- ICL FINCORP LIMITED SR I MTH SNR CTZ 12 Twelve times a
831 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 9745000 14-07-2020 14-08-2021 12%` Simple Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 14AG21 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01CY07GK6 SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH GEN 12 NCD Twelve times a
834 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 11440000 14-07-2020 14-07-2022 12% Simple Utilities Non PSU Other Active
GENERAL). 14JL22 FVRS1000 year
SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH SNR CTZN Twelve times a
835 INE01CY07GL4 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 14258000 14-07-2020 14-07-2022 12.50% Simple Utilities Non PSU Other Active
SENIOR CITIZEN). 12.50 NCD 14JL22 FVRS1000 year
INE01CY07GM2 SERIES II(CUMULATIVE- ICL FINCORP LIMITED SR II CUM-GEN 12.50 NCD Compounding
836 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2125000 14-07-2020 14-07-2022 12.50%` On Maturity Utilities Non PSU Other Active
GENERAL) 14JL22 FVRS1000
INE01CY07GN0 SERIES II(CUMULATIVE- ICL FINCORP LIMITED SR II CUM SNR CTZ 13 Compounding
837 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3380000 14-07-2020 14-07-2022 13% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN). NCD 14JL22 FVRS1000
INE01CY07GO8 SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH GEN 12.25 Twelve times a
838 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 10260000 14-07-2020 14-07-2023 12.25% Simple Utilities Non PSU Other Active
GENERAL) NCD 14JL23 FVRS1000 year
INE01CY07GP5 SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH SNR CTZ 12.75 Twelve times a
839 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 20909000 14-07-2020 14-07-2023 12.75%` Simple Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 14JL23 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01CY07GQ3 SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM GEN 12.75 Compounding
840 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1700000 14-07-2020 14-07-2023 12.75% On Maturity Utilities Non PSU Other Active
GENERAL) NCD 14JL23 FVRS1000
INE01CY07GR1 SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM SNR CT 13.25 Compounding
841 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2430000 14-07-2020 14-07-2023 13.25% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 14JL23 FVRS1000
SERIES IV (CUMULATIVE-
INE01CY07GS9 ICL FINCORP LIMITED SR IV CM GN&SN CTZ Compounding
842 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 17377000 14-07-2020 14-12-2025 13.66%` On Maturity Utilities Non PSU Other Active
13.66 NCD 14DC25 FVRS1000
CITIZEN)
INE01CY07GT7 SERIES I(MONTHLY- ICL FINCORP LIMITED SR I MTH GEN 11.50 NCD Twelve times a
843 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4720000 11-08-2020 11-09-2021 11.50% Simple Utilities Non PSU Other Active
GENERAL) 11SP21 FVRS1000 year
INE01CY07GU5 SERIES I(MONTHLY- ICL FINCORP LIMITED SR I MTH SNR CTZ 12 Twelve times a
844 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2130000 11-08-2020 11-09-2021 12% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 11SP21 FVRS1000 year
INE01CY07GW SERIES I(CUMULATIVE- ICL FINCORP LIMITED SR I CUM SNR CTZ 12.50
846 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2135000 11-08-2020 11-09-2021 12.50% Simple On Maturity Utilities Non PSU Other Active
1 SENIOR CITIZEN) NCD 11SP21 FVRS1000
INE01CY07GX9 SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH GN 12 NCD Twelve times a
847 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 9346000 11-08-2020 11-08-2022 12% Simple Utilities Non PSU Other Active
GENERAL) 11AG22 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01CY07GY7 SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH SNR CTZ 12.50 Twelve times a
848 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 9460000 11-08-2020 11-08-2022 12.50% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 11AG22 FVRS1000 year
INE01CY07HA5 SERIES II(CUMULATIVE- ICL FINCORP LIMITED SR II CM SNR CTZ 13 NCD Compounding
850 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2291000 11-08-2020 11-08-2022 13% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN) 11AG22 FVRS1000
INE01CY07HB3 SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH GEN 12.25 Twelve times a
851 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 7205000 11-08-2020 11-08-2023 12.25% Simple Utilities Non PSU Other Active
GENERAL) NCD 11AG23 FVRS1000 year
INE01CY07HC1 SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH SNR CTZ 12.75 Twelve times a
852 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5895000 11-08-2020 11-08-2023 12.75% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 11AG23 FVRS1000 year
INE01CY07HD9 SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM GN 12.75 NCD Compounding
853 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 500000 11-08-2020 11-08-2023 12.75% On Maturity Utilities Non PSU Other Active
GENERAL) 11AG23 FVRS1000
INE01CY07HE7 SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CM SNR CTZ 13.25 Compounding
854 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4050000 11-08-2020 11-08-2023 13.25% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 11AG23 FVRS1000
SERIES IV (CUMULATIVE-
ICL FINCORP LIMITED SR IV CM GN&SNR CTZ Compounding
855 INE01CY07HF4 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 5075000 11-08-2020 11-01-2026 13.66% On Maturity Utilities Non PSU Other Active
13.66 NCD 11JN26 FVRS1000
CITIZEN)
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01CY07HG2 SERIES I(MONTHLY- ICL FINCORP LIMITED SR I MTH GEN 11.50 NCD Twelve times a
856 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2680000 27-08-2020 27-09-2021 11.50% Simple Utilities Non PSU Other Active
GENERAL) 27SP21 FVRS1000 year
INE01CY07HH0 SERIES I(MONTHLY- ICL FINCORP LIMITED SR I MTH SNR CTZ 12 Twelve times a
857 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 10990000 27-08-2020 27-09-2021 12% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 27SP21 FVRS1000 year
INE01CY07HK4 SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH GEN 12 NCD Twelve times a
860 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 12880000 27-08-2020 27-08-2022 12 Simple Utilities Non PSU Other Active
GENERAL). 27AG22 FVRS1000 year
SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH SNR CTZ 12.50 Twelve times a
861 INE01CY07HL2 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 10902000 27-08-2020 27-08-2022 12.50% Simple Utilities Non PSU Other Active
SENIOR CITIZEN). NCD 27AG22 FVRS1000 year
INE01CY07HM0 SERIES II(CUMULATIVE- ICL FINCORP LIMITED SR II CUM GEN 12.50 NCD Compounding
862 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2710000 27-08-2020 27-08-2022 12.50% On Maturity Utilities Non PSU Other Active
GENERAL). 27AG22 FVRS1000
INE01CY07HN8 SERIES II(CUMULATIVE- ICL FINCORP LIMITED SR II CUM SNR CTZ 13 Compounding
863 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 8560000 27-08-2020 27-08-2022 13% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN). NCD 27AG22 FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01CY07HO6 SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH GEN 12.25 Twelve times a
864 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 15511000 27-08-2020 27-08-2023 12.25% Simple Utilities Non PSU Other Active
GENERAL). NCD 27AG23 FVRS1000 year
INE01CY07HP3 SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH SNR CTZ 12.75 Twelve times a
865 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 23919000 27-08-2020 27-08-2023 12.75% Simple Utilities Non PSU Other Active
SENIOR CITIZEN NCD 27AG23 FVRS1000 year
INE01CY07HQ1 SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM GEN 12.75 Compounding
866 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1000000 27-08-2020 27-08-2023 12.75% On Maturity Utilities Non PSU Other Active
GENERAL) NCD 27AG23 FVRS1000
INE01CY07HR9 SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM SNR CT 13.25 Compounding
867 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2125000 27-08-2020 27-08-2023 13.25% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 27AG23 FVRS1000
SERIES IV (CUMULATIVE-
INE01CY07HS7 ICL FINCORP LIMITED SR IV CUM GN&SN CT Compounding
868 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 13575000 27-08-2020 27-01-2026 13.66% On Maturity Utilities Non PSU Other Active
13.66 NCD 27JN26 FVRS1000
CITIZEN).
INE01CY07HT5 SERIES I(MONTHLY- ICL FINCORP LIMITED SR I MTH GEN 11.50 NCD Twelve times a
869 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2150000 29-09-2020 29-10-2021 11.50% Simple Utilities Non PSU Other Active
GENERAL) 29OT21 FVRS1000 year
INE01CY07HU3 SERIES I(MONTHLY- ICL FINCORP LIMITED SR I MTH SNR CTZ 12 Twelve times a
870 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3485000 29-09-2020 29-10-2021 12% Simple Utilities Non PSU Other Active
SENIOR CITIZEN). NCD 29OT21 FVRS1000 year
INE01CY07HW SERIES I(CUMULATIVE- ICL FINCORP LIMITED SR I CUM SNR CTZ 12.50
872 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 6797000 29-09-2020 29-10-2021 12.50% Simple On Maturity Utilities Non PSU Other Active
9 SENIOR CITIZEN) NCD 29OT21 FVRS1000
INE01CY07HX7 SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH GEN 12 NCD Twelve times a
873 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4580000 29-09-2020 29-09-2022 12% Simple Utilities Non PSU Other Active
GENERAL) 29SP22 FVRS1000 year
INE01CY07HY5 SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH SNR CTZ 12.50 Twelve times a
874 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5850000 29-09-2020 29-09-2022 12.50% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 29SP22 FVRS1000 year
INE01CY07HZ2 SERIES II(CUMULATIVE- ICL FINCORP LIMITED SR II CUM SNR CTZ 13 Compounding
875 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 800000 29-09-2020 29-09-2022 13% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 29SP22 FVRS1000
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH GEN 12.25 Twelve times a
876 INE01CY07IA3 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5410000 29-09-2020 29-09-2023 12.25% Simple Utilities Non PSU Other Active
GENERAL) NCD 29SP23 FVRS1000 year
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH SNR CTZ Twelve times a
877 INE01CY07IB1 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 7960000 29-09-2020 29-09-2023 12.75% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) 12.75 NCD 29SP23 FVRS1000 year
SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CM SNR CTZ 13.25 Compounding
878 INE01CY07IC9 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4250000 29-09-2020 29-09-2023 13.25% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 29SP23 FVRS1000
SERIES IV (CUMULATIVE-
ICL FINCORP LIMITED SR IV CM GN&SN CT Compounding
879 INE01CY07ID7 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 3011000 29-09-2020 28-02-2026 13.66% On Maturity Utilities Non PSU Other Active
13.66 NCD 28FB26 FVRS1000
CITIZEN)
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES I(MONTHLY- ICL FINCORP LIMITED SR I MTH GEN 11.50 NCD Twelve times a
880 INE01CY07IE5 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5185000 12-09-2020 12-10-2021 11.50% Utilities Non PSU Other Active
GENERAL) 12OT21 FVRS1000 year
SERIES I MONTHLY ICL FINCORP LIMITED SR I MONTH SNR CTZ 12 Twelve times a
881 INE01CY07IF2 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3085000 12-09-2020 12-10-2021 12% Simple Utilities Non PSU Other Active
SENIOR CITIZEN NCD 12OT21 FVRS1000 year
SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MONTH GNR 12 NCD Twelve times a
883 INE01CY07IH8 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4005000 12-09-2020 12-09-2022 12% Simple Utilities Non PSU Other Active
GENERAL) 12SP22 FVRS1000 year
SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MON SNR CTZ 12.50 Twelve times a
885 INE01CY07IJ4 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4800000 12-09-2020 12-09-2022 12.50% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 12SP22 FVRS1000 year
SERIES II(CUMULATIVE- ICL FINCORP LIMITED SR II CUM GNR 12.50 NCD Compounding
886 INE01CY07IK2 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5165000 12-09-2020 12-09-2022 12.50% On Maturity Utilities Non PSU Other Active
GENERAL) 12SP22 FVRS1000
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MON GNR 12.25 Twelve times a
888 INE01CY07IM8 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 9260000 12-09-2020 12-09-2023 12.25% Simple Utilities Non PSU Other Active
GENERAL) NCD 12SP23 FVRS1000 year
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MON SNR CTZ 12.75 Twelve times a
889 INE01CY07IN6 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 7250000 12-09-2020 12-09-2023 12.75% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 12SP23 FVRS1000 year
SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM GNR 12.75 Compounding
890 INE01CY07IO4 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1800000 12-09-2020 12-09-2023 12.75% On Maturity Utilities Non PSU Other Active
GENERAL) NCD 12SP23 FVRS1000
SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM SNR CTZ 13.25 Compounding
891 INE01CY07IP1 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 650000 12-09-2020 12-09-2023 13.25% On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 12SP23 FVRS1000
SERIES IV (CUMULATIVE-
ICL FINCORP LIMITED SR IV CUM GN&SN CT Compounding
892 INE01CY07IQ9 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 1840000 12-09-2020 12-02-2026 13.66% On Maturity Utilities Non PSU Other Active
13.66 NCD 12FB26 FVRS1000
CITIZEN).
SERIES I(MONTHLY- ICL FINCORP LIMITED SR I MON GEN 11.50 NCD Twelve times a
893 INE01CY07IR7 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2817000 13-10-2020 13-11-2021 11.50% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL) 13NV21 FVRS1000 year
SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MON GEN 12 NCD Twelve times a
897 INE01CY07IV9 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 6750000 13-10-2020 13-10-2022 12% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL) 13OT22 FVRS1000 year
SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MON SNR CT 12.50 Twelve times a
898 INE01CY07IW7 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4660000 13-10-2020 13-10-2022 12.50% Simple BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 13OT22 FVRS1000 year
SERIES II(CUMULATIVE- ICL FINCORP LIMITED SR II CUM GEN 12.50 NCD Compounding
899 INE01CY07IX5 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2240000 13-10-2020 13-10-2022 12.50% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
GENERAL). 13OT22 FVRS1000
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MON GEN 12.25 Twelve times a
901 INE01CY07IZ0 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5750000 13-10-2020 13-10-2023 12.25% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL) NCD 13OT23 FVRS1000 year
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MON SNR CTZ 12.75 Twelve times a
902 INE01CY07JA1 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 7774000 13-10-2020 13-10-2023 12.75% Simple BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 13OT23 FVRS1000 year
SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM SNR CTZ 13.25 Compounding
903 INE01CY07JB9 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1140000 13-10-2020 13-10-2023 13.25% On Maturity BWR BBB-/Stable Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 13OT23 FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES I(MONTHLY- ICL FINCORP LIMITED SR I MON GEN 11.50 NCD Twelve times a
905 INE01CY07JD5 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2620000 02-11-2020 02-12-2021 11.50% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL) 02DC21 FVRS1000 year
SERIES I(MONTHLY- ICL FINCORP LIMITED SR I MON SNR STZ 12 Twelve times a
906 INE01CY07JE3 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4695000 02-11-2020 02-12-2021 12.00 Simple Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 02DC21 FVRS1000 year
SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MON GEN 12 NCD Twelve times a
909 INE01CY07JH6 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 6770000 02-11-2020 02-11-2022 12.00% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL) 02NV22 FVRS1000 year
SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MON SNR CTZ 12.50 Twelve times a
910 INE01CY07JI4 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5400000 02-11-2020 02-11-2022 12.50% Simple BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 02NV22 FVSR1000 year
SERIES II(CUMULATIVE- ICL FINCORP LIMITED SR II CUM GEN 12.50 NCD Compounding
911 INE01CY07JJ2 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 700000 02-11-2020 02-11-2022 12.50% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
GENERAL) 02NV22 FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MON GEN 12.25 Twelve times a
913 INE01CY07JL8 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 9780000 02-11-2020 02-11-2023 12.25% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL) NCD 02NV23 FVRS1000 year
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MON SRN CTZ 12.75 Twelve times a
914 INE01CY07JM6 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 7750000 02-11-2020 02-11-2023 12.75% Simple BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 02NV23 FVRS1000 year
SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM GEN 12.75 Compounding
915 INE01CY07JN4 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 100000 02-11-2020 02-11-2023 12.75% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
GENERAL) NCD 02NV23 FVRS1000
SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM SNR CTZ 13.25
916 INE01CY07JO2 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 450000 02-11-2020 02-11-2023 13.25% Simple On Maturity Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 02NV23 FVRS1000
SERIES IV (CUMULATIVE-
ICL FINCORP LIMITED SR IV CUM GN SN CT Compounding
917 INE01CY07JP9 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 7600000 02-11-2020 02-04-2026 13.66% On Maturity Utilities Non PSU Other Active
13.66 NCD 02AP26 FVRS1000
CITIZEN)
SERIES I(MONTHLY- ICL FINCORP LIMITED SR I MON GEN 11.50 NCD Twelve times a
918 INE01CY07JQ7 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2114000 18-11-2020 18-12-2021 11.50% Simple Utilities Non PSU Other Active
GENERAL) 18DC21 FVRS1000 year
SERIES I(MONTHLY- ICL FINCORP LIMITED SR I MTH SNR CTZ 12 Twelve times a
919 INE01CY07JR5 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5150000 18-11-2020 18-12-2021 12%` Utilities Non PSU Other Active
SENIOR CITIZEN). NCD 18DC21 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH GEN 12 NCD Twelve times a
922 INE01CY07JU9 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5050000 18-11-2020 18-11-2022 12% Utilities Non PSU Other Active
GENERAL) 18NV22 FVRS1000 year
SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH SNR CTZN Twelve times a
923 INE01CY07JV7 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5460000 18-11-2020 18-11-2022 12.50% Utilities Non PSU Other Active
SENIOR CITIZEN) 12.50 NCD 18NV22 FVRS1000 year
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH GEN 12.25 Twelve times a
926 INE01CY07JY1 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5910000 18-11-2020 18-11-2023 12.25% Utilities Non PSU Other Active
GENERAL) NCD 18NV23 FVRS1000 year
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH SNR CTZ 12.75 Twelve times a
927 INE01CY07JZ8 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 7420000 18-11-2020 18-11-2023 12.75% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 18NV23 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01CY07KA9 SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM GEN 12.75 Compounding
928 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1000000 18-11-2020 18-11-2023 12.75% On Maturity Utilities Non PSU Other Active
GENERAL) NCD 18NV23 FVRS1000
SERIES IV (CUMULATIVE-
INE01CY07KB7 ICL FINCORP LIMITED SR IV CM GN&SN CT Compounding
929 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 8325000 18-11-2020 18-04-2026 13.66% On Maturity Utilities Non PSU Other Active
13.66 NCD 18AP26 FVRS1000
CITIZEN)
INE01CY07KC5 SERIES I(MONTHLY- ICL FINCORP LIMITED SR I MON GEN 11.50 NCD Twelve times a
930 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3950000 05-12-2020 05-01-2022 11.50% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL) 05JN22 FVRS1000 year
INE01CY07KG6 SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MON GEN 12 NCD Twelve times a
934 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3070000 05-12-2020 05-12-2022 12% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL). 05DC22 FVRS1000 year
INE01CY07KH4 SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MON SNR CT 12.50 Twelve times a
935 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2720000 05-12-2020 05-12-2022 12.50% Simple BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN). NCD 05DC22 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MON GEN 12.25 Twelve times a
938 INE01CY07KK8 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 8445000 05-12-2020 05-12-2023 12.25% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL) NCD 05DC23 FVRS1000 year
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MON SNR CT 12.75 Twelve times a
939 INE01CY07KL6 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 8735000 05-12-2020 05-12-2023 12.75% Simple BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN). NCD 05DC23 FVRS1000 year
INE01CY07KM4 SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM GEN 12.75 Compounding
940 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 300000 05-12-2020 05-12-2023 12.75% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
GENERAL). NCD 05DC23 FVRS1000
INE01CY07KN2 SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM SNR CT 13.25 Compounding
941 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5765000 05-12-2020 05-12-2023 13.25% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
GENERAL) NCD 05DC23 FVRS1000
SERIES IV (CUMULATIVE-
INE01CY07KO0 ICL FINCORP LIMITED SR IV CUM GEN&SNCT Compounding
942 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 3122000 05-12-2020 05-05-2026 13.66% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
13.66 NCD 05MY26 FVRS1000
CITIZEN)
INE01CY07KR3 SERIES I(CUMULATIVE- ICL FINCORP LIMITED SR I CUM GEN 12 NCD Compounding
945 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 6670000 21-12-2020 21-01-2022 12% On Maturity Utilities Non PSU Other Active
GENERAL). 21JN22 FVRS1000
SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MON GEN 12 NCD Twelve times a
947 INE01CY07KT9 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2650000 21-12-2020 21-12-2022 12% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL). 21DC22 FVRS1000 year
INE01CY07KU7 SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MON SNR CTZ Twelve times a
948 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5650000 21-12-2020 21-12-2022 12.50% Simple BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN) 12.50% NCD 21DC22 FVRS1000 year
INE01CY07KW3 SERIES II(CUMULATIVE- ICL FINCORP LIMITED SR II CUM SNR CTZ 13 Compounding
950 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 915000 21-12-2020 21-12-2022 13% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 21DC22 FVRS1000
INE01CY07KX1 SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MON GEN 12.25 Twelve times a
951 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4565000 21-12-2020 21-12-2023 12.25% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL) NCD 21DC23FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MON SNR CTZ 12.75 Twelve times a
952 INE01CY07KY9 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 8150000 21-12-2020 21-12-2023 12.75% Simple BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN). NCD 21DC23 FVRS1000 year
INE01CY07KZ6 SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM GEN 12.75 Compounding
953 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 320000 21-12-2020 21-12-2023 12.75% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
GENERAL). NCD 21DC23 FVRS1000
SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM SNR CTZ Compounding
954 INE01CY07LA7 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1800000 21-12-2020 21-12-2023 13.25% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN). 13.25 NCD 21DC23 FVRS1000
SERIES IV (CUMULATIVE-
ICL FINCORP LIMITED SR IV CUMGEN&SNRCTZ Compounding
955 INE01CY07LB5 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 11270000 21-12-2020 21-05-2026 13.66% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
13.66 NCD 21MY26 FVRS1000
CITIZEN)
SERIES I(MONTHLY- ICL FINCORP LIMITED SR I MTH GEN 11.50 NCD Twelve times a
956 INE01CY07LC3 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3345000 07-01-2021 07-02-2022 11.50% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL) 07FB22 FVRS1000 year
SERIES I(MONTHLY- ICL FINCORP LIMITED SR I MTH SNR CTZN 12 Twelve times a
957 INE01CY07LD1 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2890000 07-01-2021 07-02-2022 12% BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 07FB22 FVRS1000 year
SERIES II(MONTHLY- ICL FINCORP LIMITED SR II MTH SNR CTZ 12.50 Twelve times a
961 INE01CY07LH2 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3150000 07-01-2021 07-01-2023 12.50% BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 07JN23 FVRS1000 year
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH GEN 12.25 Twelve times a
964 INE01CY07LK6 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 9755000 07-01-2021 07-01-2024 12.25% BWR BB+/Stable Utilities Non PSU Other Active
GENERAL) NCD 07JN24 FVRS1000 year
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH SNR CTZ 12.75 Twelve times a
965 INE01CY07LL4 ICL FINCORP LIMITED Debentures Private Placement 1000 10390000 07-01-2021 07-01-2024 12.75% Simple BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 07JN24 FVRS1000 year
INE01CY07LM2 SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM GEN 12.75
966 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1000000 07-01-2021 07-01-2024 12.75% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
GENERAL) NCD 07JN24 FVRS1000
SERIES III(CUMULATIVE- ICL FINCORP LIMITED SR III CUM SEN CTZ 13.25
967 INE01CY07LN0 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2460000 07-01-2021 07-01-2024 13.25% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN) NCD 07JN24 FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES IV (CUMULATIVE-
INE01CY07LO8 ICL FINCORP LIMITED SR IV CM GN&SN CTZ
968 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 2920000 07-01-2021 07-06-2026 13.66% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
13.66 NCD 07JU26 FVRS1000
CITIZEN)
SERIES I MONTHLY ICL FINCORP LIMITED SR I MTH GEN 11.50 NCD Twelve times a
969 INE01CY07LP5 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3150000 27-01-2021 27-02-2022 11.50% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL 27FB22 FVRS1000 year
INE01CY07LQ3 SERIES I MONTHLY ICL FINCORP LIMITED SR I MTH SNR 12 NCD Twelve times a
970 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 6140000 27-01-2021 27-02-2022 12% Simple BWR BB+/Stable Utilities Non PSU Other Active
SENIOR 27FB22 FVRS1000 year
SERIES II MONTHLY ICL FINCORP LIMITED SR II MTH GEN 12 NCD Twelve times a
973 INE01CY07LT7 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 7400000 27-01-2021 27-01-2023 12% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL 27JN23 FVRS1000 year
SERIES II MONTHLY ICL FINCORP LIMITED SR II MTH SNR 12.50 NCD Twelve times a
974 INE01CY07LU5 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 6850000 27-01-2021 27-01-2023 12.50% Simple BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN 27JN23 FVRS1000 year
INE01CY07LW1 SERIES II CUMULATIVE ICL FINCORP LIMITED SR II CUM SNR 13 NCD Compounding
976 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4470000 27-01-2021 27-01-2023 13 On Maturity BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN 27JN23 FVRS1000
SERIES III MONTHLY ICL FINCORP LIMITED SR III MTH GN 12.25 NCD Twelve times a
977 INE01CY07LX9 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2080000 27-01-2021 27-01-2024 12.25% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL 27JN24 FVRS1000 year
SERIES III MONTHLY ICL FINCORP LIMITED SR III MTH SN 12.75 NCD Twelve times a
978 INE01CY07LY7 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5525000 27-01-2021 27-01-2024 12.75% Simple BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN 27JN24 FVRS1000 year
SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM GN 12.75 NCD Compounding
979 INE01CY07LZ4 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 100000 27-01-2021 27-01-2024 12.75% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
GENERAL 27JN24 FVRS1000
INE01CY07MA5 SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM SN 13.25 NCD Compounding
980 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 140000 27-01-2021 27-01-2024 13.25% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CIIZEN 27JN24 FVR1000
SERIES IV CUMULATIVE
INE01CY07MB3 ICL FINCORP LIMITED SR IV CM GN&SN 13.66 Compounding
981 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 9125000 27-01-2021 27-06-2026 13.66% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
NCD 27JU26 FVRS1000
CITIZEN
INE01CY07MC1 ICL FINCORP LIMITED SR I MTH GEN 11.50 NCD Twelve times a
982 ICL FINCORP LIMITED SERIES I MONTH GENERAL Debentures Private Placement Taxable 1000 3130000 09-02-2021 09-03-2022 11.50% Simple BWR BB+/Stable Utilities Non PSU Other Active
09MR22 FVRS1000 year
INE01CY07MD9 SERIES I MONTHLY ICL FINCORP LIMITED SR I MTH SNR CTZ 12 Twelve times a
983 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4800000 09-02-2021 09-03-2022 12% Simple BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN NCD 09MR22 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01CY07MF4 SERIES I CUMULATIVE ICL FINCORP LIMITED SR I CUM SNR CTZ 12.50
985 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3264000 09-02-2021 09-03-2022 12.50% Simple On Maturity BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN NCD 09MR22 FVRS1000
INE01CY07MG2 SERIES II MONTHLY ICL FINCORP LIMITED SR II MTH GEN 12 NCD Twelve times a
986 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5950000 09-02-2021 09-02-2023 12% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL 09FB23 FVRS1000 year
INE01CY07MH0 SERIES II MONTHLY ICL FINCORP LIMITED SR II MTH SNR CTZ 12.50 Twelve times a
987 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2985000 09-02-2021 09-02-2023 12.50% Simple BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN NCD 09FB23 FVRS1000 year
SERIES II CUMULATIVE ICL FINCORP LIMITED SR II CUM GEN 12.50 NCD Compounding
988 INE01CY07MI8 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2250000 09-02-2021 09-02-2023 12.50% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
GENERAL 09FB23 FVRS1000
INE01CY07MK4 SERIES III MONTHLY ICL FINCORP LIMITED SR III MTH GEN 12.25 Twelve times a
990 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 10085000 09-02-2021 09-02-2024 12.25% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL NCD 09FB24 FVRS1000 year
INE01CY07ML2 SERIES III MONTHLY ICL FINCORP LIMITED SR III MTH SNR CTZ 12.75 Twelve times a
991 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 6620000 09-02-2021 09-02-2024 12.75% Simple BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN NCD 09FB24 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01CY07MM SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM GEN 12.75 Compounding
992 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1790000 09-02-2021 09-02-2024 12.75% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
0 GENERAL NCD 09FB24 FVRS1000
INE01CY07MN8 SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM SNR CTZ 13.25 Compounding
993 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 150000 09-02-2021 09-02-2024 13.25% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN NCD 09FB24 FVRS1000
SERIES IV CUMULATIVE
INE01CY07MO6 ICL FINCORP LIMITED SR IV CUMGEN SNRCTZ Compounding
994 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 12778000 09-02-2021 09-07-2026 13.66% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
13.66 NCD 09JL26 FVRS1000
CITIZEN
INE01CY07MP3 SERIES I MONTHLY ICL FINCORP LIMITED SR I MTH GEN 11.50 NCD Twelve times a
995 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4550000 23-02-2021 23-03-2022 11.50% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL 23MR22 FVRS1000 year
INE01CY07MQ1 SERIES I MONTHLY ICL FINCORP LIMITED SR I MTH SNR CTZ 12 Twelve times a
996 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1700000 23-02-2021 23-03-2022 12% Simple BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN NCD 23MR22 FVRS1000 year
INE01CY07MS7 SERIES I CUMULATIVE ICL FINCORP LIMITED SR I CUM SNR CTZ 12.50
998 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2800000 23-02-2021 23-03-2022 12.50% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN NCD 23MR22 FVRS1000
INE01CY07MT5 SERIES II MONTHLY ICL FINCORP LIMITED SR II MTH GEN 12 NCD Twelve times a
999 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1930000 23-02-2021 23-02-2023 12% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL 23FB23 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01CY07MU3 SERIES II MONTHLY ICL FINCORP LIMITED SR II MTH SNR CTZ 12.50 Twelve times a
1000 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 6170000 23-02-2021 23-02-2023 12.50% Simple BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN NCD 23FB23 FVRS1000 year
INE01CY07MV1 SERIES II CUMULATIVE ICL FINCORP LIMITED SR II CUM GEN 12.50 NCD Compounding
1001 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 200000 23-02-2021 23-02-2023 12.50% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
GENERAL 23FB23 FVRS1000
INE01CY07MW SERIES II CUMULATIVE ICL FINCORP LIMITED SR II CUM SNR CTZ 13 Compounding
1002 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3555000 23-02-2021 23-02-2023 13% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
9 GENERAL NCD 23FB23 FVRS1000
INE01CY07MX7 SERIES III MONTHLY ICL FINCORP LIMITED SR III MTH GEN 12.25 Twelve times a
1003 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5680000 23-02-2021 23-02-2024 12.25% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL NCD 23FB24 FVRS1000 year
INE01CY07MY5 SERIES III ONTHLY ENIOR ICL FINCORP LIMITED SR III MTH SNR CTZ 12.75 Twelve times a
1004 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 15200000 23-02-2021 23-02-2024 12.75% Simple BWR BB+/Stable Utilities Non PSU Other Active
CITIZEN NCD 23FB24 FVRS1000 year
INE01CY07MZ2 SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM GEN 12.75 Compounding
1005 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 450000 23-02-2021 23-02-2024 12.75% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
GENERAL NCD 23FB24 FVRS1000
INE01CY07NA3 SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM SNR CTZ 13.25 Compounding
1006 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 700000 23-02-2021 23-02-2024 13.25% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN NCD 23FB24 FVRS1000
SERIES IV CUMULATIVE
INE01CY07NB1 ICL FINCORP LIMITED SR IV CM GN SNR CTZ Compounding
1007 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 6525000 23-02-2021 23-07-2026 13.66% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
13.66 NCD 23JL26 FVRS1000
CITIZEN
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01CY07NC9 SERIES I MONTHLY ICL FINCORP LIMITED SR I MTHLY GEN 11.50 Twelve times a
1008 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 7967000 09-03-2021 09-04-2022 11.50% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL NCD 09AP22 FVRS1000 year
INE01CY07ND7 SERIES I MONTHLY ICL FINCORP LIMITED SR I MTHLY SNR CTZ 12 Twelve times a
1009 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2680000 09-03-2021 09-04-2022 12% Simple BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN NCD 09AP22 FVRS1000 year
INE01CY07NG0 SERIES II MONTHLY ICL FINCORP LIMITED SR II MTHLY GEN 12 NCD Twelve times a
1012 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 7750000 09-03-2021 09-03-2023 12% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL 09MR23 FVRS1000 year
INE01CY07NH8 SERIES II MONTHLY ICL FINCORP LIMITED SR II MTHLY SNR CTZ Twelve times a
1013 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 6150000 09-03-2021 09-03-2023 12.50% Simple BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN 12.50 NCD 09MR23 FVRS1000 year
SERIES II CUMULATIVE ICL FINCORP LIMITED SR II CUM GEN 12.50 NCD Compounding
1014 INE01CY07NI6 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1600000 09-03-2021 09-03-2023 12.50% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
GENERAL 09MR23 FVRS1000
INE01CY07NK2 SERIES III MONTHLY ICL FINCORP LIMITED SR III MTHLY GEN 12.25 Twelve times a
1016 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1750000 09-03-2021 09-03-2024 12.25% Simple BWR BB+/Stable Utilities Non PSU Other Active
GENERAL NCD 09MR24 FVRS1000 year
SERIES III MONTHLY ICL FINCORP LIMITED SR III MTHLY SNRCTZ Twelve times a
1017 INE01CY07NL0 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 13615000 09-03-2021 09-03-2024 12.75% Simple BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN 12.75 NCD 09MR24 FVRS1000 year
INE01CY07NM8 SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM SNR CTZ 13.25 Compounding
1018 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 700000 09-03-2021 09-03-2024 13.25% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
SENIOR CITIZEN NCD 09MR24 FVRS1000
SERIES IV CUMULATIVE
INE01CY07NN6 ICL FINCORP LIMITED SR IV CUM GN&SNRCTZ Compounding
1019 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 5406000 09-03-2021 09-08-2026 13.66% On Maturity BWR BB+/Stable Utilities Non PSU Other Active
13.66 NCD 09AG26 FVRS1000
CITIZEN
INE01CY07NO4 SERIES I MONTHLY ICL FINCORP LIMITED SR I MTHLY GEN 11.50 Twelve times a
1020 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4950000 25-03-2021 25-04-2022 11.50% Simple BWR BB+ Utilities Non PSU Other Active
GENERAL NCD 25AP22 FVRS1000 year
INE01CY07NP1 SERIES I MONTHLY ICL FINCORP LIMITED SR I MTHLY SNR CTZ 12 Twelve times a
1021 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 6160000 25-03-2021 25-04-2022 12% Simple BWR BB+ Utilities Non PSU Other Active
SENIOR CITIZEN NCD 25AP22 FVRS1000 year
INE01CY07NR7 SERIES I CUMULATIVE ICL FINCORP LIMITED SR I CUM SNR CTZ 12.50
1023 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5400000 25-03-2021 25-04-2022 12.50% Simple On Maturity BWR BB+ Utilities Non PSU Other Active
SENIOR CITIZEN NCD 25AP22 FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01CY07NS5 SERIES II MONTHLY ICL FINCORP LIMITED SR II MTHLY GEN 12 NCD Twelve times a
1024 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 7425000 25-03-2021 25-03-2023 12% Simple BWR BB+ Utilities Non PSU Other Active
GENERAL 25MR23 FVRS1000 year
INE01CY07NT3 SERIES II MONTHLY ICL FINCORP LIMITED SR II MTHLY SNR CTZ Twelve times a
1025 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 6260000 25-03-2021 25-03-2023 12.50% Simple BWR BB+ Utilities Non PSU Other Active
SENIOR CITIZEN 12.50 NCD 25MR23 FVRS1000 year
INE01CY07NU1 SERIES II CUMULATIVE ICL FINCORP LIMITED SR II CUM GEN 12.50 NCD Compounding
1026 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1850000 25-03-2021 25-03-2023 12.50% On Maturity BWR BB+ Utilities Non PSU Other Active
GENERAL 25MR23 FVRS1000
INE01CY07NV9 SERIES II CUMULATIVE ICL FINCORP LIMITED SR II CUM SNR CTZ 13 Compounding
1027 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2395000 25-03-2021 25-03-2023 13% On Maturity BWR BB+ Utilities Non PSU Other Active
SENIOR CITIZEN NCD 25MR23 FVRS1000
INE01CY07NW SERIES III MONTHLY ICL FINCORP LIMITED SR III MTHLY GEN 12.25 Twelve times a
1028 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4858000 25-03-2021 25-03-2024 12.25% Simple BWR BB+ Utilities Non PSU Other Active
7 GENERAL NCD 25MR24 FVRS1000 year
INE01CY07NX5 SERIES III MONTHLY ICL FINCORP LIMITED SR III MTHLY SNRCTZ Twelve times a
1029 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5525000 25-03-2021 25-03-2024 12.75% Simple BWR BB+ Utilities Non PSU Other Active
SENIOR CITIZEN 12.75 NCD 25MR24 FVRS1000 year
INE01CY07NY3 SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM GEN 12.75 Compounding
1030 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 50000 25-03-2021 25-03-2024 12.75% On Maturity BWR BB+ Utilities Non PSU Other Active
GENERAL NCD 25MR24 FVRS1000
INE01CY07NZ0 SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM SNR CTZ 13.25 Compounding
1031 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 328000 25-03-2021 25-03-2024 13.25% On Maturity BWR BB+ Utilities Non PSU Other Active
SENIOR CITIZEN NCD 25MR24 FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES IV CUMULATIVE
INE01CY07OA1 ICL FINCORP LIMITED SR IV CUM GN&SNRCTZ Compounding
1032 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 9814000 25-03-2021 25-08-2026 13.66% On Maturity BWR BB+ Utilities Non PSU Other Active
13.66 NCD 25AG26 FVRS1000
CITIZEN
INE01CY07OB9 SERIES I MONTHLY ICL FINCORP LIMITED SR I MTHLY GEN 11.50 Twelve times a
1033 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 950000 30-03-2021 30-04-2022 11.50% Simple BWR BB+ Utilities Non PSU Other Active
GENERAL NCD 30AP22 FVRS1000 year
INE01CY07OC7 SERIES I MONTHLY ICL FINCORP LIMITED SR I MTHLY SNR CTZ 12 Twelve times a
1034 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3100000 30-03-2021 30-04-2022 12% Simple BWR BB+ Utilities Non PSU Other Active
SENIOR CITIZEN NCD 30AP22 FVRS1000 year
INE01CY07OE3 SERIES I CUMULATIVE ICL FINCORP LIMITED SR I CUM SNR CTZ 12.50
1036 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 970000 30-03-2021 30-04-2022 12.50% Simple On Maturity BWR BB+ Utilities Non PSU Other Active
SENIOR CITIZEN NCD 30AP22 FVRS1000
INE01CY07OF0 SERIES II MONTHLY ICL FINCORP LIMITED SR II MTHLY GEN 12 NCD Twelve times a
1037 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1300000 30-03-2021 30-03-2023 12% Simple BWR BB+ Utilities Non PSU Other Active
GENERAL 30MR23 FVRS1000 year
INE01CY07OG8 SR II MONTHLY SENIOR ICL FINCORP LIMITED SR II MTHLY SNR CTZ Twelve times a
1038 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1500000 30-03-2021 30-03-2023 12.50% Simple BWR BB+ Utilities Non PSU Other Active
CITIZEN 12.50 NCD 30MR23 FVRS1000 year
INE01CY07OH6 SERIES II CUMULATIVE ICL FINCORP LIMITED SR II CUM GEN 12.50 NCD Compounding
1039 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 100000 30-03-2021 30-03-2023 12.50% On Maturity BWR BB+ Utilities Non PSU Other Active
GENERAL 30MR23 FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES III MONTHLY ICL FINCORP LIMITED SR III MTHLY GEN 12.25 Twelve times a
1041 INE01CY07OJ2 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 850000 30-03-2021 30-03-2024 12.25% Simple BWR BB+ Utilities Non PSU Other Active
GENERAL NCD 30MR24 FVRS1000 year
INE01CY07OK0 SERIES III MONTHLY ICL FINCORP LIMITED SR III MTLY SNR CTZ Twelve times a
1042 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 300000 30-03-2021 30-03-2024 12.75% Simple BWR BB+ Utilities Non PSU Other Active
SENIOR CITIZEN 12.75 NCD 30MR24 FVRS1000 year
INE01CY07OL8 SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM GEN 12.75 Compounding
1043 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 50000 30-03-2021 30-03-2024 12.75% On Maturity BWR BB+ Utilities Non PSU Other Active
GENERAL NCD 30MR24 FVRS1000
INE01CY07OM6 SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM SNR CTZ 13.25 Compounding
1044 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 20000 30-03-2021 30-03-2024 13.25% On Maturity BWR BB+ Utilities Non PSU Other Active
SENIOR CITIZEN NCD 30MR24 FVRS1000
SERIES IV CUMULATIVE
INE01CY07ON4 ICL FINCORP LIMITED SR IV CUM GN&SNRCTZ Compounding
1045 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 1400000 30-03-2021 30-08-2026 13.66% On Maturity BWR BB+ Utilities Non PSU Other Active
13.66 NCD 30AG26 FVRS1000
CITIZEN
INE01CY07OO2 SERIES I MONTHLY ICL FINCORP LIMITED SR I MTHLY GEN 11.50 Twelve times a
1046 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5690000 13-04-2021 13-05-2022 11.50% Simple BWR BB+ Utilities Non PSU Other Active
GENERAL NCD 13MY22 FVRS1000 year
INE01CY07OP9 SERIES I MONTHLY ICL FINCORP LIMITED SR I MTHLY SNR GEN 12 Twelve times a
1047 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2075000 13-04-2021 13-05-2022 12% Simple BWR BB+ Utilities Non PSU Other Active
SENIOR CITIZEN NCD 13MY22 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01CY07OS3 SERIES II MONTHLY ICL FINCORP LIMITED SR II MTHLY GEN 12 NCD Twelve times a
1050 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3350000 13-04-2021 13-04-2023 12% Simple BWR BB+ Utilities Non PSU Other Active
GENERAL 13AP23 FVRS1000 year
INE01CY07OT1 SERIES II MONTHLY ICL FINCORP LIMITED SR II MTHLY SNR CTZ Twelve times a
1051 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4800000 13-04-2021 13-04-2023 12.50% Simple BWR BB+ Utilities Non PSU Other Active
SENIOR CITIZEN 12.50 NCD 13AP23 FVRS1000 year
INE01CY07OV7 SERIES II CUMULATIVE ICL FINCORP LIMITED SR II CUM SNR CTZ 13 Compounding
1053 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1150000 13-04-2021 13-04-2023 13% On Maturity BWR BB+ Utilities Non PSU Other Active
SENIOR CITIZEN NCD 13AP23 FVRS1000
INE01CY07OW SERIES III MONTHLY ICL FINCORP LIMITED SR III MTHLY GEN 12.25 Twelve times a
1054 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4650000 13-04-2021 13-04-2024 12.25% Simple BWR BB+ Utilities Non PSU Other Active
5 GENERAL NCD 13AP24 FVRS1000 year
INE01CY07OX3 SERIES III MONTHLY ICL FINCORP LIMITED SR III MTHY SNR CTZ Twelve times a
1055 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 6600000 13-04-2021 13-04-2024 12.75% Simple BWR BB+ Utilities Non PSU Other Active
SENIOR CITIZEN 12.75 NCD 13AP24 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01CY07OY1 SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM SNR CTZ 13.25 Compounding
1056 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1600000 13-04-2021 13-04-2024 13.25% On Maturity BWR BB+ Utilities Non PSU Other Active
SENIOR CITIZEN NCD 13AP24 FVRS1000
SERIES IV CUMULATIVE
INE01CY07OZ8 ICL FINCORP LIMITED SR IV CUM GN SNR CZ Compounding
1057 ICL FINCORP LIMITED GENERAL AND SENIOR Debentures Private Placement Taxable 1000 2770000 13-04-2021 13-09-2026 13.66% On Maturity BWR BB+ Utilities Non PSU Other Active
13.66 NCD 13SP26 FVRS1000
CITIZEN
SERIES I MONTHLY ICL FINCORP LIMITED SR I MTHLY GEN 11.50 Twelve times a
1058 INE01CY07PA8 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3864000 23-04-2021 23-05-2022 11.50% Simple BWR BB+ Utilities Non PSU Other Active
GENERAL NCD 23MY22 FVRS1000 year
SERIES I MONTHLY ICL FINCORP LIMITED SR I MTHLY SNR CTZ 12 Twelve times a
1059 INE01CY07PB6 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3660000 23-04-2021 23-05-2022 12% Simple BWR BB+ Utilities Non PSU Other Active
SENIOR CITIZEN NCD 23MY22 FVRS1000 year
INE01CY07PD2 SERIES I CUMULATIVE ICL FINCORP LIMITED SR I CUM SNR CTZ 12.50
1061 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3460000 23-04-2021 23-05-2022 12.50% Simple On Maturity BWR BB+ Utilities Non PSU Other Active
SENIOR CITIZEN NCD 23MY22 FVRS1000
SERIES II MONTHLY ICL FINCORP LIMITED SR II MTHLY GEN 12 NCD Twelve times a
1062 INE01CY07PE0 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2830000 23-04-2021 23-04-2023 12% Simple BWR BB+ Utilities Non PSU Other Active
GENERAL 23AP23 FVRS1000 year
SERIES II MONTHLY ICL FINCORP LIMITED SR II MTHLY SNR CTZ Twelve times a
1063 INE01CY07PF7 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 4610000 23-04-2021 23-04-2023 12.50% Simple BWR BB+ Utilities Non PSU Other Active
SENIOR CITIZEN 12.50 NCD 23AP23 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01CY07PH3 SERIES II CUMULATIVE ICL FINCORP LIMITED SR II CUM SNR CTZ 13 Compounding
1065 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2250000 23-04-2021 23-04-2023 13% On Maturity BWR BB+ Utilities Non PSU Other Active
SENIOR CITIZEN NCD 23AP23 FVRS1000
SERIES III MONTHLY ICL FINCORP LIMITED SR III MTHLY GEN 12.25 Twelve times a
1066 INE01CY07PI1 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 5010000 23-04-2021 23-04-2024 12.25% Simple BWR BB+ Utilities Non PSU Other Active
GENERAL NCD 23AP24 FVRS1000 year
SERIES III MONTHLY ICL FINCORP LIMITED SR III MTHLY SNRCTZ Twelve times a
1067 INE01CY07PJ9 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 3830000 23-04-2021 23-04-2024 12.75% Simple BWR BB+ Utilities Non PSU Other Active
SENIOR CITIZEN 12.75 NCD 23AP24 FVRS1000 year
SERIES III CUMULATIVE ICL FINCORP LIMITED SR III CUM GEN 12.75 Compounding
1068 INE01CY07PK7 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 1800000 23-04-2021 23-04-2024 12.75% On Maturity BWR BB+ Utilities Non PSU Other Active
GENERAL NCD 23AP24 FVRS1000
INE01CY07PM3 SERIES IV CUMULATIVE ICL FINCORP LIMITED SR IV CUM GEN SNRCZ Compounding
1070 ICL FINCORP LIMITED Debentures Private Placement Taxable 1000 2030000 23-04-2021 23-09-2026 13.66% On Maturity BWR BB+ Utilities Non PSU Other Active
GENERAL/SENIOR CITIZEN 13.66 NCD 23SP26 FVRS1000
SERIES I CUMULATIVE ICL FINCORP LIMITED SR I CUM GEN SNR CTZ Compounding Twelve times a
1071 INE01CY08018 ICL FINCORP LIMITED Bonds Private Placement Taxable 1000 25000000 06-06-2019 06-06-2024 14.87% Utilities Non PSU Other Active
GENERAL SENIOR CITIZEN 14.87 BD 06JU24 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES III MONTHLY ICL FINCORP LIMITED SR III MTH SNR CTZ 13.25 Twelve times a
1073 INE01CY08034 ICL FINCORP LIMITED Bonds Private Placement Taxable 1000 25000000 06-06-2019 06-06-2024 13.25% Simple Utilities Non PSU Other Active
SENIOR CITIZEN BD 06JU24 FVRS1000 year
SERIES IV MONTHLY ICL FINCORP LIMITED SR IV GEN SNR CTZ RR Twelve times a
1074 INE01CY08042 ICL FINCORP LIMITED Bonds Private Placement Taxable 1000 25000000 06-06-2019 06-06-2024 RESET RATE Simple Utilities Non PSU Other Active
GENERAL/SENIOR CITIZEN BD 06JU24 FVRS1000 year
RESET RATE
ICL FINCORP LIMITED SR IV MTHLY GENSNR Twelve times a
1078 INE01CY08083 ICL FINCORP LIMITED SERIES IV GEN SEN CTZN Bonds Private Placement Taxable 1000 2500000 06-07-2019 06-07-2024 REFER Utilities Non PSU Other Active
CTZN RR BD 06JL24 FVRS1000 year
REMARKS.
SERIES IV MONTHLY ICL FINCORP LIMITED SR IV MTHL GEN SNR Twelve times a
1081 INE01CY08117 ICL FINCORP LIMITED Bonds Private Placement Taxable 1000 2300000 06-08-2019 06-08-2024 15%-11% Utilities Non PSU Other Active
GENERAL SENIOR CITIZEN CTZN RR BD 06AG24 FVRS1000 year
SERIES III MONTHLY ICL FINCORP LIMITED SR III MTHLY SEN CTZ Twelve times a
1082 INE01CY08125 ICL FINCORP LIMITED Bonds Private Placement Taxable 1000 1700000 06-09-2019 06-09-2024 13.25% Simple Utilities Non PSU Other Active
SENIOR CITIZEN 13.25 BD 06SP24 FVRS1000 year
SERIES I CUMULATIVE-
ICL FINCORP LIMITED SR CUM GEN& SNR CTZ Compounding
1084 INE01CY08141 ICL FINCORP LIMITED GENERAL AND SENIOR Bonds Private Placement Taxable 1000 7200000 30-09-2019 30-09-2024 14.87% On Maturity Utilities Non PSU Other Active
14.87 BD 30SP24 FVRS1000
CITIZEN
SERIES III MONTHLY ICL FINCORP LIMITED SR III MTH SNR CTZN Twelve times a
1086 INE01CY08166 ICL FINCORP LIMITED Bonds Private Placement Taxable 1000 5900000 30-09-2019 30-09-2024 13.25% Simple Utilities Non PSU Other Active
SENIOR CITIZEN 13.25 BD 30SP24 FVRS1000 year
SERIES I (CUMULATIVE
ICL FINCORP LIMITED SR I CUM SNR CTZN Compounding
1088 INE01CY08182 ICL FINCORP LIMITED ANNUALLY -GENERAL AND Bonds Private Placement Taxable 1000 4300000 22-10-2019 22-10-2024 14.87% On Maturity Utilities Non PSU Other Active
14.87 BD 22OT24 FVRS1000
SENIOR CITIZEN)
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH SNR CTZ 13.25 Twelve times a
1090 INE01CY08208 ICL FINCORP LIMITED Bonds Private Placement Taxable 1000 2000000 22-10-2019 22-10-2024 13.25% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) BD 22OT24 FVRS1000 year
SERIES I (CUMULATIVE
ICL FINCORP LIMITED SR I CM ANL&GN&SN Compounding
1092 INE01CY08224 ICL FINCORP LIMITED ANNUALLY -GENERAL AND Bonds Private Placement Taxable 1000 8750000 30-11-2019 30-11-2024 14.87% On Maturity Utilities Non PSU Other Active
CTZ14.87 BD 30NV24 FVRS1000
SENIOR CITIZEN)
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTHL SNR CTZN Twelve times a
1094 INE01CY08240 ICL FINCORP LIMITED Bonds Private Placement Taxable 1000 3200000 30-11-2019 30-11-2024 13.25% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) 13.25 BD 30NV24 FVRS1000 year
. SERIES I (CUMULATIVE-
ICL FINCORP LIMITED SR I CUM GEN&SNR CTZ Compounding
1096 INE01CY08265 ICL FINCORP LIMITED GENERAL AND SENIOR Bonds Private Placement Taxable 1000 4000000 31-12-2019 31-12-2024 14.87% On Maturity Utilities Non PSU Other Active
14.87 BD 31DC24 FVRS1000
CITIZEN)
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH SNR CTZ 13.25 Twelve times a
1098 INE01CY08281 ICL FINCORP LIMITED Bonds Private Placement Taxable 1000 1400000 31-12-2019 31-12-2024 13.25% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) BD 31DC24 FVRS1000 year
SERIES I ¿¿ CUMULATIVE
ICL FINCORP LIMITED SR I CUM AN GN&SR CT
1099 INE01CY08299 ICL FINCORP LIMITED ANNUALLY GENERAL AND Bonds Private Placement Taxable 1000 7500000 09-01-2020 09-01-2025 14.87% On Maturity Utilities Non PSU Other Active
14.87 BD 09JN25 FVRS1000
SENIOR CITIZEN
SERIES III(MONTHLY- ICL FINCORP LIMITED SR III MTH SN CTZ 13.25 Twelve times a
1101 INE01CY08323 ICL FINCORP LIMITED Bonds Private Placement Taxable 1000 700000 06-02-2020 06-02-2025 13.25% Simple Utilities Non PSU Other Active
SENIOR CITIZEN) BD 06FB25 FVRS1000 year
SERIES I (CUMULATIVE
ICL FINCORP LIMITED SR I CM ANL&GN&SN Compounding
1103 INE01CY08349 ICL FINCORP LIMITED ANNUALLY -GENERAL AND Bonds Private Placement 1000 5000000 05-03-2020 05-03-2025 14.87% On Maturity Utilities Non PSU Other Active
CTZ14.87 BD 05MR25 FVRS1000
SENIOR CITIZEN)
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES II(MONTHLY ICL FINCORP LIMITED SR II MTH GEN 13 NCD Twelve times a
1104 INE01CY08356 ICL FINCORP LIMITED Bonds Private Placement Taxable 1000 1000000 05-03-2020 05-03-2025 13% Simple Utilities Non PSU Other Active
GENERAL) 05MR25 FVRS1000 year
SERIES III MONTHLY ICL FINCORP LIMITED SR III MTHLY SEN CTZ Twelve times a
1105 INE01CY08364 ICL FINCORP LIMITED Bonds Private Placement 1000 3200000 05-03-2020 05-03-2025 13.25% Simple Utilities Non PSU Other Active
SENIOR CITIZEN 13.25 BD 05MR25 FVRS1000 year
SERIES I CUMULATIVE-
ICL FINCORP LIMITED SR I CUM GN&SNR CTZN Compounding
1107 INE01CY08380 ICL FINCORP LIMITED GENERAL AND SENIOR Bonds Private Placement Taxable 1000 2000000 21-05-2020 21-05-2025 14.87% On Maturity Utilities Non PSU Other Active
14.87 BD 21MY25 FVRS1000
CITIZEN
SERIES II-MONTHLY- ICL FINCORP LIMITED SR II MTH SNR CTZN Twelve times a
1108 INE01CY08398 ICL FINCORP LIMITED Bonds Private Placement Taxable 1000 3100000 21-05-2020 21-05-2025 13.25% Simple Utilities Non PSU Other Active
SENIOR CITIZEN 13.25 BD 21MY25 FVRS1000 year
RESET RATE
INE01D308016 ACME KUDLIGI SOLAR ACME KUDLIGI SOLAR ENERGY PRIVATE
1109 N.A. Debentures Private Placement Taxable 1000 137200000 13-02-2019 12-02-2049 - REFER Simple Once a year Energy Non PSU Other Active
ENERGY PRIVATE LIMITED LIMITED RR CCD 12FB49 FVRS1000
REMARKS
RESET RATE
INE01D408014 ACME SANDUR SOLAR ACME SANDUR SOLAR ENERGY PRIVATE
1110 N.A. Debentures Private Placement Taxable 1000 142492000 13-02-2019 12-02-2049 - REFER Simple Once a year Energy Non PSU Other Active
ENERGY PRIVATE LIMITED LIMITED RR CCD 12FB49 FVRS1000
REMARKS
STOCKHOLDING DOCUMENT
INE01DQ08012 STOCKHOLDING DOCUMENT MANAGEMENT
1112 MANAGEMENT SERVICES NA Debentures Private Placement Taxable 1000 250000000 16-07-2020 16-07-2023 8.55% Simple Once a year Utilities Non PSU Other Active
SERVICES LIMITED 8.55 LOA 16JL23 FVRS1000
LIMITED
INE01ED07010 DIGIKREDIT FINANCE PRIVATE DIGIKREDIT FINANCE PRIVATE LIMITED 15 NCD Four times a
1118 Debentures Private Placement Taxable 1000000 40000000 29-12-2020 29-12-2024 15% Simple Finance Non PSU Other Active
LIMITED 29DC24 FVRS10LAC year
INE01ED07028 DIGIKREDIT FINANCE PRIVATE DIGIKREDIT FINANCE PRIVATE LIMITED SR B Four times a
1119 SERIES B Debentures Private Placement Taxable 1000000 100000000 23-02-2021 30-03-2023 14.75% Simple Finance Non PSU Other Active
LIMITED 14.75 NCD 30MR23 FVRS10LAC year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01EQ07038 ADANI CAPITAL PRIVATE ADANI CAPITAL PRIVATE LIMITED 9.50 NCD Four times a
1124 N.A. Debentures Private Placement Taxable 1000000 500000000 29-06-2020 29-06-2023 9.50% Simple CRISIL AA-/Stable Others Non PSU Other Active
LIMITED 29JU23 FVRS10LAC year
INE01EQ07046 ADANI CAPITAL PRIVATE ADANI CAPITAL PRIVATE LIMITED 7.75 NCD
1125 N.A Debentures Private Placement Taxable 1000000 1000000000 22-07-2020 21-01-2022 7.75% Simple Twice a year CRISIL AA-/Stable Others Non PSU Other Active
LIMITED 21JN22 FVRS10LAC
INE01EQ07053 ADANI CAPITAL PRIVATE ADANI CAPITAL PRIVATE LIMITED 8.15 NCD Four times a
1126 NA Debentures Private Placement Taxable 1000000 1000000000 18-11-2020 18-05-2022 8.15% Simple CRISIL AA-/Stable Others Non PSU Other Active
LIMITED 18MY22 FVRS10LAC year
SAGAR DEPOSITS AND SAGAR DEPOSITS AND ADVANCES LIMITED Four times a
1127 INE01EU07014 SCHEME A Debentures Private Placement Taxable 500000 50000000 25-08-2018 25-08-2021 11.50% Simple Utilities Non PSU Other Active
ADVANCES LIMITED SCHEME A 11.5 LOA 25AG21 FVRS5LAC year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SAGAR DEPOSITS AND SAGAR DEPOSITS AND ADVANCES LIMITED Four times a
1128 INE01EU07071 N.A. Debentures Private Placement Taxable 100000 1200000 01-07-2020 01-07-2022 Simple Utilities Non PSU Other Active
ADVANCES LIMITED 12.5 LOA 01JL22 FVRS1LAC year
SAGAR DEPOSITS AND SAGAR DEPOSITS AND ADVANCES LIMITED Four times a
1129 INE01EU07089 Debentures Private Placement Taxable 200000 3200000 01-07-2020 01-07-2022 12.5% Simple Utilities Non PSU Other Active
ADVANCES LIMITED 12.5 LOA 01JL22 FVRS2LAC year
SAGAR DEPOSITS AND SAGAR DEPOSITS AND ADVANCES LIMITED Four times a
1130 INE01EU07097 Debentures Private Placement Taxable 500000 21500000 01-07-2020 01-07-2022 12.5% Simple Utilities Non PSU Other Active
ADVANCES LIMITED 12.5% LOA 01JL22 FVRS5LAC year
SAGAR DEPOSITS AND SAGAR DEPOSITS AND ADVANCES LIMITED SR Twelve times a
1131 INE01EU07105 SERIES B Debentures Private Placement Taxable 500000 20000000 25-01-2021 16-03-2022 16% Simple Utilities Non PSU Other Active
ADVANCES LIMITED B 16 NCD 16MR22 FVRS5LAC year
SAGAR DEPOSITS AND SAGAR DEPOSITS AND ADVANCES LIMITED SR Twelve times a
1132 INE01EU07113 SERIES A Debentures Private Placement Taxable 500000 30000000 25-01-2021 16-03-2022 14% Simple Utilities Non PSU Other Active
ADVANCES LIMITED A 14 NCD 16MR22 FVRS5LAC year
INE01GB07019 VATIKA IT PARKS PRIVATE VATIKA IT PARKS PRIVATE LIMITED OCD 02JL24
1135 N.A Debentures Private Placement Taxable 1000 1250000000 03-07-2019 02-07-2024 Simple Utilities Non PSU Other Active
LIMITED FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01HV07031 VIVRITI CAPITAL PRIVATE VIVRITI CAPITAL PRIVATE LIMITED 11.50 LOA Twelve times a
1140 N.A. Debentures Private Placement Taxable 125000 400000000 16-08-2019 16-08-2021 11.50% Simple ICRA A-/Stable Utilities Non PSU Other Active
LIMITED 16AG21 FVRS125000 year
RESET RATE
INE01HV07049 VIVRITI CAPITAL PRIVATE VIVRITI CAPITAL PRIVATE LIMITED SR A RR LOA
1141 SERIES A Debentures Private Placement Taxable 1000000 200000000 26-08-2019 26-08-2022 REFER Simple Twice a year ICRA A-/Stable Utilities Non PSU Other Active
LIMITED 26AG22 FVRS10LAC
REMARKS
INE01HV07064 VIVRITI CAPITAL PRIVATE VIVRITI CAPITAL PRIVATE LIMITED SR 2 BR LOA NIFTY
1142 SERIES 2 Debentures Private Placement Taxable 500000 53500000 13-02-2020 13-08-2021 Simple On Maturity ICRA PP-MLD A-/Stable Utilities Non PSU Other Active
LIMITED 13AG21 FVRS5LAC LINKED
INE01HV07098 VIVRITI CAPITAL PRIVATE VIVRITI CAPITAL PRIVATE LIMITED SR B 10.48 Twelve times a
1144 SERIES B Debentures Private Placement Taxable 1000000 250000000 31-07-2020 31-07-2023 10.48% Simple BWR A/Stable Utilities Non PSU Other Active
LIMITED NCD 31JU23 FVRS10LAC year
INE01HV07106 VIVRITI CAPITAL PRIVATE VIVRITI CAPITAL PRIVATE LIMITED BR LOA NIFTY 50
1145 Debentures Private Placement Taxable 500000 100000000 27-11-2020 27-11-2022 Simple On Maturity ICRA PP-MLD A-/Stable Utilities Non PSU Other Active
LIMITED 27NV22 FVRS5LAC LINKED
INE01HV07114 VIVRITI CAPITAL PRIVATE VIVRITI CAPITAL PRIVATE LIMITED 10 NCD Four times a
1146 NA Debentures Private Placement Taxable 1000000 400000000 16-12-2020 16-06-2022 10% Simple ICRA A-/Stable;BWR A/Stable Utilities Non PSU Other Active
LIMITED 16JU22 FVRS10LAC year
INE01HV07122 VIVRITI CAPITAL PRIVATE VIVRITI CAPITAL PRIVATE LIMITED 10.25 LOA Four times a
1147 NA Debentures Private Placement Taxable 1000000 200000000 31-12-2020 30-06-2022 10.25% Simple ICRA A-(CE)/Stable Utilities Non PSU Other Active
LIMITED 30JU22 FVRS10LAC year
INE01HV07148 VIVRITI CAPITAL PRIVATE VIVRITI CAPITAL PRIVATE LIMITED 11 NCD Four times a
1149 Debentures Private Placement Taxable 916667 100000000 10-02-2021 10-02-2024 11% XIRR Simple ICRA A-/Stable Utilities Non PSU Other Active
LIMITED 10FB24 FVRS916667 year
INE01HV07163 VIVRITI CAPITAL PRIVATE VIVRITI CAPITAL PRIVATE LIMITED 11.25 XIRR Twelve times a
1151 Debentures Private Placement Taxable 1000000 400000000 18-03-2021 05-07-2022 11.25% XIRR Simple ICRA A-/Stable Utilities Non PSU Other Active
LIMITED NCD 05JL22 FVRS10LAC year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01HV07171 VIVRITI CAPITAL PRIVATE VIVRITI CAPITAL PRIVATE LIMITED 9.9 NCD
1152 Debentures Private Placement Taxable 1000000 750000000 25-03-2021 25-03-2024 9.9% Simple On Maturity ICRA AA+(CE)/Stable Utilities Non PSU Other Active
LIMITED 25MR24 FVRS10LAC
INE01HV07189 VIVRITI CAPITAL PRIVATE VIVRITI CAPITAL PRIVATE LIMITED 10.50 NCD Twelve times a
1153 Debentures Private Placement Taxable 1000000 300000000 25-05-2021 25-08-2022 10.50% Simple ICRA A-/Stable Utilities Non PSU Other Active
LIMITED 25AG22 FVRS10LAC year
KLM AXIVA FINVEST LIMITED OPT III 11.75 LOA Twelve times a
1156 INE01I507034 KLM AXIVA FINVEST LIMITED OPTION III Debentures Public Issue Taxable 1000 78455000 06-11-2018 05-11-2021 11.75% Simple CARE BB+/Stable Finance Non PSU Other Active
05NV21 FVRS1000 year
SERIES - NCD ISSUE III- KLM AXIVA FINVEST LIMITED SR ISSUE III OPT II Compounding
1170 INE01I507216 KLM AXIVA FINVEST LIMITED Debentures Public Issue Taxable 1000 131145000 02-07-2020 05-08-2021 N.A CARE BB+/Stable Finance Non PSU Other Active
OPTION II. LOA 05AG21 FVRS1000
SERIES - NCD ISSUE III- KLM AXIVA FINVEST LIMITED SR ISSUE III OPT Compounding
1171 INE01I507224 KLM AXIVA FINVEST LIMITED Debentures Public Issue Taxable 1000 128606000 02-07-2020 01-01-2022 N.A CARE BB+/Stable Finance Non PSU Other Active
OPTION III III LOA 01JN22 FVRS1000
SERIES - NCD ISSUE III- KLM AXIVA FINVEST LIMITED SR ISSUE III OPT Twelve times a
1172 INE01I507232 KLM AXIVA FINVEST LIMITED Debentures Public Issue Taxable 1000 109346000 02-07-2020 01-07-2022 11.25% Simple CARE BB+/Stable Finance Non PSU Other Active
OPTION IV IV 11.25 LOA 01JL22 FVRS1000 year
SERIES - NCD ISSUE III- KLM AXIVA FINVEST LIMITED SR ISSUE III OPT V
1173 INE01I507240 KLM AXIVA FINVEST LIMITED Debentures Public Issue Taxable 1000 47436000 02-07-2020 01-07-2022 11.50% Simple Once a year CARE BB+/Stable Finance Non PSU Other Active
OPTION V 11.50 LOA 01JL22 FVRS1000
SERIES - NCD ISSUE III- KLM AXIVA FINVEST LIMITED SR ISSUE III OPT Twelve times a
1174 INE01I507257 KLM AXIVA FINVEST LIMITED Debentures Public Issue Taxable 1000 186447000 02-07-2020 01-07-2023 11.50% Simple CARE BB+/Stable Finance Non PSU Other Active
OPTION VI VI 11.50 LOA 01JL23 FVRS1000 year
SERIES - NCD ISSUE III- KLM AXIVA FINVEST LIMITED SR ISSUE III OPT
1175 INE01I507265 KLM AXIVA FINVEST LIMITED Debentures Public Issue Taxable 1000 48959000 02-07-2020 01-07-2023 11.75% Simple Once a year ICRA BB+ Finance Non PSU Other Active
OPTION VII VII 11.75 LOA 01JL23FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES - NCD ISSUE III- KLM AXIVA FINVEST LIMITED SR ISSUE III Twelve times a
1176 INE01I507273 KLM AXIVA FINVEST LIMITED Debentures Public Issue Taxable 1000 216598000 02-07-2020 01-07-2025 11.75% Simple CARE BB+/Stable Finance Non PSU Other Active
OPTION VIII OPTVIII 11.75LOA 01JL25 FVRS1000 year
SERIES - NCD ISSUE III- KLM AXIVA FINVEST LIMITED SR ISSUE III OPT
1177 INE01I507281 KLM AXIVA FINVEST LIMITED Debentures Public Issue Taxable 1000 34020000 02-07-2020 01-07-2025 12% Simple Once a year CARE BB+/Stable Finance Non PSU Other Active
OPTION IX IX 12 LOA 01JL25 FVRS1000
SERIES - NCD ISSUE III- KLM AXIVA FINVEST LIMITED SR ISSUE III OPT X Compounding
1178 INE01I507299 KLM AXIVA FINVEST LIMITED Debentures Public Issue Taxable 1000 134440000 02-07-2020 01-10-2026 N.A CARE BB+/Stable Finance Non PSU Other Active
OPTION X LOA 01OT26 FVRS1000
RESET RATE
ANKAPALLI TOLLWAY PRIVATE ANKAPALLI TOLLWAY PRIVATE LIMITED RR Four times a
1179 INE01I608014 N.A. Debentures Private Placement Taxable 100 10148232700 27-08-2018 30-07-2048 - REFER Simple Utilities Non PSU Other Active
LIMITED OCD 30JL48 FVRS100 year
REMARKS
RESET RATE
BAMANBORE TOLLWAY BAMANBORE TOLLWAY PRIVATE LIMITED RR Four times a
1180 INE01I708012 Debentures Private Placement Taxable 100 4039887200 27-08-2018 30-07-2048 - REFER Simple Utilities Non PSU Other Active
PRIVATE LIMITED OCD 30JL48 FVRS100 year
REMARKS
RESET RATE
DIWANCHERUVU TOLLWAY DIWANCHERUVU TOLLWAY PRIVATE LIMITED Four times a
1181 INE01I808010 N.A. Debentures Private Placement Taxable 100 5455481300 27-08-2018 30-07-2048 - REFER Simple Utilities Non PSU Other Active
PRIVATE LIMITED RR OCD 30JL48 FVRS100 year
REMARKS
RESET RATE
GARAMORE TOLLWAY GARAMORE TOLLWAY PRIVATE LIMITED RR Four times a
1182 INE01I908018 N.A. Debentures Private Placement Taxable 100 13500550400 27-08-2018 30-07-2048 - REFER Simple Utilities Non PSU Other Active
PRIVATE LIMITED OCD 30JL48 FVRS100 year
REMARKS
RESET RATE
ICCHAPURAM TOLLWAY ICCHAPURAM TOLLWAY PRIVATE LIMITED RR Four times a
1183 INE01IA08015 N.A. Debentures Private Placement Taxable 100 3182939300 27-08-2018 30-07-2048 - REFER Simple Utilities Non PSU Other Active
PRIVATE LIMITED OCD 30JL48 FVRS100 year
REMARKS
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
RESET RATE
PUINTOLA TOLLWAY PRIVATE PUINTOLA TOLLWAY PRIVATE LIMITED RR OCD Four times a
1184 INE01IB08013 N.A. Debentures Private Placement Taxable 100 3287944600 27-08-2018 30-07-2048 - REFER Simple Utilities Non PSU Other Active
LIMITED 30JL48 FVRS100 year
REMARKS
RESET RATE
SIDDHANTHAM TOLLWAY SIDDHANTHAM TOLLWAY PRIVATE LIMITED RR Four times a
1186 INE01ID08019 N.A. Debentures Private Placement Taxable 100 637628600 27-08-2018 30-07-2048 - REFER Simple Utilities Non PSU Other Active
PRIVATE LIMITED OCD 30JL48 FVRS100 year
REMARKS.
RESET RATE
DIWANTHAM TOLLWAY DIWANTHAM TOLLWAY PRIVATE LIMITED RR Four times a
1187 INE01IE08017 Debentures Private Placement Taxable 100 698291800 27-08-2018 30-07-2048 - REFER Simple Utilities Non PSU Other Active
PRIVATE LIMITED OCD 30JL48 FVRS100 year
REMARKS
AZURE POWER FORTY THREE AZURE POWER FORTY THREE PRIVATE Compounding
1190 INE01J208012 SERIES I Debentures Private Placement Taxable 2938 499997654 17-01-2020 17-07-2040 10.25% Once a year Energy Non PSU Other Active
PRIVATE LIMITED LIMITED SERIES I 10.25 CCD 17JL40 FVRS2938
RESET RATE
AMPSOLAR GENERATION AMPSOLAR GENERATION PRIVATE LIMITED RR
1192 INE01JC08019 N.A. Debentures Private Placement Taxable 1000 35000000 14-08-2018 14-08-2038 (REFER Simple Once a year Utilities Non PSU Other Active
PRIVATE LIMITED CCD 14AG38 FVRS1000
REMARKS )
RESET RATE
AMPSOLAR GENERATION AMPSOLAR GENERATION PRIVATE LIMITED RR
1193 INE01JC08027 N.A. Debentures Private Placement Taxable 1000 80000000 17-12-2018 17-12-2038 - REFER Simple Once a year Utilities Non PSU Other Active
PRIVATE LIMITED CCD 17DC38 FVRS1000
REMARKS
RESET RATE
AMPSOLAR GENERATION AMPSOLAR GENERATION PRIVATE LIMITED RR
1194 INE01JC08035 N.A Debentures Private Placement Taxable 1000 57400000 14-06-2019 13-06-2039 REFER Simple Once a year Utilities Non PSU Other Active
PRIVATE LIMITED CCD 13JU39 FVRS1000
REMARKS
ADYAH SOLAR ENERGY ADYAH SOLAR ENERGY PRIVATE LIMITED 14 Four times a
1195 INE01JR08017 Debentures Private Placement Taxfree 10 2160000000 02-02-2021 27-01-2046 14% Simple Energy Non PSU Other Active
PRIVATE LIMITED CCD 27JN46 FVRS10 year
RAJ BUILDWELL PRIVATE RAJ BUILDWELL PRIVATE LIMITED 16 NCD Four times a
1196 INE01JU07013 N.A. Debentures Private Placement Taxable 9739.41 1600000000 21-09-2018 20-09-2023 16% Simple Utilities Non PSU Other Active
LIMITED 20SP23 FVRS9739.41 year
GOEL GANGA INDIA PRIVATE GOEL GANGA INDIA PRIVATE LIMITED 13.75 Twelve times a
1197 INE01KC07019 ONE SERIES Debentures Private Placement Taxable 10000000 550000000 27-03-2017 27-03-2022 13.75% Simple Industrial Non PSU Other Active
LIMITED NCD 27MR22 FVRS1CR year
GOEL GANGA INDIA PRIVATE GOEL GANGA INDIA PRIVATE LIMITED SERIES Compounding Four times a
1198 INE01KC07027 SERIES ONE Debentures Private Placement Taxable 1000000 2250000000 25-06-2019 31-03-2024 16.5% Industrial Non PSU Other Active
LIMITED ONE 16.5 LOA 31MR24 FVRS10LAC year
ATS GRAND REALTORS ATS GRAND REALTORS PRIVATE LIMITED SR A Compounding Four times a
1201 INE01KX07023 SERIES A Debentures Private Placement Taxable 1000000 300000000 12-12-2019 30-06-2024 6% Industrial Non PSU NBFC Active
PRIVATE LIMITED 6 OCD 30JU24 FVRS10LAC year
ATS GRAND REALTORS ATS GRAND REALTORS PRIVATE LIMITED SR B Compounding Four times a
1202 INE01KX07031 SERIES B Debentures Private Placement Taxable 1000000 139000000 12-12-2019 30-06-2024 6% Industrial Non PSU NBFC Active
PRIVATE LIMITED 6 OCD 30JU24 FVRS10LAC year
INE01LM08014 APG HABITAT PRIVATE APG HABITAT PRIVATE LIMITED 1 OCD 09SP28
1206 N.A. Debentures Private Placement Taxable 100 40000000 06-09-2018 09-09-2028 1% Simple Once a year Utilities Non PSU Other Active
LIMITED FVRS100
LINKED TO
TRANSFER
PRICING
INE01LW08013 SPRNG ALT ENERGY PRIVATE SPRNG ALT ENERGY PRIVATE LIMITED BR OCD STUDY.
1209 N.A. Debentures Private Placement Taxable 10 1020000000 28-12-2018 27-06-2041 Simple Once a year Energy Non PSU Other Active
LIMITED 27JU41 FVRS10 CONTACT
ISSUER FOR
MORE
DETAILS
LINKED TO
TRANSFER
PRICING
INE01LW08021 SPRNG ALT ENERGY PRIVATE SPRNG ALT ENERGY PRIVATE LIMITED BR OCD STUDY.
1210 N.A. Debentures Private Placement Taxable 10 340000000 05-02-2019 04-08-2041 Simple Once a year Energy Non PSU Other Active
LIMITED 04AUG41 FVRS10 CONTACT
ISSUER FOR
MORE
DETAILS
INE01M307017 OZONE INFRA CON PRIVATE OZONE INFRA CON PRIVATE LIMITED SERIES C Consumer
1211 SERIES C Debentures Private Placement Taxable 100000 260000000 27-04-2018 27-04-2023 N.A. Non PSU Other Active
LIMITED NCD 27AP23 FVRS1LAC Services
INE01M307033 OZONE INFRA CON PRIVATE OZONE INFRA CON PRIVATE LIMITED SERIES B Consumer
1212 SERIES B Debentures Private Placement Taxable 100000 260000000 27-04-2018 27-04-2022 N.A. Non PSU Other Active
LIMITED NCD 27AP22 FVRS1LAC Services
INE01M307058 OZONE INFRA CON PRIVATE OZONE INFRA CON PRIVATE LIMITED SERIES B Consumer
1213 SERIES B Debentures Private Placement Taxable 100000 260000000 27-04-2018 31-03-2022 N.A. Non PSU Other Active
LIMITED NCD 31MR22 FVRS1LAC Services
INE01M307066 OZONE INFRA CON PRIVATE OZONE INFRA CON PRIVATE LIMITED SERIES C Consumer
1214 SERIES C Debentures Private Placement Taxable 100000 260000000 27-04-2018 31-03-2023 N.A. Non PSU Other Active
LIMITED NCD 31MR23 FVRS1LAC Services
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE01N607019 AZURE POWER EARTH AZURE POWER EARTH PRIVATE LIMITED 9.95
1215 N.A. Debentures Private Placement Taxable 10000 3934000000 09-10-2019 20-12-2024 9.95% Simple Twice a year Energy Non PSU Other Active
PRIVATE LIMITED NCD 20DC24 FVRS10000
WINGREENS FARMS PRIVATE WINGREENS FARMS PRIVATE LIMITED 16.50 Twelve times a
1216 INE01NJ07034 Debentures Private Placement Taxable 1000000 300000000 03-03-2021 05-03-2024 16.50% Simple Utilities Non PSU Other Active
LIMITED NCD 05MR24 FVRS10LAC year
Public Sector
MUNICIPAL CORPORATION MUNICIPAL CORPORATION BHOPAL SERIES I BWR AA (SO)/Stable;ACUITE
1224 INE01OI24013 SERIES I Bonds Private Placement Taxable 1000000 1750000000 26-09-2018 26-09-2028 9.55% Simple Twice a year Utilities Undertaking (PSU) Other Active
BHOPAL 9.55 BD 26SP28 FVRS10LAC AA(CE)/Stable
INE01Q808010 ADITYA BIRLA ARC LIMITED 11.50 NCD 19DC27 Compounding Four times a
1225 ADITYA BIRLA ARC LIMITED Debentures Private Placement Taxable 100000 3537800000 20-12-2019 19-12-2027 11.50% Finance Non PSU Other Active
FVRS1LAC year
INE01Q808028 ADITYA BIRLA ARC LIMITED 11.5 NCD 19FB28 Compounding Four times a
1226 ADITYA BIRLA ARC LIMITED N.A Debentures Private Placement Taxable 100000 244100000 20-02-2020 19-02-2028 11.5% Finance Non PSU Other Active
FVRS1LAC year
Compounding
1249 INE01V207018 UP MONEY LIMITED 1 UPML 14.25 20072023 Debentures Bonus Taxable 1000 21-08-2015 20-07-2023 14.25 On Maturity Finance Non PSU NBFC Active
Four times a
1250 INE01V207059 UP MONEY LIMITED 5 UPML 13.25 04082027 Debentures Bonus Taxable 1000 05-08-2017 04-08-2027 13.25 Simple Finance Non PSU NBFC Active
year
Twelve times a
1255 INE01V208016 UP MONEY LIMITED B UPML 13.25 02052026 Debentures Bonus Taxable 1000 03-05-2018 02-05-2026 13.25 Simple Finance Non PSU NBFC Active
year
NIFTY 50
INE01WN07011 MOTILAL OSWAL FINVEST MOTILAL OSWAL FINVEST LIMITED SR M-1 BR
1264 SERIES M-1/F.Y. 21/F.Y.24 Debentures Private Placement Taxable 1000000 1000000000 18-09-2020 18-04-2023 INDEX Simple On Maturity CRISIL PP-MLD AA-r/Stable Finance Non PSU Other Active
LIMITED NCD 18AP23 FVRS10LAC
LINKED
NIFTY 50
INE01WN07029 MOTILAL OSWAL FINVEST MOTILAL OSWAL FINVEST LIMITED SR M-2/FY
1265 SERIES M-2/F.Y. 21/F.Y.24 Debentures Private Placement Taxable 1000000 500000000 20-11-2020 20-07-2023 INDEX Simple On Maturity CRISIL PP-MLD AA-r/Stable Finance Non PSU Other Active
LIMITED 21/FY24 BR NCD 20JL23 FRS10LAC
LINKED
AZURE POWER THIRTY FOUR AZURE POWER THIRTY FOUR PRIVATE LIMITED
1273 INE01Y307013 N.A. Debentures Private Placement Taxable 10000 5237810000 11-10-2019 20-12-2024 10.25% Simple Twice a year Energy Non PSU Other Active
PRIVATE LIMITED 10.25 NCD 20DC24 FVRS10000
Public Sector
INE020B07GU0 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION CARE AAA/Stable;CRISIL AAA;ICRA
1280 SERIES 2 A Bonds Private Placement Taxfree 1000000 21-11-2012 21-11-2022 7.21% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-2 A 7.21 BD 21NV22 FVRS10LAC AAA/Stable;IND AAA/Stable
Public Sector
INE020B07GV8 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION ICRA AAA/Stable;IND
1281 Bonds Private Placement Taxfree 1000000 2400000000 21-11-2012 21-11-2027 7.38% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-2 B 7.38 BD 21NV27 FVRS10LAC AAA/Stable;CRISIL AAA;CARE
AAA/Stable
Public Sector
INE020B07GW6 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION CARE AAA/Stable;IND
1282 TRANCHE 1 SERIES 1 Bonds Rights Issue Taxfree 1000 10089492000 19-12-2012 19-12-2022 7.22% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED 7.22 BD 19DC22 FVRS1000 AAA/Stable;CRISIL AAA;ICRA
AAA/Stable
Public Sector
INE020B07GX4 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION CARE AAA/Stable;IND
1283 Bonds Public Issue Taxfree 1000 19-12-2012 19-12-2027 7.38% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED 7.38 BD 19DC27 FVRS1000 AAA/Stable;CRISIL AAA;ICRA
AAA/Stable
6.88%
RURAL ELECTRIFICATION CORPORATION Public Sector
INE020B07GY2 RURAL ELECTRIFICATION (ADDITIONAL CARE AAA/Stable;ICRA
1284 LIMITED SR-1 6.88/7.38 BD 25MR23 FVRS1000 Bonds Public Issue Taxfree 1000 25-03-2013 25-03-2023 Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED 0.50% TO RIs) AAA/Stable;IND AAA/Stable;CRISIL
AAA
7.04%
RURAL ELECTRIFICATION CORPORATION Public Sector
INE020B07GZ9 RURAL ELECTRIFICATION (ADDITIONAL CARE AAA/Stable;IND
1285 LIMITED SR-2 7.04/7.54 BD 25MR28 FVRS1000 Bonds Public Issue Taxfree 1000 25-03-2013 25-03-2028 Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED 0.50% TO RIs) AAA/Stable;CRISIL AAA;ICRA
AAA/Stable
Public Sector
INE020B07HM5 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION
1286 Bonds Taxfree 1000000 29-08-2013 29-08-2023 8.01% Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-3A 8.01 BD 29AG23 FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
INE020B07HN3 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION
1287 Bonds Taxfree 1000000 29-08-2013 29-08-2028 8.46% Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-3B 8.46 BD 29AG28 FVRS10LAC
Public Sector
INE020B07HO1 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION CRISIL AAA;CARE AAA/Stable;ICRA
1288 Bonds Public Issue Taxfree 1000 24-09-2013 24-09-2023 8.01% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-1A 8.01 BD 24SP23 FVRS1000 AAA/Stable;IND AAA/Stable
Public Sector
INE020B07HP8 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION CRISIL AAA;CARE AAA/Stable;ICRA
1289 Bonds Public Issue Taxfree 1000 24-09-2013 24-09-2028 8.46% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-2A 8.46 BD 24SP28 FVRS1000 AAA/Stable;IND AAA/Stable
Public Sector
INE020B07HQ6 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION CRISIL AAA;IND AAA/Stable;ICRA
1290 Bonds Taxfree 1000 24-09-2013 24-09-2033 8.37% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-3A 8.37 BD 24SP33 FVRS1000 AAA/Stable;CARE AAA/Stable
Public Sector
INE020B07HR4 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION
1291 Bonds Taxfree 1000 24-09-2013 24-09-2023 8.26% Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-1B 8.26 BD 24SP23 FVRS1000
Public Sector
INE020B07HS2 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION
1292 2B Bonds Private Placement Taxfree 1000 8584432000 24-09-2013 24-09-2028 8.71% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-2B 8.71 BD 24SP28 FVRS1000
Public Sector
INE020B07HT0 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION
1293 Bonds Taxfree 1000 334298000 24-09-2013 24-09-2033 8.62% Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-3B 8.62 BD 24SP33 FVRS1000
Public Sector
INE020B07HU8 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION ICRA AAA/Stable;IND
1294 Bonds Private Placement Taxfree 1000000 1050000000 11-10-2013 11-10-2023 8.18% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-4A 8.18 BD 11OT23 FVRS10LAC AAA/Stable;CARE AAA/Stable;CRISIL
AAA
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
INE020B07HV6 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION ICRA AAA/Stable;CARE
1295 Bonds Private Placement Taxfree 1000000 11-10-2013 11-10-2028 8.54% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-4B 8.54 BD 11OT28 FVRS10LAC AAA/Stable;CRISIL AAA;IND
AAA/Stable
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION CARE AAA/Stable;CRISIL AAA;IND
1302 INE020B07IW2 123RD Bonds Private Placement Taxable 1000000 15150000000 17-07-2014 17-07-2021 9.4% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-123 9.4 BD 17JL21 FVRS10LAC AAA/Stable;ICRA AAA/Stable
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION CARE AAA/Stable;ICRA
1304 INE020B07JO7 5-A Bonds Private Placement Taxfree 1000000 3000000000 23-07-2015 23-07-2025 7.17% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-5A 7.17 BD 23JL25 FVRS10LAC AAA/Stable;IND AAA/Stable;CRISIL
AAA
CARE AAA/Stable;CRISIL
INE020B07KW8 REC LIMITED SR-XII 5.75 BD 30JU23 FVRS10000
1313 REC LIMITED SERIES XII Bonds Private Placement Taxable 10000 10000000000 30-06-2018 30-06-2023 5.75% Simple Once a year AAA/Stable;IND AAA/Stable;ICRA Active
AAA/Stable
CARE AAA/Stable;IND
1315 INE020B07KY4 REC LIMITED REC LIMITED 5.75 BD 31AG23 FVRS10000 Bonds Private Placement Taxable 10000 10000000000 31-08-2018 31-08-2023 5.75% Simple Once a year Active
AAA/Stable;CRISIL AAA/Stable;ICRA
AAA/Stable
CRISIL AAA/Stable;CARE
1318 INE020B07LB0 REC LIMITED N.A. REC LIMITED 5.75 BD 30NV23 FVRS10000 Bonds Private Placement Taxable 10000 2098550000 30-11-2018 30-11-2023 5.75% Simple Once a year AAA/Stable;IND AAA/Stable;ICRA Active
AAA/Stable
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
CRISIL AAA/Stable;IND
1319 INE020B07LC8 REC LIMITED N.A. REC LIMITED 5.75 BD 31DC23 FVRS10000 Bonds Private Placement Taxable 10000 10000000000 31-12-2018 31-12-2023 5.75% Simple Once a year Active
AAA/Stable;ICRA AAA/Stable;CARE
AAA/Stable
CARE AAA/Stable;ICRA
1321 INE020B07LE4 REC LIMITED N.A. REC LIMITED 5.75 BD 28FB24 FVRS10000 Bonds Private Placement Taxable 10000 2620440000 28-02-2019 28-02-2024 5.75% Simple Once a year Active
AAA/Stable;CRISIL AAA/Stable;IND
AAA/Stable
CRISIL AAA/Stable;CARE
REC LIMITED 5.75 SR XII BD 31MR24 FVRS10000
1322 INE020B07LF1 REC LIMITED SERIES XII Bonds Private Placement Taxable 10000 3593130000 31-03-2019 31-03-2024 5.75% Simple Once a year AAA/Stable;IND AAA/Stable;ICRA Active
AAA/Stable
CRISIL AAA/Stable;CARE
INE020B07LG9 REC LIMITED SERIES XIII 5.75 BD 30AP24
1323 REC LIMITED SERIES XIII Bonds Private Placement Taxable 10000 1464030000 30-04-2019 30-04-2024 5.75% Simple Once a year AAA/Stable;ICRA AAA/Stable;IND Active
FVRS10000
AAA/Stable
CRISIL AAA/Stable;CARE
INE020B07LO3 REC LIMITED SERIES XIII 5.75 BD 31DC24
1331 REC LIMITED SERIES XIII Bonds Private Placement Taxable 10000 25000000000 31-12-2019 31-12-2024 5.75% Simple Once a year AAA/Stable;ICRA AAA/Stable;IND Active
FVRS10000
AAA/Stable
CARE AAA/Stable;CRISIL
REC LIMITED SERIES XIII 5.75 BD 31JA25
1332 INE020B07LP0 REC LIMITED SERIES XIII Bonds Private Placement Taxable 10000 25000000000 31-01-2020 31-01-2025 5.75% Simple Once a year AAA/Stable;ICRA AAA/Stable;IND Active
FVRS10000
AAA/Stable
CARE AAA/Stable;ICRA
1341 INE020B07LY2 REC LIMITED SERIES XIV REC LIMITED SR XIV 5 BD 31OT25 FVRS10000 Bonds Private Placement Taxable 10000 25000000000 31-10-2020 31-10-2025 5% Simple On Maturity Active
AAA/Stable;CRISIL AAA/Stable
ICRA AAA/Stable;CRISIL
1342 INE020B07LZ9 REC LIMITED SERIES-XIV REC LIMITED SR XIV 5 BD 30NV25 FVRS10000 Bonds Private Placement Taxable 10000 25000000000 30-11-2020 30-11-2025 5% Once a year Active
AAA/Stable;CARE AAA/Stable
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
INE020B07ME2 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION ICRA AAA/Stable;CRISIL
1347 SERIES XV 54EC Bonds Private Placement Taxable 10000 4236170000 30-04-2021 30-04-2026 5% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR XV 5 BD 30AP26 FVRS10000 AAA/Stable;IND AAA/Stable;CARE AAA
Public Sector
INE020B07MF9 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION IND AAA/Stable;CARE AAA;CRISIL
1348 SERIES XV Bonds Private Placement Taxable 10000 1414140000 31-05-2021 31-05-2026 5% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR XV 5 BD 31MY26 FVRS10000 AAA/Stable;ICRA AAA/Stable
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION ICRA AAA/Stable;IND
1349 INE020B08427 94 Bonds Private Placement Taxable 1000000 08-06-2010 08-06-2025 8.75% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED 8.75 BD 08JU25 FVRS10LAC AAA/Stable;CRISIL AAA/Stable
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION CRISIL AAA/Stable;ICRA
1350 INE020B08443 SERIES 95-II Bonds Private Placement Taxable 1000000 12-07-2010 12-07-2025 8.75% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED 8.75 BD 12JL25 FVRS10LAC AAA/Stable;IND AAA/Stable
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION ICRA AAA/Stable;CRISIL
1351 INE020B08567 SERIES 100 Bonds Private Placement Taxable 1000000 15-07-2011 15-07-2021 9.63% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-100 9.63 BD 15JL21 FVRS10LAC AAA/Stable;CARE AAA;IND AAA/Stable
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION ICRA AAA/Stable;IND
1353 INE020B08641 SERIES 105 Bonds Private Placement Taxable 1000000 39222000000 11-11-2011 11-11-2021 9.75% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-105 9.75 BD 11NV21 FVRS10LAC AAA/Stable;CRISIL AAA/Stable
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION Compounding CRISIL AAA/Stable;ICRA
1354 INE020B08708 Bonds Private Placement Taxable 5000 15-02-2012 15-02-2022 8.95% On Maturity Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED OP-V 8.95 BD 15FB22 FVRS5000 AAA/Stable;CARE AAA
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION CARE AAA;ICRA AAA/Stable;CRISIL
1355 INE020B08716 Bonds Private Placement Taxable 5000 15-02-2012 15-02-2022 8.95% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED OP-VI 8.95 BD 15FB22 FVRS5000 AAA/Stable
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION Compounding CARE AAA;CRISIL AAA/Stable;ICRA
1356 INE020B08724 Bonds Private Placement Taxable 5000 15-02-2012 15-02-2027 9.15% On Maturity Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-VII 9.15 BD 15FB27 FVRS5000 AAA/Stable
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION ICRA AAA/Stable;CRISIL
1357 INE020B08732 Bonds Private Placement Taxable 5000 15-02-2012 15-02-2027 9.15% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED OP-VIII 9.15 BD 15FB27 FVRS5000 AAA/Stable;CARE AAA
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION CRISIL AAA/Stable;CARE AAA;IND
1358 INE020B08740 SERIES 107 Bonds Private Placement Taxable 1000000 23704000000 15-06-2012 15-06-2022 9.35% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-107 9.35 BD 15JU22 FVRS10LAC AAA/Stable
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION CRISIL AAA/Stable;IND
1360 INE020B08831 114 Bonds Private Placement Taxable 1000000 43000000000 12-04-2013 12-04-2023 8.82% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-114 8.82 BD 12AP23 FVRS10LAC AAA/Stable;ICRA AAA/Stable;CARE
AAA
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION ICRA AAA/Stable;CRISIL
1361 INE020B08849 SERIES 115 Bonds Private Placement Taxable 1000000 24690000000 31-05-2013 31-05-2023 8.06% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-115 8.06 BD 31MY23 FVRS10LAC AAA/Stable;CARE AAA
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION IND AAA/Stable;ICRA
1362 INE020B08872 127TH Bonds Private Placement Taxable 1000000 15500000000 04-12-2014 04-12-2021 8.44% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-127 8.44 BD 04DC21 FVRS10LAC AAA/Stable;CARE AAA/Stable;CRISIL
AAA
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION CARE AAA/Stable;ICRA
1363 INE020B08880 128TH Bonds Private Placement Taxable 1000000 22500000000 22-12-2014 21-12-2024 8.57% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-128 8.57 BD 21DC24 FVRS10LAC AAA/Stable;IND AAA/Stable;CRISIL
AAA
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION CARE AAA/Stable;CRISIL AAA;IND
1364 INE020B08898 129TH Bonds Private Placement Taxable 1000000 19250000000 23-01-2015 23-01-2025 8.23% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-129 8.23 BD 23JN25 FVRS10LAC AAA/Stable;ICRA AAA/Stable
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION ICRA AAA/Stable;CARE
1365 INE020B08906 130TH Bonds Private Placement Taxable 1000000 23250000000 06-02-2015 06-02-2025 8.27% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-130 8.27 BD 06FB25 FVRS10LAC AAA/Stable;IND AAA/Stable;CRISIL
AAA
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION CARE AAA/Stable;IND
1366 INE020B08914 131ST Bonds Private Placement Taxable 1000000 22850000000 23-02-2015 22-02-2025 8.35% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-131 8.35 BD 22FB25 FVRS10LAC AAA/Stable;CRISIL AAA;ICRA
AAA/Stable
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION
1367 INE020B08922 132ND Bonds Private Placement Taxable 1000000 7000000000 09-03-2015 09-03-2022 8.27% Simple Once a year IND AAA/Stable;CARE AAA/Stable Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-132 8.27 BD 09MR22 FVRS10LAC
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION CARE AAA/Stable;IND
1368 INE020B08930 133RD Bonds Private Placement Taxable 1000000 23960000000 10-04-2015 10-04-2025 8.3% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-133 8.3 BD 10AP25 FVRS10LAC AAA/Stable;CRISIL AAA
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION ICRA AAA/Stable;CRISIL AAA;CARE
1369 INE020B08963 136TH Bonds Private Placement Taxable 1000000 25850000000 07-10-2015 07-10-2025 8.11% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-136 8.11 BD 07OT25 FVRS10LAC AAA/Stable;IND AAA/Stable
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION CARE AAA/Stable;IND
1370 INE020B08997 139TH Bonds Private Placement Taxable 1000000 25000000000 21-10-2016 21-10-2021 7.24% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-139 7.24 BD 21OT21 FVRS10LAC AAA/Stable;CRISIL AAA;ICRA
AAA/Stable
Public Sector
INE020B08AA3 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION IND AAA/Stable;ICRA
1371 140TH Bonds Private Placement Taxable 1000000 21000000000 07-11-2016 07-11-2026 7.52% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-140 7.52 BD 07NV26 FVRS10LAC AAA/Stable;CRISIL AAA;CARE
AAA/Stable
Public Sector
INE020B08AB1 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION CARE AAA/Stable;IND
1372 141TH Bonds Private Placement Taxable 1000000 10200000000 09-12-2016 09-12-2021 7.14% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-141 7.14 BD 09DC21 FVRS10LAC AAA/Stable;ICRA AAA/Stable;CRISIL
AAA
Public Sector
INE020B08AC9 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION ICRA AAA/Stable;CARE
1373 142ND Bonds Private Placement Taxable 1000000 30000000000 30-12-2016 30-12-2026 7.54% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-142 7.54 BD 30DC26 FVRS10LAC AAA/Stable;IND AAA/Stable;CRISIL
AAA
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION CARE AAA/Stable;ICRA
1374 INE020B08AF2 145TH Bonds Private Placement Taxable 1000000 6250000000 28-02-2017 28-02-2022 7.46% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-145 7.46 BD 28FB22 FVRS10LAC AAA/Stable;IND AAA/Stable;CRISIL
AAA
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
INE020B08AH8 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION CRISIL AAA;IND AAA/Stable;CARE
1375 147TH Bonds Private Placement Taxable 1000000 27450000000 14-03-2017 12-03-2027 7.95% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-147 7.95 BD 12MR27 FVRS10LAC AAA/Stable;ICRA AAA/Stable
Public Sector
INE020B08AK2 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION ICRA AAA/Stable;IND
1376 150TH Bonds Private Placement Taxable 1000000 26700000000 07-09-2017 07-09-2022 7.03% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-150 7.03 BD 07SP22 FVRS10LAC AAA/Stable;CRISIL AAA;CARE
AAA/Stable
Public Sector
INE020B08AM8 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION ICRA AAA/Stable;IND
1377 SERIES 152 Bonds Private Placement Taxable 1000000 12250000000 17-10-2017 17-10-2022 7.09% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-152 7.09 BD 17OT22 FVRS10LAC AAA/Stable;CARE AAA/Stable;CRISIL
AAA
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION IND AAA/Stable;CARE
1378 INE020B08AP1 SERIES 155 Bonds Private Placement Taxable 1000000 19120000000 30-11-2017 30-11-2022 7.45% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR 155 7.45 BD 30NV22 FVRS10LAC AAA/Stable;ICRA AAA/Stable;CRISIL
AAA
Public Sector
INE020B08AQ9 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION CRISIL AAA;IND AAA/Stable;CARE
1379 SERIES 156 Bonds Private Placement Taxable 1000000 35330000000 12-12-2017 10-12-2027 7.7% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR 156 7.7 BD 10DC27 FVRS10LAC AAA/Stable;ICRA AAA/Stable
Public Sector
RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION IND AAA/Stable;CRISIL AAA;ICRA
1380 INE020B08AT3 SERIES 159 Bonds Private Placement Taxable 1000000 9500000000 23-02-2018 23-02-2023 7.99% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR 159 7.99 BD 23FB23 FVRS10LAC AAA/Stable;CARE AAA/Stable
Public Sector
INE020B08AX5 RURAL ELECTRIFICATION GOI FULLY SERVCED RURAL ELECTRIFICATION CORPORATION CRISIL AAA;ICRA AAA/Stable;IND
1381 Bonds Private Placement Taxable 1000000 18370000000 21-03-2018 21-03-2028 8.09% Simple Twice a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED BOND SERIES-I LIMITED SR I 8.09 BD 21MR28 FVRS10LAC AAA/Stable;CARE AAA/Stable
Public Sector
RURAL ELECTRIFICATION GOI FULLY SERVCED RURAL ELECTRIFICATION CORPORATION IND AAA/Stable;CRISIL AAA;CARE
1382 INE020B08AY3 Bonds Private Placement Taxable 1000000 14100000000 26-03-2018 24-03-2028 8.01% Simple Twice a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED BOND SERIES-II LIMITED SR I 8.01 BD 24MR28 FVRS10LAC AAA/Stable;ICRA AAA/Stable
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
INE020B08AZ0 RURAL ELECTRIFICATION GOI FULLY SERVCED RURAL ELECTRIFICATION CORPORATION CRISIL AAA;ICRA AAA/Stable;CARE
1383 Bonds Private Placement Taxable 1000000 7530000000 27-03-2018 27-03-2028 8.06% Simple Twice a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED BOND SERIES-III LIMITED SR III 8.06 BD 27MR28 FVRS10LAC AAA/Stable;IND AAA/Stable
Public Sector
INE020B08BA1 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION ICRA AAA/Stable;CRISIL
1384 SERIES 162 Bonds Private Placement Taxable 1000000 25000000000 09-08-2018 09-08-2028 8.55% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR-162 8.55 BD 09AG28 FVRS10LAC AAA/Stable;IND AAA/Stable;CARE
AAA/Stable
Public Sector
INE020B08BB9 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION ICRA AAA/Stable;CARE
1385 SERIES 163 Bonds Private Placement Taxable 1000000 25000000000 27-08-2018 25-08-2028 8.63% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR 163 8.63 BD 25AG28 FVRS10LAC AAA/Stable;CRISIL AAA/Stable;IND
AAA/Stable
CARE AAA/Stable;CRISIL
INE020B08BQ7 REC LIMITED SR 176 8.85 BD 16AP29
1397 REC LIMITED 176 Bonds Private Placement Taxable 1000000 16007000000 16-04-2019 16-04-2029 8.85% Simple Once a year AAA/Stable;IND AAA/Stable;ICRA Active
FVRS10LAC
AAA/Stable
INE020B08CE1 REC LIMITED SERIES 186A 6.90 NCD 30JU22 CRISIL AAA/Stable;IND
1409 REC LIMITED SERIES 186A Bonds Private Placement Taxable 1000000 25000000000 26-11-2019 30-06-2022 6.90% Simple Once a year Active
FVRS10LAC AAA/Stable;CARE AAA/Stable;ICRA
AAA/Stable
INE020B08CH4 REC LIMITED SERIES 188A 7.12 NCD 31MR23 ICRA AAA/Stable;CARE
1412 REC LIMITED SERIES 188A Bonds Private Placement Taxable 1000000 14000000000 08-01-2020 31-03-2023 7.12% Simple Once a year Active
FVRS10LAC AAA/Stable;IND AAA/Stable;CRISIL
AAA/Stable
CRISIL AAA/Stable;CARE
INE020B08CN2 REC LIMITED SR 191A 6.80 BD 30JU23
1418 REC LIMITED SERIES 191A Bonds Private Placement Taxable 1000000 11000000000 25-02-2020 30-06-2023 6.80% Simple Once a year AAA/Stable;ICRA AAA/Stable;IND Active
FVRS10LAC
AAA/Stable
CRISIL AAA/Stable;CARE
INE020B08CX1 REC LIMITED SR 199 7.96 BD 15JU30
1428 REC LIMITED SERIES 199 Bonds Private Placement Taxable 1000000 19995000000 08-06-2020 15-06-2030 7.96% Simple Once a year AAA/Stable;ICRA AAA/Stable;IND Active
FVRS10LAC
AAA/Stable
5.36%,10
REC LIMITED SR 200 BR BD 30JU23 FVRS10LAC Compounding ICRA PP-MLD AAA/Stable;CRISIL PP-
1429 INE020B08CY9 REC LIMITED SERIES 200 Bonds Private Placement Taxable 1000000 5000000000 08-07-2020 30-06-2023 YEAR GSEC On Maturity Active
MLD AAAr/Stable
LINKED
Public Sector
INE020B08DO8 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION CARE AAA;IND AAA/Stable;ICRA
1445 SERIES 208 Bonds Private Placement Taxable 1000000 36138000000 12-03-2021 15-03-2036 7.40% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR 208 7.40 BD 15MR36 FVRS10LAC AAA/Stable;CRISIL AAA/Stable
Public Sector
INE020B08DP5 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION ICRA AAA/Stable;IND
1446 SERIES 209 Bonds Private Placement Taxable 1000000 15500000000 19-03-2021 20-03-2024 5.79% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR 209 5.79 BD 20MR24 FVRS10LAC AAA/Stable;CARE AAA;CRISIL
AAA/Stable
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
INE020B08DR1 RURAL ELECTRIFICATION RURAL ELECTRIFICATION CORPORATION ICRA AAA/Stable;CARE AAA;CRISIL
1448 SERIES 210 Bonds Private Placement Taxable 1000000 40000000000 22-04-2021 20-06-2024 5.74% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR 210 5.74 BD 20JU24 FVRS10LAC AAA/Stable;IND AAA/Stable
WONDER CITY BUILDCON WONDER CITY BUILDCON PRIVATE LIMITED SR Compounding Four times a
1452 INE023408029 TR I & II Debentures Private Placement Taxable 1000 1235000000 25-06-2014 29-06-2021 12% Utilities Non PSU Other Active
PRIVATE LIMITED TR I & II 12 CCD 29JU21 FVRS1000 year
RESET RATE
INE023O07087 NIRMAL LIFESTYLE LIMITED SR-A RR NCD Compounding Four times a
1453 NIRMAL LIFESTYLE LIMITED SERIES A Debentures Private Placement Taxable 10000000 2380000000 26-09-2016 30-09-2021 (REFER Industrial Non PSU Other Active
30SP21 FVRS1CR year
REMARKS)
RESET RATE
INE023O07129 NIRMAL LIFESTYLE LIMITED SR-B RR NCD Compounding Four times a
1454 NIRMAL LIFESTYLE LIMITED SERIES B Debentures Private Placement Taxable 10000000 620000000 29-12-2017 30-09-2021 (REFER Industrial Non PSU Other Active
30SP21 PPRS8467000 year
REMARKS)
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SBI BASE
INE026N08015 JAIPUR-MAHUA TOLLWAY JAIPUR-MAHUA TOLLWAY PRIVATE LIMITED SR- RATE LINKE Four times a Consumer
1458 N.A. Debentures Private Placement Taxable 100 1093687100 12-05-2015 22-05-2031 Simple Non PSU Other Active
PRIVATE LIMITED 1 BR NCD 22MY31 FVRS100 + 500 BASIS year Services
POINTS
L&T FINANCE LIMITED SR-M 7.71 NCD 08AG22 ICRA AAA/Negative;CARE AAA/Stable
1464 INE027E07543 L&T FINANCE LIMITED M OF FY 2017-18 Debentures Private Placement Taxable 2500000 5000000000 08-08-2017 08-08-2022 7.71% Simple Once a year Finance Non PSU NBFC Active
FVRS25LAC
L&T FINANCE LIMITED SR-N 7.7 NCD 06OT22 CARE AAA/Stable;ICRA AAA/Negative
1465 INE027E07550 L&T FINANCE LIMITED N OF FY 2017-18 Debentures Private Placement Taxable 2500000 8100000000 06-10-2017 06-10-2022 7.7% Simple Once a year Finance Non PSU NBFC Active
FVRS25LAC
L&T FINANCE LIMITED SR-T 7.95 NCD 12DC22 ICRA AAA/Negative;CARE AAA/Stable
1466 INE027E07618 L&T FINANCE LIMITED SERIES T OF FY 2017-18 Debentures Private Placement Taxable 2500000 5850000000 12-12-2017 12-12-2022 7.95% Simple Once a year Finance Non PSU NBFC Active
FVRS25LAC
SERIES C OF FY 2018-19 L&T FINANCE LIMITED SR-C OPT-1 8.9499 NCD Compounding
1468 INE027E07675 L&T FINANCE LIMITED Debentures Private Placement Taxable 1000000 5000000000 06-07-2018 10-06-2022 8.9499% On Maturity IND AAA/Stable;CARE AAA/Stable Finance Non PSU NBFC Active
OPTION -1 10JU22 FVRS10LAC
SERIES D OF FY 2018-19 L&T FINANCE LIMITED SR-D OPT-1 8.9248 NCD Compounding
1470 INE027E07691 L&T FINANCE LIMITED Debentures Private Placement Taxable 1000000 5250000000 20-07-2018 30-07-2021 8.9248% On Maturity IND AAA/Stable;CARE AAA/Stable Finance Non PSU NBFC Active
OPTION 1 30JL21 FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES D OF FY 2018-19 L&T FINANCE LIMITED SR-D OPT-2 8.9492 NCD Compounding
1471 INE027E07709 L&T FINANCE LIMITED Bonds Private Placement Taxable 1000000 8600000000 20-07-2018 16-08-2021 8.9492% On Maturity IND AAA/Stable;CARE AAA/Stable Finance Non PSU NBFC Active
OPTION -2 16AG21 FVRS10LAC
L&T FINANCE LIMITED SR IV OPT 1 8.75 LOA Twelve times a ;ICRA AAA/Negative;IND
1484 INE027E07949 L&T FINANCE LIMITED SERIES III OPTION 2 Debentures Public Issue Taxable 1000 17612000 13-03-2019 13-03-2024 8.75% Simple Finance Non PSU NBFC Active
13MR24 FVRS1000 year AAA/Stable;CARE AAA/Stable
L&T FINANCE LIMITED SR IV OPT 2 8.89 LOA Twelve times a ICRA AAA/Negative;CARE
1485 INE027E07956 L&T FINANCE LIMITED SERIES IV OPTION 2 Debentures Public Issue Taxable 1000 600691000 13-03-2019 13-03-2024 8.89% Simple Finance Non PSU NBFC Active
13MR24 FVRS1000 year AAA/Stable;IND AAA/Stable
L&T FINANCE LIMITED SR VI OPT 1 8.84 LOA Twelve times a CARE AAA/Stable;ICRA
1488 INE027E07980 L&T FINANCE LIMITED SERIERS VI OPTION 1 Debentures Public Issue Taxable 1000 7025000 13-03-2019 13-03-2029 8.84% Simple Finance Non PSU NBFC Active
13MR29 FVRS1000 year AAA/Negative;IND AAA/Stable
L&T FINANCE LIMITED SR VI OPT 2 8.98 LOA Twelve times a IND AAA/Stable;ICRA
1489 INE027E07998 L&T FINANCE LIMITED Debentures Public Issue Taxable 1000 1017456000 13-03-2019 13-03-2029 8.98% Simple Finance Non PSU NBFC Active
13MR29 FVRS1000 year AAA/Negative;CARE AAA/Stable
INE027E07AG1 L&T FINANCE LIMITED SR IV OPT 1 8.48 LOA Twelve times a ICRA AAA/Negative;IND
1496 L&T FINANCE LIMITED SERIES IV OPT 1 Debentures Public Issue Taxable 1000 15527000 15-04-2019 15-04-2024 8.48% Finance Non PSU NBFC Active
15AP24 FVRS1000 year AAA/Stable;CARE AAA/Stable
INE027E07AH9 L&T FINANCE LIMITED SERIES IV OPT 2 8.66 Twelve times a ICRA AAA/Negative;IND
1497 L&T FINANCE LIMITED SERIES IV OPT 2 Debentures Public Issue Taxable 1000 219008000 15-04-2019 15-04-2024 8.66% Finance Non PSU NBFC Active
LOA 15AP24 FVRS1000 year AAA/Stable;CARE AAA/Stable
INE027E07AM9 L&T FINANCE LIMITED SR VII OPT 1 8.52 LOA Twelve times a ICRA AAA/Negative;IND
1502 L&T FINANCE LIMITED SERIES VII OPT 1 Debentures Public Issue Taxable 1000 4547000 15-04-2019 15-04-2027 8.52% Finance Non PSU NBFC Active
15AP27 FVRS1000 year AAA/Stable;CARE AAA/Stable
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE027E07AN7 L&T FINANCE LIMITED SR VII OPT 2 8.70 LOA Twelve times a CARE AAA/Stable;IND
1503 L&T FINANCE LIMITED SERIES VII OPT 2 Debentures Public Issue Taxable 1000 174848000 15-04-2019 15-04-2027 8.70% Finance Non PSU NBFC Active
15AP27 FVRS1000 year AAA/Stable;ICRA AAA/Negative
INE027E07AQ0 L&T FINANCE LIMITED SR C 8.55 NCD 31JL26 CARE AAA/Stable;ICRA AAA/Negative
1506 L&T FINANCE LIMITED SERIES C FY 2019-20 Debentures Private Placement Taxable 1000000 2650000000 31-07-2019 31-07-2026 8.55% Simple Once a year Finance Non PSU NBFC Active
FVRS10LAC
INE027E07AU2 L&T FINANCE LIMITED SR II OPT 4 LOA 23DC22 Compounding CRISIL AAA/Stable;CARE
1510 L&T FINANCE LIMITED SERIES II OPTION 4 Debentures Public Issue Taxable 1000 623309000 23-12-2019 23-12-2022 N.A Finance Non PSU NBFC Active
FVRS1000 AAA/Stable;IND AAA/Stable
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
L&T FINANCE LIMITED SR III OPT 5 7.96 LOA Twelve times a CARE AAA/Stable;CRISIL
1511 INE027E07AV0 L&T FINANCE LIMITED SERIES III OPTION 5 Debentures Public Issue Taxable 1000 8500000 23-12-2019 23-12-2022 7.96% Simple Finance Non PSU NBFC Active
23DC22 FVRS1000 year AAA/Stable;IND AAA/Stable
INE027E07AW8 L&T FINANCE LIMITED SR III OPT 6 8.15 LOA Twelve times a CARE AAA/Stable;IND
1512 L&T FINANCE LIMITED SERIES III OPTION 6 Debentures Public Issue Taxable 1000 433634000 23-12-2019 23-12-2022 8.15% Simple Finance Non PSU NBFC Active
23DC22 FVRS1000 year AAA/Stable;CRISIL AAA/Stable
L&T FINANCE LIMITED SR V OPT 9 8.15 LOA Twelve times a CRISIL AAA/Stable;IND
1515 INE027E07AZ1 L&T FINANCE LIMITED SERIES V OPTION 9 Debentures Public Issue Taxable 1000 7946000 23-12-2019 23-12-2024 8.15% Simple Finance Non PSU NBFC Active
23DC24 FVRS1000 year AAA/Stable;CARE AAA/Stable
L&T FINANCE LIMITED SR V OPT 10 8.29 LOA Twelve times a CRISIL AAA/Stable;IND
1516 INE027E07BA2 L&T FINANCE LIMITED SERIES V OPTION 10 Debentures Public Issue Taxable 1000 753086000 23-12-2019 23-12-2024 8.29% Simple Finance Non PSU NBFC Active
23DC24 FVRS1000 year AAA/Stable;CARE AAA/Stable
BASE RATE-
L&T FINANCE LIMITED SR E BR NCD 17AG22 Compounding
1525 INE027E07BJ3 L&T FINANCE LIMITED SERIES E Debentures Private Placement Taxable 1000000 500000000 17-08-2020 17-08-2022 REFER On Maturity CARE PP-MLD AAA Finance Non PSU NBFC Active
FVRS10LAC
REMARKS
L&T FINANCE LIMITED SR-F 10.9 BD 27MR24 Compounding ICRA AAA/Negative;CARE AAA/Stable
1532 INE027E08020 L&T FINANCE LIMITED SERIES F OF FY 2013-14 Bonds Private Placement Taxable 1000000 500000000 27-03-2014 27-03-2024 10.9% Once a year Finance Non PSU NBFC Active
FVRS10LAC
L&T FINANCE LIMITED SR-E 10.4 NCD 28JU24 ICRA AAA/Negative;CARE AAA/Stable
1533 INE027E08038 L&T FINANCE LIMITED SERIES E OF FY 2014-15 Debentures Private Placement Taxable 1000000 500000000 30-06-2014 28-06-2024 10.4% Simple Once a year Finance Non PSU NBFC Active
FVRS10LAC
SERIES F OF FY 2015-16 L&T FINANCE LIMITED SR-F 9.35 BD 29JN26 ICRA AAA/Negative;CARE AAA/Stable
1534 INE027E08046 L&T FINANCE LIMITED Bonds Private Placement Taxable 1000000 500000000 29-01-2016 29-01-2026 9.35% Simple Once a year Finance Non PSU NBFC Active
UB_DEBT FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES G OF FY 2015-16 L&T FINANCE LIMITED SR-G 9.35 BD 09FB26 ICRA AAA/Negative;CARE AAA/Stable
1535 INE027E08053 L&T FINANCE LIMITED Bonds Private Placement Taxable 1000000 300000000 09-02-2016 09-02-2026 9.35% Simple Once a year Finance Non PSU NBFC Active
SUB_DEBT FVRS10LAC
SERIES H OF FY 2015-16 L&T FINANCE LIMITED SR-H 9.48 BD 04MR26 ICRA AAA/Negative;CARE AAA/Stable
1536 INE027E08061 L&T FINANCE LIMITED Bonds Private Placement Taxable 1000000 500000000 04-03-2016 04-03-2026 9.48% Simple Once a year Finance Non PSU NBFC Active
SUB_DEBT FVRS10LAC
RESET RATE
SERIES OF FY 2015-16 L&T FINANCE LIMITED SR-I RR NCD ICRA AA+/Negative;CARE AA+/Stable
1537 INE027E08079 L&T FINANCE LIMITED Debentures Private Placement Taxable 1000000 500000000 30-03-2016 31-12-9999 (REFER Simple Once a year Finance Non PSU NBFC Active
PERPETUAL DEBT PERPETUAL FVRS10LAC
REMARKS)
Public Sector
BANK OF BARODA SR-XVI 9.8 BD 01NV23
1540 INE028A08042 BANK OF BARODA Series XVI Debentures Private Placement Taxable 1000000 10000000000 01-11-2013 01-11-2023 9.8% Simple Once a year CRISIL AAA/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC LOAUPTO 11NV13
Public Sector
BANK OF BARODA 9.73 BD 17DC23 FVRS10LAC
1541 INE028A08059 BANK OF BARODA SERIES XVII Bonds Private Placement Taxable 1000000 10000000000 17-12-2013 17-12-2023 9.73% Simple Once a year ICRA AAA/Stable;CRISIL AAA/Stable Finance Undertaking (PSU) Bank Active
LOA UPTO 22DC13
Public Sector
BANK OF BARODA SR-VI 8.5 BD PERPETUAL
1542 INE028A08083 BANK OF BARODA VI Bonds Private Placement Taxable 1000000 10000000000 02-12-2016 31-12-9999 8.5% Simple Once a year CARE AA/Stable;IND AA+/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
BANK OF BARODA SR-VII 9.14 BD PERPETUAL
1543 INE028A08091 BANK OF BARODA VII Bonds Private Placement Taxable 1000000 10000000000 22-03-2017 31-12-9999 9.14% Simple Once a year CARE AA/Stable;IND AA+/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
BANK OF BARODA SR-VIII 8.6 BD PERPETUAL IND AA+/Stable;CRISIL AA+/Negative
1544 INE028A08109 BANK OF BARODA VIII Bonds Private Placement Taxable 1000000 5000000000 01-08-2017 31-12-9999 8.6% Simple Once a year Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
BANK OF BARODA SR-IX 8.65 BD PERPETUAL CRISIL AA+/Negative;IND AA+/Stable
1545 INE028A08117 BANK OF BARODA IX Bonds Private Placement Taxable 1000000 8500000000 11-08-2017 31-12-9999 8.65% Simple Once a year Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
BANK OF BARODA SERIES XVIII 8.42 BD 07DC28
1546 INE028A08125 BANK OF BARODA SERIES XVIII Bonds Private Placement Taxable 1000000 9715000000 07-12-2018 07-12-2028 8.42% Simple Once a year IND AAA/Stable;CARE AAA/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
BANK OF BARODA SERIES XIX 8.40 BD 20DC28
1547 INE028A08133 BANK OF BARODA SERIES XIX Bonds Private Placement Taxable 1000000 2400000000 20-12-2018 20-12-2028 8.40% Simple Once a year CARE AAA/Stable;IND AAA/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
BANK OF BARODA SERIES XX 8.60 BD 10JN29
1548 INE028A08141 BANK OF BARODA SERIES XX Bonds Private Placement Taxable 1000000 2850000000 10-01-2019 10-01-2029 8.60% Simple Once a year IND AAA/Stable;CARE AAA/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
BANK OF BARODA SERIES XXI 8.55 BD 14FB29
1549 INE028A08158 BANK OF BARODA SERIES XXI Bonds Private Placement Taxable 1000000 4600000000 14-02-2019 14-02-2029 8.55% Simple Once a year IND AAA/Stable;CARE AAA/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
BANK OF BARODA SERIES X 8.70 NCD CRISIL AA+/Negative;IND AA+/Stable
1551 INE028A08174 BANK OF BARODA SERIES X Bonds Private Placement Taxable 1000000 16500000000 28-11-2019 31-12-9999 8.70% Simple Once a year Finance Undertaking (PSU) Bank Active
PERPATUAL FVRS10LAC
Public Sector
BANK OF BARODA SR XI 8.99 BD PERPETUAL CRISIL AA+/Negative;IND AA+/Stable
1552 INE028A08182 BANK OF BARODA SERIES XI Bonds Private Placement Taxable 1000000 17470000000 18-12-2019 31-12-9999 8.99% Simple Once a year Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
BANK OF BARODA SERIES XXIII 7.44 BD 03JN30
1553 INE028A08190 BANK OF BARODA SERIES XXIII Bonds Private Placement Taxable 1000000 9200000000 03-01-2020 03-01-2030 7.44% Simple Once a year CARE AAA;IND AAA/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
BANK OF BARODA SERIES XXIV 7.84 BD 15JN35
1554 INE028A08208 BANK OF BARODA SERIES XXIV Bonds Private Placement Taxable 1000000 20000000000 15-01-2020 15-01-2035 7.84% Simple Once a year IND AAA/Stable;CARE AAA Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
BANK OF BARODA SR XII 8.25 BD PERPETUAL CRISIL AA+/Negative;IND AA+/Stable
1555 INE028A08216 BANK OF BARODA SERIES XII Bonds Private Placement Taxable 1000000 7640000000 17-07-2020 31-12-9999 8.25% Simple Once a year Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
BANK OF BARODA SR XIII 8.50 BD PERPETUAL IND AA+/Stable;CRISIL AA+/Negative
1556 INE028A08224 BANK OF BARODA N.A Bonds Private Placement Taxable 1000000 9810000000 28-07-2020 31-12-9999 8.50% Simple Once a year Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
BANK OF BARODA SR XIV 8.50 BD PERPETUAL IND AA+/Stable;CRISIL AA+/Negative
1557 INE028A08232 BANK OF BARODA SERIES XIV Bonds Private Placement Taxable 1000000 8330000000 17-11-2020 31-12-9999 8.50% Simple Once a year Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
BANK OF BARODA SR XV 8.15 BD PERPETUAL CRISIL AA+/Negative;IND AA+/Stable
1558 INE028A08240 BANK OF BARODA SERIES XV Bonds Private Placement Taxable 1000000 9690000000 13-01-2021 31-12-9999 8.15% Simple Once a year Finance Undertaking (PSU) Bank Active
FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
BANK OF BARODA SR XVI 8.15 BD PERPETUAL CRISIL AA+/Negative;IND AA+/Stable
1559 INE028A08257 BANK OF BARODA SERIES XVI Bonds Private Placement Taxable 1000000 1880000000 28-01-2021 31-12-9999 8.15% Simple Once a year Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
CARE AA+/Stable;CRISIL
1560 INE028A09123 BANK OF BARODA Series XII BANK OF BARODA 8.54 BD 08JL24 FVRS10LAC Bonds Private Placement Taxable 1000000 5000000000 08-07-2009 08-07-2024 8.54% Simple Once a year Finance Undertaking (PSU) Bank Active
AAA/Stable;BWR AAA
INE02AD07016 SHRINE BUILDTECH PRIVATE SHRINE BUILDTECH PRIVATE LIMITED 14.9 LOA Compounding Twelve times a
1598 N.A. Debentures Private Placement Taxable 100000 400000000 09-11-2018 31-10-2021 14.90% Industrial Non PSU Other Active
LIMITED 31OT21 FVRS1LAC year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
RESET RATE
SEKURA ENERGY LIMITED CCD 28MR29 RR
1599 INE02AT08010 SEKURA ENERGY LIMITED N.A. Debentures Rights Issue Taxable 1000 2000000000 29-03-2019 28-03-2029 (REFER Simple Twice a year Utilities Non PSU Other Active
FVRS1000
REMARKS)
INE02BD07014 RAJESH UNISPACES PRIVATE RAJESH UNISPACES PRIVATE LIMITED 14 NCD Compounding Four times a
1621 N.A. Debentures Private Placement Taxable 10000000 680000000 24-10-2018 23-10-2022 14% Industrial Non PSU Other Active
LIMITED 23OT22 FVRS1CR year
ARYA CAPITAL MANAGEMENT ARYA CAPITAL MANAGEMENT PRIVATE Compounding Four times a
1623 INE02C607011 N.A. Debentures Private Placement Taxable 1000000 2700000000 13-12-2018 12-06-2023 7.00% Utilities Non PSU Other Active
PRIVATE LIMITED LIMITED 7 NCD 12JU23 FVRS10LAC year
VAYA FINSERV PRIVATE VAYA FINSERV PRIVATE LIMITED SR I 13.90 Compounding Four times a
1627 INE02DI07035 SERIES I Debentures Private Placement Taxable 1000000 250000000 13-10-2018 31-03-2023 13.90% ICRA BBB/Stable Finance Non PSU Other Active
LIMITED NCD 31MR23 FVRS10LAC year
RESET RATE
VAYA FINSERV PRIVATE VAYA FINSERV PRIVATE LIMITED SERIES I 12.95
1629 INE02DI07050 SERIES I Debentures Private Placement Taxable 1000000 350000000 22-10-2019 22-10-2025 - REFER Simple Twice a year ICRA BBB/Stable Finance Non PSU Other Active
LIMITED NCD 22OT25 FVRS10LAC
REMARKS
VAYA FINSERV PRIVATE VAYA FINSERV PRIVATE LIMITED 12.40 NCD Compounding Four times a
1633 INE02DI07092 SERIES I Debentures Private Placement Taxable 1000000 230000000 30-03-2021 30-03-2023 12.40% Finance Non PSU Other Active
LIMITED 30MR23 FVRS10LAC year
FOOD SERVICE (INDIA) FOOD SERVICE (INDIA) PRIVATE LIMITED 5 CCD Compounding Four times a
1645 INE02E708015 Debentures Private Placement Taxable 10 112500000 25-02-2021 23-02-2028 5% Utilities Non PSU Other Active
PRIVATE LIMITED 23FB28 FVRS10 year
INE02EH08017 EMERALD HAVEN LIFE EMERALD HAVEN LIFE SPACES (RADIAL ROAD)
1653 SERIES CLASS A Debentures Private Placement Taxable 10 450000000 22-01-2019 21-01-2026 15% Simple On Maturity Utilities Non PSU Other Active
SPACES (RADIAL ROAD) LIMITED SR CLASS A 15 CCD 21JN26 FVRS10
LIMITED
INE02EM08017 WONDER HOME FINANCE WONDER HOME FINANCE LIMITED 9 NCD Twelve times a
1654 Debentures Private Placement Taxable 570000000 570000000 23-02-2021 30-06-2029 9% Simple CARE BBB+ Utilities Non PSU Other Active
LIMITED 30JU29 FVRS57CR year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE02FM07016 S.C.C. BUILDERS PRIVATE S.C.C. BUILDERS PRIVATE LIMITED 14.9 LOA Compounding Twelve times a
1665 N.A. Debentures Private Placement Taxable 100000 500000000 09-11-2018 31-10-2021 14.90% Industrial Non PSU Other Active
LIMITED 31OT21 FVRS1LAC year
INE02H108015 IBN LOKMAT NEWS PRIVATE IBN LOKMAT NEWS PRIVATE LIMITED 0.01 OCD
1670 N.A. Debentures Private Placement Taxable 100 200 27-10-2014 26-10-2021 0.01% Simple Once a year Utilities Non PSU Other Active
LIMITED 26OT21 FVRS100
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
RESET RATE
SAKET ENGINEERS PRIVATE SAKET ENGINEERS PRIVATE LIMITED RR NCD Compounding Twelve times a
1675 INE02JQ07019 Debentures Private Placement Taxable 475720 480000000 06-12-2018 06-12-2022 REFER Utilities Non PSU Other Active
LIMITED 06DC22 FVRS475720 year
REMARK
SAKET ENGINEERS PRIVATE SAKET ENGINEERS PRIVATE LIMITED 17.25 Compounding Twelve times a
1676 INE02JQ07027 Debentures Private Placement Taxable 1000000 210000000 28-01-2021 28-01-2024 17.25% Utilities Non PSU Other Active
LIMITED NCD 28JN24 FVRS10LAC year
WOW MOMO FOODS PRIVATE WOW MOMO FOODS PRIVATE LIMITED SR A Twelve times a
1677 INE02KL07018 SERIES A Debentures Private Placement Taxfree 1000000 400000000 30-09-2020 29-09-2024 15.50% Simple Utilities Non PSU Other Active
LIMITED 15.50 NCD 29SP24 FVRS10LAC year
RESET RATE
ETHAN ENERGY INDIA ETHAN ENERGY INDIA PRIVATE LIMITED RR
1678 INE02L308023 N.A Debentures Private Placement Taxable 742857.14 399657141 30-08-2016 31-08-2026 REFER Simple Once a year Utilities Non PSU Other Active
PRIVATE LIMITED NCD 31AG26 FVRS742857.14
REMARKS
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE02LM07014 PHL FININVEST PRIVATE PHL FININVEST PRIVATE LIMITED RR NCD Twelve times a
1679 N.A. Debentures Private Placement Taxable 415396.048 25210000000 29-03-2019 06-04-2022 RESET RATE Simple Utilities Non PSU Other Active
LIMITED 06AP22 FVRS415396.048 year
INE02LM07048 PHL FININVEST PRIVATE PHL FININVEST PRIVATE LIMITED 8.10 LOA
1680 N.A Debentures Private Placement Taxable 1000000 400000000 13-08-2020 11-02-2022 8.10% Simple Once a year CARE AA- Utilities Non PSU Other Active
LIMITED 11FB22 FVRS10LAC
INE02LM07055 PHL FININVEST PRIVATE PHL FININVEST PRIVATE LIMITED SR A 10.25 Four times a
1681 SERIES A Debentures Private Placement Taxable 1000000 14000000000 15-12-2020 30-12-2022 10.25% Simple CARE AA(CE) Utilities Non PSU Other Active
LIMITED LOA 30DC22 FVRS10LAC year
RESET RATE
INE02MQ08011 SEKURA ROADS LIMITED 18 CCD 28MR29
1691 SEKURA ROADS LIMITED N.A. Debentures Rights Issue Taxable 1000 253200000 29-03-2019 28-03-2029 - REFER Simple Twice a year Utilities Non PSU Other Active
FVRS1000
REMARKS
RESET RATE
INE02MQ08029 SEKURA ROADS LIMITED RR CCD 06DC30
1692 SEKURA ROADS LIMITED NA Debentures Private Placement Taxable 1000 1000000000 07-12-2020 06-12-2030 - REFER Twice a year Utilities Non PSU Other Active
FVRS1000
REMARKS
INE02MU08021 UNIQUE MERCANTILE INDIA UNIQUE MERCANTILE INDIA LIMITED 10.50 LOA Four times a
1694 N.A. Debentures Private Placement Taxable 10000 2700000000 01-07-2019 30-06-2025 10.50% Simple Utilities Non PSU Other Active
LIMITED 30JU25 PPRS926 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE02MU08039 UNIQUE MERCANTILE INDIA UNIQUE MERCANTILE INDIA LIMITED 9.50 LOA Four times a
1695 NA Debentures Private Placement Taxable 10000 60000000 01-04-2019 31-03-2025 9.50% Simple Utilities Non PSU Other Active
LIMITED 31MR25 FVRS10000 year
INE02MU08062 UNIQUE MERCANTILE INDIA UNIQUE MERCANTILE INDIA LIMITED 9.50 LOA Four times a
1698 Debentures Private Placement Taxable 10000 50000000 02-12-2019 01-12-2025 9.50% Simple Utilities Non PSU Other Active
LIMITED 01DC25 FVRS10000 year
INE02MU08088 UNIQUE MERCANTILE INDIA UNIQUE MERCANTILE INDIA LIMITED 10.50 LOA Four times a
1700 Debentures Private Placement Taxable 10000 240000000 01-07-2019 30-06-2025 10.50% Simple Utilities Non PSU Other Active
LIMITED 30JU25 FVRS10000 year
INE02MU08096 UNIQUE MERCANTILE INDIA UNIQUE MERCANTILE INDIA LIMITED 9.50 CCD Four times a
1701 Debentures Private Placement Taxable 10000 100000000 12-03-2020 11-03-2026 9.50% Simple Utilities Non PSU Other Active
LIMITED 11MR26 FVRS10000 year
INE02MU08104 UNIQUE MERCANTILE INDIA UNIQUE MERCANTILE INDIA LIMITED LOA ZERO
1702 Debentures Taxable 10000 170000000 12-03-2020 11-03-2026 Utilities Non PSU Other Active
LIMITED 11MR26 FVRS10000 COUPON
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE02NH08018 JSW STEEL COATED JSW STEEL COATED PRODUCTS LIMITED CCD
1703 Debentures Private Placement Taxable 52 6500000000 22-10-2020 21-10-2040 NA Simple Utilities Non PSU Other Active
PRODUCTS LIMITED 21OT40 FVRS52
RAGHULEELA
RAGHULEELA INFRAVENTURES PRIVATE Four times a
1730 INE02PL07017 INFRAVENTURES PRIVATE N.A. Debentures Private Placement Taxable 1000000 650000000 30-10-2018 29-10-2022 16.98% Simple Utilities Non PSU Other Active
LIMITED 16.98 NCD 29OT22 FVRS10LAC year
LIMITED
SERIES 23 NORMAL PKF FINANCE LIMITED SR 23 NRML MTHLY 8.05 Twelve times a
1745 INE02TC07034 PKF FINANCE LIMITED Debentures Private Placement Taxable 1000 4000000 31-08-2019 31-08-2022 8.05% Simple Utilities Non PSU Other Active
MONTHLY LOA 31AG22 FVRS1000 year
SERIES 24- SENIOR PKF FINANCE LIMITED SR 24 SNR CTZN MTHL Twelve times a
1748 INE02TC07067 PKF FINANCE LIMITED Debentures Private Placement Taxable 1000 4600000 30-09-2019 30-09-2022 8.40% Simple Utilities Non PSU Other Active
CITIZEN MONTHLY 8.40 LOA 30SP22 FVRS1000 year
SERIES 25- SENIOR PKF FINANCE LIMITED SR 25 SNR CTZN MTHL Twelve times a
1752 INE02TC07109 PKF FINANCE LIMITED Debentures Private Placement Taxable 1000 5800000 30-11-2019 30-11-2022 8.40% Simple Utilities Non PSU Other Active
CITIZEN MONTHLY 8.40 LOA 30NV22 FVRS1000 year
SERIES 25 NORMAL PKF FINANCE LIMITED SR 25 NRML MTHLY 8.25 Twelve times a
1753 INE02TC07133 PKF FINANCE LIMITED Debentures Private Placement Taxable 1000 200000 30-11-2019 30-11-2024 8.25% Simple Utilities Non PSU Other Active
MONTHLY LOA 30NV24 FVRS1000 year
SERIES 25- SENIOR PKF FINANCE LIMITED SR 25 SNR CTZN MTHL Twelve times a
1754 INE02TC07141 PKF FINANCE LIMITED Debentures Private Placement Taxable 1000 2300000 30-11-2019 30-11-2024 8.75% Simple Utilities Non PSU Other Active
CITIZEN MONTHYL 8.75 LOA 30NV24 FVRS1000 year
SERIES 26- NORMAL PKF FINANCE LIMITED SR 26 NOR MTH 7.90 LOA Twelve times a
1757 INE02TC07182 PKF FINANCE LIMITED Debentures Private Placement Taxable 1000 2000000 31-01-2020 31-01-2023 7.90% Simple Utilities Non PSU Other Active
MONTHLY-36 MONTHS 31JN23 FVRS1000 year
SERIES 27- NORMAL PKF FINANCE LIMITED SR 27 NR 8 LOA 31MR25 Four times a
1762 INE02TC07240 PKF FINANCE LIMITED Debentures Private Placement Taxable 1000 800000 31-03-2020 31-03-2025 8% Simple Utilities Non PSU Other Active
SIMPLE-60 MONTHS. FVRS1000 year
SERIES 28 (NORMAL
PKF FINANCE LIMITED SR 28 NRML CM YRLY Compounding
1764 INE02TC07273 PKF FINANCE LIMITED COMPOUNDED YEARLY-13 Debentures Private Placement Taxable 1000 6176000 30-05-2020 30-06-2021 7.25% On Maturity Utilities Non PSU Other Active
7.25 NCD 30JU21 FVRS1000
MONTHS)
SERIES 28 (NORMAL
PKF FINANCE LIMITED SR 28 NRML CM YRLY Compounding
1765 INE02TC07281 PKF FINANCE LIMITED COMPOUNDED YEARLY-36 Debentures Private Placement Taxable 1000 2109000 30-05-2020 31-05-2023 7.50% On Maturity Utilities Non PSU Other Active
7.50 NCD 31MY23 FVRS1000
MONTHS)
SERIES 28 (NORMAL
PKF FINANCE LIMITED SR 28 NRML CM YRLY Compounding
1766 INE02TC07299 PKF FINANCE LIMITED COMPOUNDED YEARLY-60 Debentures Private Placement Taxable 1000 400000 30-05-2020 30-05-2025 7.75% On Maturity Utilities Non PSU Other Active
7.75 NCD 30MY25 FVRS1000
MONTHS)
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES 28 (NORMAL PKF FINANCE LIMITED SR 28 NRML QTRL 7.75 Four times a
1767 INE02TC07307 PKF FINANCE LIMITED Debentures Private Placement Taxable 1000 5425000 30-05-2020 30-05-2025 7.75% Simple Utilities Non PSU Other Active
QUARTERLY-60 MONTHS) NCD 30MY25 FVRS1000 year
SERIES 28 (SENIOR
PKF FINANCE LIMITED SR 28 SN CTZN CM YRL Compounding
1768 INE02TC07315 PKF FINANCE LIMITED CITIZEN COMPOUNDED Debentures Private Placement Taxable 1000 10675000 30-05-2020 30-06-2021 7.75% On Maturity Utilities Non PSU Other Active
7.75 NCD 30JU21 FVRS1000
YEARLY-13 MONTHS)
SERIES 28 (SENIOR
PKF FINANCE LIMITED SR 28 SNR CTZ CM YRL Compounding
1769 INE02TC07323 PKF FINANCE LIMITED CITIZEN COMPOUNDED Debentures Private Placement Taxable 1000 3760000 30-05-2020 31-05-2023 8% On Maturity Utilities Non PSU Other Active
8 NCD 31MY23 FVRS1000
YEARLY-36 MONTHS)
SERIES 28 (SENIOR
PKF FINANCE LIMITED SR 28 SNR CTZ MTH 7.90 Twelve times a
1770 INE02TC07331 PKF FINANCE LIMITED CITIZEN MONTHLY-36 Debentures Private Placement Taxable 1000 2600000 30-05-2020 31-05-2023 7.90% Simple Utilities Non PSU Other Active
NCD 31MY23 FVRS1000 year
MONTHS)
SERIES 28 (SENIOR
PKF FINANCE LIMITED SR 28 SNR CTZ CM YRL Compounding
1771 INE02TC07349 PKF FINANCE LIMITED CITIZEN COMPOUNDED Debentures Private Placement Taxable 1000 2750000 30-05-2020 30-05-2025 8.25% On Maturity Utilities Non PSU Other Active
8.25 NCD 30MY25 FVRS1000
YEARLY-60 MONTHS).
SERIES 28 (SENIOR
PKF FINANCE LIMITED SR 28 SNR CTZ QRLY Four times a
1772 INE02TC07356 PKF FINANCE LIMITED CITIZEN QUARTERLY -60 Debentures Private Placement Taxable 1000 6850000 30-05-2020 30-05-2025 8.25% Simple Utilities Non PSU Other Active
8.25 NCD 30MY25 FVRS1000 year
MONTHS).
SERIES 29 (NORMAL
PKF FINANCE LIMITED SR NORM COM 13 MON Compounding
1773 INE02TC07364 PKF FINANCE LIMITED COMPOUNDED YEARLY-13 Debentures Private Placement Taxable 1000 14331000 31-07-2020 31-08-2021 6.75% On Maturity Utilities Non PSU Other Active
6.75 NCD 31AG21 FVRS1000
MONTHS).
SERIES 29 (NORMAL
PKF FINANCE LIMITED SR NORM COM 36 MON 7
1774 INE02TC07372 PKF FINANCE LIMITED COMPOUNDED YEARLY-36 Debentures Private Placement Taxable 1000 1300000 31-07-2020 31-07-2023 7% Simple On Maturity Utilities Non PSU Other Active
NCD 31JL23 FVRS1000
MONTHS)
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES 29 (SENIOR
PKF FINANCE LIMITED SR SN CT CO 36 MON
1778 INE02TC07414 PKF FINANCE LIMITED CITIZEN COMPOUNDED Debentures Private Placement Taxable 1000 6050000 31-07-2020 31-07-2023 7.50% Simple On Maturity Utilities Non PSU Other Active
7.25 NCD 31JL23 FVRS1000
YEARLY-36 MONTHS)
SERIES 29 (SENIOR
PKF FINANCE LIMITED SR SN CT CO 60 MON Compounding
1779 INE02TC07422 PKF FINANCE LIMITED CITIZEN COMPOUNDED Debentures Private Placement Taxable 1000 800000 31-07-2020 31-07-2025 7.75% On Maturity Utilities Non PSU Other Active
7.75 NCD 31JL25 FVRS1000
YEARLY-60 MONTHS)
SERIES 29 (SENIOR
PKF FINANCE LIMITED SR SN CT MON 36 MON Twelve times a
1780 INE02TC07430 PKF FINANCE LIMITED CITIZEN MONTHLY -36 Debentures Private Placement Taxable 1000 1700000 31-07-2020 31-07-2023 7.40% Simple Utilities Non PSU Other Active
7.40 NCD 31JL23 FVRS1000 year
MONTHS)
SERIES 31(NORMAL
PKF FINANCE LIMITED SR 31 NOR COM 13 MON Compounding
1789 INE02TC07521 PKF FINANCE LIMITED COMPOUNDED YEARLY-13 Debentures Private Placement Taxable 1000 2770000 30-11-2020 30-12-2021 7.25% On Maturity Utilities Non PSU Other Active
7.25 NCD 30DC21 FVRS1000
MONTHS)
SERIES 31 (NORMAL
PKF FINANCE LIMITED SR 31 NOR COM 36 MON Compounding
1790 INE02TC07539 PKF FINANCE LIMITED COMPOUNDED YEARLY-36 Debentures Private Placement Taxable 1000 8355000 30-11-2020 30-11-2023 7.50% On Maturity Utilities Non PSU Other Active
7.50 NCD 30NV23 FVRS1000
MONTHS)
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES 31 (NORMAL
PKF FINANCE LIMITED SR 31 NOR COM 60 MON Compounding
1791 INE02TC07547 PKF FINANCE LIMITED COMPOUNDED YEARLY-60 Debentures Private Placement Taxable 1000 11500000 30-11-2020 30-11-2025 7.75% On Maturity Utilities Non PSU Other Active
7.75 30NV25 FVRS1000
MONTHS
SERIES 31 (NORMAL PKF FINANCE LIMITED SR 31 NOR QUR 36 MON Four times a
1792 INE02TC07554 PKF FINANCE LIMITED Debentures Private Placement Taxable 1000 3500000 30-11-2020 30-11-2023 7.40% Simple Utilities Non PSU Other Active
QUARTERLY-36 MONTHS) 7.40 NCD 30NV23 FVRS1000 year
SERIES 31 (SENIOR
PKF FINANCE LIMITED SR31 SR CT CM 13 MON Compounding
1793 INE02TC07562 PKF FINANCE LIMITED CITIZEN COMPOUNDED Debentures Private Placement Taxable 1000 6441000 30-11-2020 30-12-2021 7.50% On Maturity Utilities Non PSU Other Active
7.50 NCD 30DC21 FVRS1000
YEARLY-13 MONTHS)
SERIES 31 (SENIOR
PKF FINANCE LIMITED SR31 SR CTCOM 36 MON Compounding
1794 INE02TC07570 PKF FINANCE LIMITED CITIZEN COMPOUNDED Debentures Private Placement Taxable 1000 5617000 30-11-2020 30-11-2023 7.75% On Maturity Utilities Non PSU Other Active
7.75 NCD 30NV23 FVRS1000
YEARLY-36 MONTHS)
SERIES 31 (SENIOR
PKF FINANCE LIMITED SR 31 SR CT COM 60 Compounding
1795 INE02TC07588 PKF FINANCE LIMITED CITIZEN COMPOUNDED Debentures Private Placement Taxable 1000 600000 30-11-2020 30-11-2025 8% On Maturity Utilities Non PSU Other Active
MON 8 NCD 30NV25 FVRS1000
YEARLY-60 MONTHS)
ARIHANT AASHIYANA PRIVATE ARIHANT AASHIYANA PRIVATE LIMITED 16.50 Compounding Twelve times a
1806 INE02TP08018 N.A. Debentures Private Placement Taxfree 100 550000000 20-10-2018 15-04-2022 16.50% Utilities Non PSU Other Active
LIMITED NCD 15AP22 FVRS100 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE02UX07012 LORD KRISHNA FINANCIAL LORD KRISHNA FINANCIAL SERVICES LIMITED Twelve times a
1811 SERIES A Debentures Private Placement Taxable 1000 6000000 15-01-2020 14-01-2023 13% Simple Utilities Non PSU Other Active
SERVICES LIMITED SR A 13 NCD 14JN23 FVRS1000 year
INE02UX07020 LORD KRISHNA FINANCIAL LORD KRISHNA FINANCIAL SERVICES LIMITED Twelve times a
1812 SERIES B Debentures Private Placement Taxable 1000 6300000 25-09-2020 25-09-2023 12% Simple Utilities Non PSU Other Active
SERVICES LIMITED SR B 12 NCD 25SP23 FVRS1000 year
RESET RATE
DHARAMSHALA ROPEWAY DHARAMSHALA ROPEWAY LIMITED RR OCD
1819 INE02VL08047 Debentures Rights Issue Taxable 10 30000000 28-08-2020 30-07-2025 - REFER Simple Once a year Utilities Non PSU Other Active
LIMITED 30JL25 FVRS10
REMARKS
INE02VO07050 RELIANT CREDITS (INDIA) RELIANT CREDITS (INDIA) LIMITED SERIES E Twelve times a
1820 SERIES E Debentures Private Placement Taxable 50000 8400000 11-03-2019 11-03-2024 11.5% Simple Utilities Non PSU Other Active
LIMITED 11.5 NCD 11MR24 FVRS50000 year
INE02VO07076 RELIANT CREDITS (INDIA) RELIANT CREDITS (INDIA) LIMITED SR E SNR Twelve times a
1822 SERIES E SEN CTZ Debentures Private Placement Taxable 50000 5600000 11-03-2019 11-03-2024 12% Simple Utilities Non PSU Other Active
LIMITED CTZ 12 NCD 11MR24 FVRS50000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE02VO07092 RELIANT CREDITS (INDIA) RELIANT CREDITS (INDIA) LIMITED SR F MTHLY Twelve times a
1824 SERIES F MONTHLY Debentures Private Placement Taxable 50000 5500000 24-06-2019 24-06-2024 11.50% Simple Utilities Non PSU Other Active
LIMITED 11.50 NCD 24JU24 FVRS50000 year
INE02VO07118 RELIANT CREDITS (INDIA) SERIES F MTHLY SENIOR RELIANT CREDITS (INDIA) LIMITED SR F MTH Twelve times a
1826 Debentures Private Placement Taxable 50000 4100000 24-06-2019 24-06-2024 12% Simple Utilities Non PSU Other Active
LIMITED CITIZEN SNR CTZN 12 NCD 24JU24 FVRS50000 year
INE02VO07126 RELIANT CREDITS (INDIA) SERIES F ANNUALLY RELIANT CREDITS (INDIA) LIMITED SR F ANL
1827 Debentures Private Placement Taxable 50000 5950000 24-06-2019 24-06-2024 12.5% Once a year Utilities Non PSU Other Active
LIMITED SENIOR CITIZEN SNR CTZN 12.5 NCD 24JU24 FVRS50000
INE02VO07134 RELIANT CREDITS (INDIA) RELIANT CREDITS (INDIA) LIMITED SR H Twelve times a
1828 SERIES H MONTHLY Debentures Private Placement Taxable 50000 5000000 09-08-2019 09-08-2024 11.50% Simple Utilities Non PSU Other Active
LIMITED (MONTHLY) 11.50 NCD 09AG24 FVRS50000 year
INE02VO07159 RELIANT CREDITS (INDIA) SERIES H MONTHLY RELIANT CREDITS (INDIA) LIMITED SR H MON Twelve times a
1830 Debentures Private Placement Taxable 50000 4950000 09-08-2019 09-08-2024 12% Simple Utilities Non PSU Other Active
LIMITED SENIOR CITIZEN SNR CTZ 12 NCD 09AG24 FVRS50000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE02VO07167 RELIANT CREDITS (INDIA) SERIES H ANNUALLY RELIANT CREDITS (INDIA) LIMITED SR H AN
1831 Debentures Private Placement Taxable 50000 2000000 09-08-2019 09-08-2024 12.50% Simple Once a year Utilities Non PSU Other Active
LIMITED SENIOR CITIZEN SNR CTZ 12.50 NCD 09AG24 FVRS50000
INE02VO07175 RELIANT CREDITS (INDIA) RELIANT CREDITS (INDIA) LIMITED SR G 11.50 Twelve times a
1832 SERIES G Debentures Private Placement Taxable 50000 7150000 17-07-2019 17-07-2024 11.50% Simple Utilities Non PSU Other Active
LIMITED NCD 17JL24 FVRS50000 year
INE02VO07191 RELIANT CREDITS (INDIA) SERIES G SENIOR CITIZEN RELIANT CREDITS (INDIA) LIMITED SR G SNR Twelve times a
1834 Debentures Private Placement Taxable 50000 2600000 17-07-2019 17-07-2024 12% Simple Utilities Non PSU Other Active
LIMITED MONTHLY CTZ 12 NCD 17JL24 FVRS50000 year
INE02VO07209 RELIANT CREDITS (INDIA) SERIES G ANNUALLY RELIANT CREDITS (INDIA) LIMITED SR G AN
1835 Debentures Private Placement Taxable 50000 2400000 17-07-2019 17-07-2024 12.50% Simple Once a year Utilities Non PSU Other Active
LIMITED SENIOR CITIZEN SNR CTZ 12.50 NCD 17JL24 FVRS50000
INE02VO07217 RELIANT CREDITS (INDIA) RELIANT CREDITS (INDIA) LIMITED SR I 11.50 Twelve times a
1836 SERIES I Debentures Private Placement Taxable 50000 8550000 13-03-2020 13-03-2025 11.50% Simple Utilities Non PSU Other Active
LIMITED MTHLY NCD 13MR25 FVRS50000 year
INE02VO07233 RELIANT CREDITS (INDIA) RELIANT CREDITS (INDIA) LIMITED SR I 12 Twelve times a
1838 SERIES I Debentures Private Placement Taxable 50000 3400000 13-03-2020 13-03-2025 12% Simple Utilities Non PSU Other Active
LIMITED MTHLY SNR CTZ NCD 13MR25 FVRS50000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE02VO07258 RELIANT CREDITS (INDIA) RELIANT CREDITS (INDIA) LIMITED SR J 10.50 Twelve times a
1840 SERIES J Debentures Private Placement Taxable 50000 5600000 03-06-2020 03-06-2025 10.50% Simple Utilities Non PSU Other Active
LIMITED NCD 03JU25 FVRS50000 year
NATIONAL WAQF
INE02WX08024 NATIONAL WAQF DEVELOPMENT
1849 DEVELOPMENT N.A. Debentures Private Placement Taxable 10 150000000 27-03-2018 26-03-2023 N.A. Utilities Non PSU Other Active
CORPORATION LIMITED CCD 26MR23 FVRS10
CORPORATION LIMITED
DLF HOMES GOA PRIVATE DLF HOMES GOA PRIVATE LIMITED 0.01 CCD
1850 INE02X408019 NA Debentures Private Placement Taxable 10 136800000 30-06-2020 29-06-2030 0.01% Simple Once a year Utilities Non PSU Other Active
LIMITED 29JU30 FVRS10
DMI HOUSING FINANCE DMI HOUSING FINANCE PRIVATE LIMITED 8.50 Four times a
1853 INE02Z607048 N.A Debentures Private Placement Taxable 1000000 513000000 10-12-2019 10-12-2023 8.50% Simple BWR AA-(CE)/Stable Utilities Non PSU Other Active
PRIVATE LIMITED NCD 10DC23 FVRS10LAC year
DMI HOUSING FINANCE DMI HOUSING FINANCE PRIVATE LIMITED 8.50 Four times a
1854 INE02Z607071 N.A Debentures Private Placement Taxable 1000000 2953000000 28-02-2020 28-02-2024 8.50% Simple BWR AA-(CE)/Stable Utilities Non PSU Other Active
PRIVATE LIMITED NCD 28FB24 FVRS10LAC year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE030W07010 TARUN KIRAN BHOOMI TARUN KIRAN BHOOMI PRIVATE LIMITED 8.458
1857 NA Debentures Private Placement Taxable 1 1196158167 02-11-2020 29-10-2027 8.458% Simple Twice a year Utilities Non PSU Other Active
PRIVATE LIMITED LOA 29OT27 FVRS1
8.10%p.a.for
HOUSING AND URBAN HOUSING AND URBAN DEVELOPMENT Public Sector
Category I &
1858 INE031A07832 DEVELOPMENT CORPORATION LIMITED 8.1/8.22 BD 05MR22 Debentures Bonus Taxfree 1000 18431704000 07-03-2012 05-03-2022 Simple Once a year Finance Undertaking (PSU) Other Active
II,8.22%
CORPORATION LIMITED FVRS1000 LOA UPTO 31MY12
p.a.for cat-III
8.20%p.a.for
HOUSING AND URBAN HOUSING AND URBAN DEVELOPMENT Public Sector
Category I &
1859 INE031A07840 DEVELOPMENT CORPORATION LIMITED 8.2/8.35 BD 05MR27 Bonds Bonus Taxfree 1000 07-03-2012 05-03-2027 Simple Once a year Finance Undertaking (PSU) Other Active
II,8.35%
CORPORATION LIMITED FVRS1000 LOA UPTO 31MY12
p.a.for cat-III
7.34% p.a.
HOUSING AND URBAN HOUSING AND URBAN DEVELOPMENT FOR Public Sector
1860 INE031A07857 DEVELOPMENT CORPORATION LIMITED 7.34/7.84 BD 16FB23 Bonds Bonus Taxfree 1000 16-02-2013 16-02-2023 CATAGORY I, Simple Once a year Finance Undertaking (PSU) Other Active
CORPORATION LIMITED FVRS1000 LOA UPTO 7MY13 II & III, 7.84% -
IV
7.51% p.a.
HOUSING AND URBAN HOUSING AND URBAN DEVELOPMENT FOR Public Sector
1861 INE031A07865 DEVELOPMENT CORPORATION LIMITED 7.51/8.01 BD 16FB28 Bonds Bonus Taxfree 1000 10816466000 16-02-2013 16-02-2028 CATAGORY I, Simple Once a year Finance Undertaking (PSU) Other Active
CORPORATION LIMITED FVRS1000 LOA UPTO 7MY13 II & III, 8.01% -
IV
7.03% p.a.
HOUSING AND URBAN HOUSING AND URBAN DEVELOPMENT FOR Public Sector
1862 INE031A07873 DEVELOPMENT CORPORATION LIMITED 7.03/7.53 BD 28MR23 Bonds Bonus Taxfree 1000 28-03-2013 28-03-2023 CATAGORY I, Simple Once a year Finance Undertaking (PSU) Other Active
CORPORATION LIMITED FVRS1000 LOA UPTO 24JU13 II & III, 7.53% -
IV
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
7.19% p.a.
HOUSING AND URBAN HOUSING AND URBAN DEVELOPMENT FOR Public Sector
1863 INE031A07881 DEVELOPMENT CORPORATION LIMITED 7.19/7.69 BD 28MR28 Bonds Bonus Taxfree 1000 28-03-2013 28-03-2028 CATAGORY I, Simple Once a year Finance Undertaking (PSU) Other Active
CORPORATION LIMITED FVRS1000 LOA UPTO 24JU13 II & III, 7.69% -
IV
8.14% p.a.
HOUSING AND URBAN HOUSING AND URBAN DEVELOPMENT FOR Public Sector
1865 INE031A07907 DEVELOPMENT CORPORATION LIMITED SR-1A 8.14 BD 25OT23 Bonds Bonus Taxfree 1000 25-10-2013 25-10-2023 CATEGORY I, Simple Once a year Finance Undertaking (PSU) Other Active
CORPORATION LIMITED FVRS1000 LOA UPTO 14JN14 II & III i.e.
NON-RIIs
8.51% p.a.
HOUSING AND URBAN HOUSING AND URBAN DEVELOPMENT FOR Public Sector
1866 INE031A07915 DEVELOPMENT CORPORATION LIMITED SR-2A 8.51 BD 25OT28 Bonds Bonus Taxfree 1000 25-10-2013 25-10-2028 CATEGORY I, Simple Once a year Finance Undertaking (PSU) Other Active
CORPORATION LIMITED FVRS1000 LOA UPTO 14JN14 II & III i.e.
NON-RIIs
8.49% p.a.
HOUSING AND URBAN HOUSING AND URBAN DEVELOPMENT FOR Public Sector
1867 INE031A07923 DEVELOPMENT CORPORATION LIMITED SR-3A 8.49 BD 25OT33 Bonds Bonus Taxfree 1000 25-10-2013 25-10-2033 CATEGORY I, Simple Once a year Finance Undertaking (PSU) Other Active
CORPORATION LIMITED FVRS1000 LOA UPTO 14JN14 II & III i.e.
NON-RIIs
8.39% p.a.
HOUSING AND URBAN HOUSING AND URBAN DEVELOPMENT Public Sector
FOR
1868 INE031A07931 DEVELOPMENT CORPORATION LIMITED SR-1B 8.39 BD 25OT23 Bonds Bonus Taxfree 1000 25-10-2013 25-10-2023 Simple Once a year Finance Undertaking (PSU) Other Active
CATEGORY
CORPORATION LIMITED FVRS1000 LOA UPTO 14JN14
IV i.e. RIIs
8.76% p.a.
HOUSING AND URBAN HOUSING AND URBAN DEVELOPMENT Public Sector
FOR
1869 INE031A07949 DEVELOPMENT CORPORATION LIMITED SR-2B 8.76 BD 25OT28 Bonds Bonus Taxfree 1000 5966428000 25-10-2013 25-10-2028 Simple Once a year Finance Undertaking (PSU) Other Active
CATEGORY
CORPORATION LIMITED FVRS1000 LOA UPTO 14JN14
IV i.e. RIIs
8.74% p.a.
HOUSING AND URBAN HOUSING AND URBAN DEVELOPMENT Public Sector
FOR
1870 INE031A07956 DEVELOPMENT CORPORATION LIMITED SR-3B 8.74 BD 25OT33 Bonds Bonus Taxfree 1000 25-10-2013 25-10-2033 Simple Once a year Finance Undertaking (PSU) Other Active
CATEGORY
CORPORATION LIMITED FVRS1000 LOA UPTO 14JN14
IV i.e. RIIs
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
HOUSING AND URBAN HOUSING AND URBAN DEVELOPMENT 8.51% FOR Public Sector
1871 INE031A07964 DEVELOPMENT SERIES 1A CORPORATION LIMITED SR1ATRCHII8.51 Bonds Public Issue Taxfree 1000 5049318000 13-01-2014 13-01-2024 CATEGORY I, Simple Once a year CARE AAA/Stable Finance Undertaking (PSU) Other Active
CORPORATION LIMITED BD13JN24 FVRS1000LOA UPTO3AP14 II AND III
HOUSING AND URBAN HOUSING AND URBAN DEVELOPMENT 8.58% FOR Public Sector
1872 INE031A07972 DEVELOPMENT SERIES 2A CORPORATION LIMITED SR2ATRCHII8.58 Bonds Public Issue Taxfree 1000 1273843000 13-01-2014 13-01-2029 CATEGORY I, Simple Once a year CARE AAA/Stable Finance Undertaking (PSU) Other Active
CORPORATION LIMITED BD13JN29 FVRS1000 LOAUPTO3AP14 II AND III
HOUSING AND URBAN HOUSING AND URBAN DEVELOPMENT 8.76% FOR Public Sector
1873 INE031A07980 DEVELOPMENT SERIES 3A CORPORATION LIMITED SR-3A TRCH- Bonds Public Issue Taxfree 1000 2865430000 13-01-2014 13-01-2034 CATEGORY I, Simple Once a year CARE AAA/Stable Finance Undertaking (PSU) Other Active
CORPORATION LIMITED II8.76BD13JN34FVRS1000LOAUPTO3AP14 II AND III
HOUSING AND URBAN HOUSING AND URBAN DEVELOPMENT 8.76% Public Sector
1874 INE031A07998 DEVELOPMENT SERIES 1B CORPORATION LIMITED SR- Bonds Public Issue Taxfree 1000 4396316000 13-01-2014 13-01-2024 (REFER Simple Once a year CARE AAA/Stable Finance Undertaking (PSU) Other Active
CORPORATION LIMITED 1BTRCHII8.76BD13JN24FVRS1000 LOA REMARKS)
UPTO3AP14
HOUSING AND URBAN HOUSING AND URBAN DEVELOPMENT 8.83% Public Sector
INE031A07AA4
1875 DEVELOPMENT SERIES 2B CORPORATION LIMITED SR-2BTRCH- Bonds Public Issue Taxfree 1000 1237463000 13-01-2014 13-01-2029 (REFER Simple Once a year CARE AAA/Stable Finance Undertaking (PSU) Other Active
CORPORATION LIMITED II8.83BD13JN29FVRS1000LOAUPTO3AP14 REMARKS)
HOUSING AND URBAN HOUSING AND URBAN DEVELOPMENT 9.01% Public Sector
INE031A07AB2
1876 DEVELOPMENT SERIES 3B CORPORATION LIMITED SR-3BTRCH- Bonds Public Issue Taxfree 1000 6711558000 13-01-2014 13-01-2034 (REFER Simple Once a year CARE AAA/Stable Finance Undertaking (PSU) Other Active
CORPORATION LIMITED II9.01BD13JN34 FVRS1000LOAUPTO3AP14 REMARKS)
HOUSING AND URBAN HOUSING AND URBAN DEVELOPMENT 8.54% Public Sector
1880 INE031A07AF3 DEVELOPMENT SERIES 1B CORPORATION LIMITED SR-1B TRCH-III 8.54 Bonds Public Issue Taxfree 1000 473644000 24-03-2014 24-03-2024 (REFER Simple Once a year IND AAA/Stable;CARE AAA/Stable Finance Undertaking (PSU) Other Active
CORPORATION LIMITED LOA 24MR24 FVRS1000 REMARKS)
HOUSING AND URBAN HOUSING AND URBAN DEVELOPMENT 8.98% Public Sector
INE031A07AG1
1881 DEVELOPMENT SERIES 2B CORPORATION LIMITED SR-2B TRCH-III 8.98 Bonds Public Issue Taxfree 1000 1284225000 24-03-2014 24-03-2029 (REFER Simple Once a year IND AAA/Stable;CARE AAA/Stable Finance Undertaking (PSU) Other Active
CORPORATION LIMITED LOA 28MR29 FVRS1000 REMARKS)
HOUSING AND URBAN HOUSING AND URBAN DEVELOPMENT 8.96% Public Sector
INE031A07AH9
1882 DEVELOPMENT SERIES 3B CORPORATION LIMITED SR-3B TRCH-III 8.96 Bonds Public Issue Taxfree 1000 415379000 24-03-2014 24-03-2034 (REFER Simple Once a year CARE AAA/Stable;IND AAA/Stable Finance Undertaking (PSU) Other Active
CORPORATION LIMITED LOA 28MR34 FVRS1000 REMARKS)
VENA ENERGY JMD POWER VENA ENERGY JMD POWER PRIVATE LIMITED Four times a
1944 INE031S08048 SERIES 1 Debentures Private Placement Taxable 954000 620100000 31-12-2014 24-12-2040 15% Simple Energy Non PSU Other Active
PRIVATE LIMITED SR-1 15 LOA 24DC40 PPRS604769.23 year
INE031W07018 RENEW WIND ENERGY (MP RENEW WIND ENERGY (MP THREE) PRIVATE
1945 NA Debentures Private Placement Taxable 1 1197164592 02-11-2020 29-10-2027 8.458% Simple Twice a year Energy Non PSU Active
THREE) PRIVATE LIMITED LIMITED 8.458 LOA 29OT27 FVRS1
WELSPUN
WELSPUN SATTANATHAPURAM
SATTANATHAPURAM
1947 INE033308011 N.A NAGAPATTINAM ROAD PRIVATE LIMITED CCD Debentures Rights Issue Taxable 100 160000000 29-12-2018 29-12-2023 N.A Utilities Non PSU Other Active
NAGAPATTINAM ROAD
29DC23 FVRS100
PRIVATE LIMITED
WELSPUN
WELSPUN SATTANATHAPURAM
SATTANATHAPURAM
1948 INE033308029 N.A NAGAPATTINAM ROAD PRIVATE LIMITED CCD Debentures Rights Issue Taxable 100 7500000 30-09-2019 30-09-2024 N.A Utilities Non PSU Other Active
NAGAPATTINAM ROAD
30SP24 FVRS100
PRIVATE LIMITED
WELSPUN
WELSPUN SATTANATHAPURAM
SATTANATHAPURAM
1949 INE033308037 N.A NAGAPATTINAM ROAD PRIVATE LIMITED CCD Debentures Rights Issue Taxable 100 4200000 28-06-2019 28-06-2024 N.A Utilities Non PSU Other Active
NAGAPATTINAM ROAD
28JU24 FVRS100
PRIVATE LIMITED
WELSPUN
WELSPUN SATTANATHAPURAM
SATTANATHAPURAM
1950 INE033308045 N.A NAGAPATTINAM ROAD PRIVATE LIMITED CCD Debentures Rights Issue Taxable 100 40000000 30-03-2019 30-03-2024 N.A Utilities Non PSU Other Active
NAGAPATTINAM ROAD
30MR24 FVRS100
PRIVATE LIMITED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
WELSPUN
WELSPUN SATTANATHAPURAM
SATTANATHAPURAM
1951 INE033308052 N.A NAGAPATTINAM ROAD PRIVATE LIMITED CCD Debentures Rights Issue Taxable 100 2500000 31-12-2019 31-12-2024 N.A Utilities Non PSU Other Active
NAGAPATTINAM ROAD
31DC24 FVRS100
PRIVATE LIMITED
WELSPUN
WELSPUN SATTANATHAPURAM
SATTANATHAPURAM
1952 INE033308060 N.A NAGAPATTINAM ROAD PRIVATE LIMITED CCD Debentures Rights Issue Taxable 100 2800000 16-03-2020 16-03-2025 Utilities Non PSU Other Active
NAGAPATTINAM ROAD
16MR25 FVRS100
PRIVATE LIMITED
WELSPUN
WELSPUN SATTANATHAPURAM
SATTANATHAPURAM
1953 INE033308078 NAGAPATTINAM ROAD PRIVATE LIMITED OCD Debentures Rights Issue Taxable 100 58498800 31-03-2021 31-03-2031 N.A Utilities Non PSU Other Active
NAGAPATTINAM ROAD
31MR31 FVRS100
PRIVATE LIMITED
TATA CAPITAL HOUSING TCHFL NCD "Q" FY 2012-13 TATA CAPITAL HOUSING FINANCE LIMITED 9.6
1956 INE033L07520 Debentures Private Placement Taxable 1000000 100000000 28-12-2012 28-12-2022 9.60 % Simple Once a year CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED NCD 28DC22 FVRS10LAC
TATA CAPITAL HOUSING TCHFL NCD "R" FY 2012-13 TATA CAPITAL HOUSING FINANCE LIMITED 9.5
1957 INE033L07538 Debentures Private Placement Taxable 1000000 150000000 18-01-2013 18-01-2023 9.5% Simple Once a year CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED NCD 18JN23 FVRS10LAC
TATA CAPITAL HOUSING TCHFL NCD "U" FY 2012-13 TATA CAPITAL HOUSING FINANCE LIMITED SR-
1958 INE033L07561 Debentures Private Placement Taxable 1000000 100000000 12-03-2013 10-03-2023 9.50% Simple Once a year CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED U 9.5 NCD 10MR23 FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE033L07CW7 TATA CAPITAL HOUSING TATA CAPITAL HOUSING FINANCE LIMITED SR-
1961 TCHFL NCD O FY 2015-16 Debentures Private Placement Taxable 1000000 200000000 16-06-2015 16-06-2025 8.85% Simple Once a year CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED O 8.85 NCD 16JU25 FVRS10LAC
INE033L07DU9 TATA CAPITAL HOUSING TATA CAPITAL HOUSING FINANCE LIMITED SR-
1963 TCHFL NCD AE FY 2015-16 Debentures Private Placement Taxable 1000000 200000000 31-08-2015 29-08-2025 8.87% Simple Once a year CRISIL AAA/Stable;ICRA AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED AE 8.87 NCD 29AG25 FVRS10LAC
INE033L07DW5 TATA CAPITAL HOUSING TCHFL NCD AG FY 2015-16 TATA CAPITAL HOUSING FINANCE LIMITED SR-
1964 Debentures Private Placement Taxable 1000000 75000000 08-10-2015 08-10-2025 8.7% Simple Once a year ICRA AAA/Stable;CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED AG 8.7 NCD 08OT25 FVRS10LAC
TATA CAPITAL HOUSING TCHFL NCD AM FY 2015-16 TATA CAPITAL HOUSING FINANCE LIMITED SR-
1965 INE033L07EC5 Debentures Private Placement Taxable 1000000 350000000 06-11-2015 06-11-2025 8.6% Simple Once a year CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED OPTION I AM OPT I 8.6 NCD 06NV25 FVRS10LAC
TATA CAPITAL HOUSING TCHFL NCD AP FY 2015-16 TATA CAPITAL HOUSING FINANCE LIMITED SR- Compounding
1966 INE033L07EG6 Debentures Private Placement Taxable 1000000 150000000 12-01-2016 12-01-2023 8.7% Once a year CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED OPTION I AP OPT I 8.7 NCD 12JN23 FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
TATA CAPITAL HOUSING TCHFL NCD AP FY 2015-16 TATA CAPITAL HOUSING FINANCE LIMITED SR-
1967 INE033L07EH4 Debentures Private Placement Taxable 1000000 150000000 12-01-2016 12-01-2024 8.7% Simple Once a year CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED OPTION II AP OPT II 8.7 NCD 12JN24 FVRS10LAC
INE033L07EM4 TATA CAPITAL HOUSING TCHFL NCD AU FY 2015-16 TATA CAPITAL HOUSING FINANCE LIMITED SR-
1968 Debentures Private Placement Taxable 1000000 150000000 30-03-2016 30-03-2026 8.78% Simple Once a year CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED OPTION I AU OP I 8.78 NCD 30MR26 FVRS10LAC
INE033L07GA4 TATA CAPITAL HOUSING TCHFL NCD "C" SERIES FY TATA CAPITAL HOUSING FINANCE LIMITED Compounding
1975 Debentures Private Placement Taxable 1000000 2943000000 07-12-2018 13-04-2022 9.1791% On Maturity CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED 2018-19 SERIES C 9.1791 NCD 13AP22 FVRS10LAC
INE033L07GG1 TATA CAPITAL HOUSING TCHFL MARKET LINKED TATA CAPITAL HOUSING FINANCE LIMITED SR G-SEC
1979 Debentures Private Placement Taxable 100000 99000000 22-08-2019 22-08-2022 On Maturity CRISIL PP-MLD AAAr/Stable Finance Non PSU Other Active
FINANCE LIMITED NCD A SERIES FY 2019-20 A BR NCD 22AG22 FVRS1LAC LINKED
TATA CAPITAL HOUSING TATA CAPITAL HOUSING FINANCE LIMITED LINK TO 7.17
1980 INE033L07GI7 SEREIS FY 2019-20 B Debentures Private Placement Taxable 100000 61400000 30-09-2019 30-09-2021 Simple On Maturity CRISIL PP-MLD AAAr/Stable Finance Non PSU Other Active
FINANCE LIMITED SERIES B BR NCD 30SP21 FVRS1LAC GSEC 2028
INE033L07GN7 TATA CAPITAL HOUSING TATA CAPITAL HOUSING FINANCE LIMITED SR Twelve times a
1985 SERIES II TRANCHE I Debentures Public Issue Taxable 1000 51892000 14-01-2020 14-01-2025 7.92% Simple CRISIL AAA/Stable;ICRA AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED II- TRANCHE I 7.92 NCD 14JN25 FVRS1000 year
INE033L07GO5 TATA CAPITAL HOUSING TATA CAPITAL HOUSING FINANCE LIMITED SR Twelve times a
1986 SERIES II TRANCHE I Debentures Public Issue Taxable 1000 541471000 14-01-2020 14-01-2025 8.01% Simple CRISIL AAA/Stable;CARE AAA Finance Non PSU Other Active
FINANCE LIMITED II- TRANCHE I 8.01 NCD 14JN25 FVRS1000 year
INE033L07GR8 TATA CAPITAL HOUSING TATA CAPITAL HOUSING FINANCE LIMITED SR Twelve times a
1989 SERIES IV TRANCHE I Debentures Public Issue Taxable 1000 12025000 14-01-2020 14-01-2028 8.01% Simple ICRA AAA/Stable;CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED IV- TRANCHE I 8.01 NCD 14JN28 FVRS1000 year
TATA CAPITAL HOUSING TATA CAPITAL HOUSING FINANCE LIMITED SR Twelve times a
1990 INE033L07GS6 SERIES IV TRANCHE I Debentures Public Issue Taxable 1000 382776000 14-01-2020 14-01-2028 8.10% Simple CRISIL AAA/Stable;ICRA AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED IV TRANCHE I 8.10 NCD 14JN28 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE033L07GV0 TATA CAPITAL HOUSING SERIES TCHFL NCD A OF TATA CAPITAL HOUSING FINANCE LIMITED SR
1993 Debentures Private Placement Taxable 1000000 5000000000 12-05-2020 11-08-2023 7.78% Simple Once a year CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED FY 2020-21 A FY 2020-21 7.78 NCD 11AG23 FVRS10LAC
TATA CAPITAL HOUSING SERIES TCHFL NCD D FY TATA CAPITAL HOUSING FINANCE LIMITED SR
1996 INE033L07GY4 Debentures Private Placement Taxable 1000000 2000000000 27-10-2020 24-01-2024 NA CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED 2020-21 D FY20-21 NCD 24JN24 FVRS10LAC
INE033L07GZ1 TATA CAPITAL HOUSING SERIES TCHFL NCD E FY TATA CAPITAL HOUSING FINANCE LIMITED SR
1997 Debentures Private Placement Taxable 1000000 1000000000 03-12-2020 02-12-2022 5% Once a year CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED 2020-21OPTION I E FY20-21 OP I 5 NCD 02DC22 FVRS10LAC
TATA CAPITAL HOUSING SERIES TCHFL NCD E FY TATA CAPITAL HOUSING FINANCE LIMITED SR
1998 INE033L07HA2 Debentures Private Placement Taxable 1000000 3000000000 03-12-2020 01-12-2023 5.60% Simple Once a year CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED 2020-21OPTION II E FY20-21 OP II 5.60 NCD 01DC23 FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
TATA CAPITAL HOUSING SERIES TCHFL NCD F FY TATA CAPITAL HOUSING FINANCE LIMITED SR
1999 INE033L07HB0 Debentures Private Placement Taxable 1000000 3000000000 31-12-2020 30-11-2023 5.35% Simple Once a year CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED 2020-21 F FY 20-21 5.35 NCD 30NV23 FVRS10LAC
TATA CAPITAL HOUSING TCHFL Tier II Bonds 'B' FY- TATA CAPITAL HOUSING FINANCE LIMITED 10
2005 INE033L08023 Debentures Private Placement Taxable 1000000 253000000 29-09-2011 29-09-2021 10.00% Simple Once a year Finance Non PSU Other Active
FINANCE LIMITED 2011-12 NCD 29SP21 FVRS10LAC
TATA CAPITAL HOUSING TCHFL Tier II Bonds 'C' FY- TATA CAPITAL HOUSING FINANCE LIMITED 10
2006 INE033L08031 Debentures Private Placement Taxable 1000000 11000000 28-10-2011 28-10-2021 10.00% Simple Once a year Finance Non PSU Other Active
FINANCE LIMITED 2011-12 NCD 28OT21 FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
TATA CAPITAL HOUSING TCHFL Tier II Bonds 'D' FY- TATA CAPITAL HOUSING FINANCE LIMITED 10
2007 INE033L08049 Debentures Private Placement Taxable 1000000 04-11-2011 04-11-2021 10% Simple Once a year Finance Non PSU Other Active
FINANCE LIMITED 2011-12 NCD 04NV21 FVRS10LAC
TATA CAPITAL HOUSING TCHFL Tier II Bonds 'E' FY- TATA CAPITAL HOUSING FINANCE LIMITED SR-
2008 INE033L08056 Debentures Private Placement Taxable 1000000 25-01-2012 25-01-2022 10.15% Simple Once a year Finance Non PSU Other Active
FINANCE LIMITED 2011-12 E 10.15 NCD 25JN22 FVRS10LAC
TATA CAPITAL HOUSING TCHFL Tier II Bonds 'F' FY- TATA CAPITAL HOUSING FINANCE LIMITED
2009 INE033L08064 Debentures Private Placement Taxable 1000000 12-03-2012 12-03-2022 10.15% Simple Once a year Finance Non PSU Other Active
FINANCE LIMITED 2011-12 10.15 NCD 12MR22 FVRS10LAC
TATA CAPITAL HOUSING TCHFL Tier II Bonds 'A' FY- TATA CAPITAL HOUSING FINANCE LIMITED 10
2010 INE033L08072 Debentures Private Placement Taxable 1000000 10-05-2012 10-05-2022 10% Simple Once a year Finance Non PSU Other Active
FINANCE LIMITED 2012-13 NCD 10MY22 FVRS10LAC
TATA CAPITAL HOUSING TCHFL Tier II Bonds 'C' FY- TATA CAPITAL HOUSING FINANCE LIMITED
2011 INE033L08080 Debentures Private Placement Taxable 1000000 30-05-2012 30-05-2022 10.05% Simple Once a year Finance Non PSU Other Active
FINANCE LIMITED 2012-13 10.05 NCD 30MY22 FVRS10LAC
TATA CAPITAL HOUSING TCHFL Tier II Bonds 'B' FY- TATA CAPITAL HOUSING FINANCE LIMITED 10
2012 INE033L08098 Debentures Private Placement Taxable 1000000 30-05-2012 30-05-2022 10% Simple Once a year Finance Non PSU Other Active
FINANCE LIMITED 2012-13 NCD 30MY22 FVRS10LAC
TATA CAPITAL HOUSING TCHFL Tier II Bonds 'D' FY- TATA CAPITAL HOUSING FINANCE LIMITED SR-
2013 INE033L08106 Debentures Private Placement Taxable 1000000 230000000 22-08-2012 22-08-2022 10.25% Simple Once a year Finance Non PSU Other Active
FINANCE LIMITED 2012-13 D10.25 NCD 22AG22 FVRS10LAC
TATA CAPITAL HOUSING TCHFL Tier II Bonds 'E' FY- TATA CAPITAL HOUSING FINANCE LIMITED SR-
2014 INE033L08114 Debentures Private Placement Taxable 1000000 28-03-2013 28-03-2023 9.75% Simple Once a year Finance Non PSU Other Active
FINANCE LIMITED 2012-13 E 9.75 BD 28MR23 FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
TATA CAPITAL HOUSING TCHFL Tier II Bonds A FY TATA CAPITAL HOUSING FINANCE LIMITED SR-
2015 INE033L08122 Debentures Private Placement Taxable 1000000 15-04-2013 15-04-2023 9.7% Simple Once a year ICRA AAA/Stable;CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED 2013-14 A 9.7 BD 15AP23 FVRS10LAC
TATA CAPITAL HOUSING TCHFL Tier II Bonds B FY TATA CAPITAL HOUSING FINANCE LIMITED SR-
2016 INE033L08130 Debentures Private Placement Taxable 1000000 23-04-2013 23-04-2023 9.70% Simple Once a year CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED 2013-14 B 9.7 BD 23AP23 FVRS10LAC
TATA CAPITAL HOUSING TCHFL Tier II Bonds C FY TATA CAPITAL HOUSING FINANCE LIMITED SR-
2017 INE033L08148 Debentures Private Placement Taxable 1000000 10000000 20-05-2013 19-05-2023 9.3% Simple Once a year CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED 2013-14 C 9.3 BD 19MY23 FVRS10LAC
TATA CAPITAL HOUSING TCHFL TIER II BONDS D FY TATA CAPITAL HOUSING FINANCE LIMITED SR-
2018 INE033L08155 Bonds Private Placement Taxable 1000000 77000000 10-01-2014 10-01-2024 10% Simple Once a year CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED 2013-14 D 10 BD 10JN24 FVRS10LAC
TATA CAPITAL HOUSING TCHFL TIER II BONDS E TATA CAPITAL HOUSING FINANCE LIMITED SR-
2019 INE033L08163 Bonds Private Placement Taxable 1000000 4000000 18-03-2014 18-03-2024 10% Simple Once a year CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED SERIES FY 2013-14 E 10 BD 18MR24 FVRS10LAC
TATA CAPITAL HOUSING TCHFL TIER II BONDS A TATA CAPITAL HOUSING FINANCE LIMITED SR-
2020 INE033L08171 Bonds Private Placement Taxable 1000000 480000000 26-09-2014 26-09-2024 10.15% Simple Once a year CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED SERIES FY 2014-15 A 10.15 BD 26SP24 FVRS10LAC
TATA CAPITAL HOUSING TCHFL TIER II BONDS A TATA CAPITAL HOUSING FINANCE LIMITED SR-
2021 INE033L08189 Bonds Private Placement Taxable 1000000 400000000 28-04-2015 28-04-2025 9.25% Simple Once a year ICRA AAA/Stable;CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED SERIES FY 2015-16 A 9.25 BD 28AP25 FVRS10LAC
TATA CAPITAL HOUSING TCHFL TIER II BONDS B TATA CAPITAL HOUSING FINANCE LIMITED SR-
2022 INE033L08197 Bonds Private Placement Taxable 1000000 350000000 22-07-2015 22-07-2025 9.25% Simple Once a year ICRA AAA/Stable;CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED SERIES FY 2015-16 B 9.25 BD 22JL25 FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
TATA CAPITAL HOUSING TCHFL TIER II BONDS C TATA CAPITAL HOUSING FINANCE LIMITED SR-
2023 INE033L08205 Bonds Private Placement Taxable 1000000 100000000 16-09-2015 16-09-2025 9.20% Simple Once a year ICRA AAA/Stable;CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED SERIES FY 2015-16 C 9.2 BD 16SP25 FVRS10LAC
TATA CAPITAL HOUSING TCHFL TIER II BONDS D TATA CAPITAL HOUSING FINANCE LIMITED SR-
2024 INE033L08213 Bonds Private Placement Taxable 1000000 150000000 21-09-2015 19-09-2025 9.2% Simple Once a year ICRA AAA/Stable;CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED SERIES FY 2015-16 D 9.2 BD 19SP25 FVRS10LAC
TATA CAPITAL HOUSING TCHFL TIER II BONDS E TATA CAPITAL HOUSING FINANCE LIMITED SR-
2025 INE033L08221 Bonds Private Placement Taxable 1000000 300000000 04-11-2015 04-11-2025 8.99% Simple Once a year ICRA AAA/Stable;CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED SERIES FY 2015-16 E 8.99 BD 04NV25 FVRS10LAC
TATA CAPITAL HOUSING TCHFL TIER II BONDS F TATA CAPITAL HOUSING FINANCE LIMITED SR-
2026 INE033L08239 Bonds Private Placement Taxable 1000000 500000000 15-12-2015 15-12-2025 9% Simple Once a year ICRA AAA/Stable;CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED SERIES FY 2015-16 F 9 BD 15DC25 FVRS10LAC
TATA CAPITAL HOUSING TCHFL TIER II BONDS G TATA CAPITAL HOUSING FINANCE LIMITED SR-
2027 INE033L08247 Bonds Private Placement Taxable 1000000 450000000 17-12-2015 17-12-2025 9% Simple Once a year ICRA AAA/Stable;CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED SERIES FY 2015-16 G 9 BD 17DC25 FVRS10LAC
TATA CAPITAL HOUSING TCHFL TIER II BONDS H TATA CAPITAL HOUSING FINANCE LIMITED SR-
2028 INE033L08254 Bonds Private Placement Taxable 1000000 200000000 15-03-2016 13-03-2026 9% Simple Once a year ICRA AAA/Stable;CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED SERIES FY 2015-16 H 9 BD 13MR26 FVRS10LAC
TATA CAPITAL HOUSING TCHFL TIER II BONDS A TATA CAPITAL HOUSING FINANCE LIMITED SR-
2029 INE033L08262 Bonds Private Placement Taxable 1000000 2000000000 04-08-2016 04-08-2026 8.92% Simple Once a year CRISIL AAA/Stable;ICRA AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED SERIES FY 2016-17 A 8.92 BD 04AG26 FVRS10LAC
TATA CAPITAL HOUSING SERIES TCHFL TIER II TATA CAPITAL HOUSING FINANCE LIMITED SR
2031 INE033L08288 Debentures Private Placement Taxable 1000000 500000000 11-01-2021 10-01-2031 7.33% On Maturity ICRA AAA/Stable;CRISIL AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED BONDS A FY 2020-21 A 2020-21 7.33 NCD 10JN31 FVRS10LAC
TATA CAPITAL HOUSING SERIES TCHFL TIER II TATA CAPITAL HOUSING FINANCE LIMITED SR
2032 INE033L08296 Debentures Private Placement Taxable 1000000 1500000000 19-04-2021 18-04-2031 7.50% Once a year CRISIL AAA/Stable;ICRA AAA/Stable Finance Non PSU Other Active
FINANCE LIMITED BONDS A A 7.50 NCD 18AP31 FVRS10LAC
SURAJKIRAN SOLAR
SURAJKIRAN SOLAR TECHNOLOGIES PRIVATE
2036 INE034208012 TECHNOLOGIES PRIVATE Debentures Private Placement Taxable 10000 462300000 02-12-2017 01-12-2036 10% Simple Once a year Utilities Non PSU Other Active
LIMITED 10 CCD 01DC36 FVRS10000
LIMITED
ASSET HOMES PRIVATE ASSET HOMES PRIVATE LIMITED 12 LOA 01JL25 Compounding Irregular Consumer
2037 INE034807029 Debentures Private Placement Taxable 100000 198000000 23-04-2021 01-07-2025 12% Non PSU Other Active
LIMITED FVRS1LAC Occurence Services
MANAPPURAM ASSET SERIES MAAFIN MAR(2) MANAPPURAM ASSET FINANCE LIMITED SR Compounding
2049 INE034907126 Debentures Private Placement Taxable 1000 2400000 19-03-2019 19-06-2025 11.73% On Maturity Utilities Non PSU Other Active
FINANCE LIMITED 2019 DOUBLING MAAFIN MAR(2) 11.73 NCD 19JU25 FVRS1000
MANAPPURAM ASSET MAAFIN MARCH (3) 2019 MANAPPURAM ASSET FINANCE LIMITED SR Compounding
2052 INE034907159 Debentures Private Placement Taxable 1000 500000 30-03-2019 30-06-2025 11.73% On Maturity Utilities Non PSU Other Active
FINANCE LIMITED DOUBLING MAAFIN MAR(3) 11.73 NCD 30JU25 FVRS1000
MANAPPURAM ASSET SR MAAFIN APRIL 2019 MANAPPURAM ASSET FINANCE LIMITED SR Compounding
2053 INE034907167 Debentures Private Placement Taxable 1000 1500000 30-04-2019 30-04-2026 11.75% On Maturity Utilities Non PSU Other Active
FINANCE LIMITED CUMULATIVE MAAFIN APR 11.75 NCD 30AP26 FVRS1000
MANAPPURAM ASSET SERIES MAAFIN APR 2019 MANAPPURAM ASSET FINANCE LIMITED SR Compounding
2054 INE034907175 Debentures Private Placement Taxable 1000 1000000 30-04-2019 30-07-2025 11.73% On Maturity Utilities Non PSU Other Active
FINANCE LIMITED DOUBLING MAAFIN APR 11.73 NCD 30JL25 FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
MANAPPURAM ASSET SERIES MAAFIN APR 2019 MANAPPURAM ASSET FINANCE LIMITED SR Compounding Twelve times a
2055 INE034907183 Debentures Private Placement Taxable 1000 12700000 30-04-2019 30-04-2026 11.25% Utilities Non PSU Other Active
FINANCE LIMITED MONTHLY MAAFIN APR 11.25 NCD 30AP26 FVRS1000 year
MANAPPURAM ASSET SERIES MAAFIN MAY 2019 MANAPPURAM ASSET FINANCE LIMITED SR Compounding Twelve times a
2056 INE034907191 Debentures Private Placement Taxable 1000 22420000 31-05-2019 31-05-2026 11.25% Utilities Non PSU Other Active
FINANCE LIMITED MONTHLY MAAFIN MAY 11.25 NCD 31MY26 FVRS1000 year
MANAPPURAM ASSET SERIES MAAFIN MAY 2019 MANAPPURAM ASSET FINANCE LIMITED SR Compounding
2057 INE034907209 Debentures Private Placement Taxable 1000 4600000 31-05-2019 31-08-2025 11.73% On Maturity Utilities Non PSU Other Active
FINANCE LIMITED DOUBLING MAAFIN MAY 11.73 NCD 31AG25 FVRS1000
MANAPPURAM ASSET SERIES MAAFIN MAY 2019 MANAPPURAM ASSET FINANCE LIMITED SR Compounding
2058 INE034907217 Debentures Private Placement Taxable 1000 9100000 31-05-2019 31-05-2026 11.75% On Maturity Utilities Non PSU Other Active
FINANCE LIMITED CUMULATIVE MAAFIN MAY 11.75 NCD 31MY26 FVRS1000
MANAPPURAM ASSET MAAFIN JULY 2019 MANAPPURAM ASSET FINANCE LIMITED SR Compounding Twelve times a
2059 INE034907225 Debentures Private Placement Taxable 1000 17980000 31-07-2019 31-07-2026 11.25% Utilities Non PSU Other Active
FINANCE LIMITED MONTHLY 2019 MONTHLY 11.25 NCD 31JL26 FVRS1000 year
MANAPPURAM ASSET MAAFIN JULY 2019 MANAPPURAM ASSET FINANCE LIMITED SR Compounding
2061 INE034907241 Debentures Private Placement Taxable 1000 7775000 31-07-2019 31-07-2026 11.75% On Maturity Utilities Non PSU Other Active
FINANCE LIMITED CUMULATIVE MAAFIN 2019 11.75 NCD 31JL26 FVRS1000
MANAPPURAM ASSET SERIES MAAFIN AUGUST MANAPPURAM ASSET FINANCE LIMITED SR Twelve times a
2062 INE034907258 Debentures Private Placement Taxable 1000 9550000 31-08-2019 31-08-2026 11.25% Simple Utilities Non PSU Other Active
FINANCE LIMITED 2019 MOTHLY AUG 2019 MTH 11.25 NCD 31AG26 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SERIES - MAAFIN
MANAPPURAM ASSET MANAPPURAM ASSET FINANCE LIMITED SR Compounding
2065 INE034907282 OCTOBER 1 2019 Debentures Private Placement Taxable 1000 4500000 14-10-2019 14-10-2026 11.75% On Maturity Utilities Non PSU Other Active
FINANCE LIMITED OCT 1 2019 11.75 NCD 14OT26 FVRS1000
CUMULATIVE
SERIES - MAAFIN
MANAPPURAM ASSET MANAPPURAM ASSET FINANCE LIMITED SR Compounding
2073 INE034907365 NOVEMBER 2019 Debentures Private Placement Taxable 1000 5100000 15-11-2019 15-11-2026 11.75% On Maturity Utilities Non PSU Other Active
FINANCE LIMITED NOV 2019 CUM 11.75 NCD 15NV26 FVRS1000
CUMULATIVE
SERIES - MAAFIN
MANAPPURAM ASSET MANAPPURAM ASSET FINANCE LIMITED SR Twelve times a
2074 INE034907373 NOVEMBER 2019 Debentures Private Placement Taxable 1000 4827000 15-11-2019 15-11-2026 11.25% Simple Utilities Non PSU Other Active
FINANCE LIMITED NOV 2019 MTH 11.25 NCD 15NV26 FVRS1000 year
MONTHLY
MANAPPURAM ASSET SERIES - MAAFIN JANUARY MANAPPURAM ASSET FINANCE LIMITED SR Twelve times a
2076 INE034907399 Debentures Private Placement Taxable 1000 20000000 25-01-2020 25-01-2027 12% Simple Utilities Non PSU Other Active
FINANCE LIMITED 2 2020 MONTHLY JAN 2 2020 MTH 12 NCD 25JN27 FVRS1000 year
MANAPPURAM ASSET SERIES MAAFIN DEC 2019 MANAPPURAM ASSET FINANCE LIMITED SR Twelve times a
2078 INE034907415 Debentures Private Placement Taxable 1000 8925000 30-12-2019 30-12-2026 11.25% Simple Utilities Non PSU Other Active
FINANCE LIMITED MONTHLY DEC 2019 MTH 11.25 NCD 30DC26 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
MANAPPURAM ASSET SERIES MAAFIN SR DEC MANAPPURAM ASSET FINANCE LIMITED SR Twelve times a
2079 INE034907423 Debentures Private Placement Taxable 1000 15000000 30-12-2019 30-12-2026 12% Simple Utilities Non PSU Other Active
FINANCE LIMITED 2019 MONTHLY DEC 2019 MTH 12 NCD 30DC26 FVRS1000 year
MANAPPURAM ASSET SERIES - FEBRUARY 1 - MANAPPURAM ASSET FINANCE LIMITED SR Twelve times a
2081 INE034907456 Debentures Private Placement Taxable 1000 10000000 06-02-2020 06-02-2027 12% Simple Utilities Non PSU Other Active
FINANCE LIMITED 2020 MONTHLY FEB 1-2020 MTH 12 NCD 06FB27 FVRS1000 year
MANAPPURAM ASSET SERIES MAAFIN APRIL MANAPPURAM ASSET FINANCE LIMITED SR Compounding
2086 INE034907514 Debentures Private Placement Taxable 1000 4650000 29-04-2020 29-07-2026 11.73% On Maturity Utilities Non PSU Other Active
FINANCE LIMITED 2020 DOUBLING APR 2020 DOUB 11.73 NCD 29JL26 FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
MANAPPURAM ASSET MAAFIN APRIL 2020 MANAPPURAM ASSET FINANCE LIMITED SR Compounding
2087 INE034907522 Debentures Private Placement Taxable 1000 22265000 29-04-2020 29-04-2027 11.75% On Maturity Utilities Non PSU Other Active
FINANCE LIMITED CUMULATIVE APR 2020 CUM 11.75 NCD 29AP27 FVRS1000
MANAPPURAM ASSET SERIES - MAAFIN MAY 2020 MANAPPURAM ASSET FINANCE LIMITED SR Compounding
2088 INE034907530 Debentures Private Placement Taxable 1000 17360000 25-05-2020 25-05-2027 11.75% On Maturity Utilities Non PSU Other Active
FINANCE LIMITED CUMULATIVE MY20 CUM 11.75 NCD 25MY27 FVRS1000
MANAPPURAM ASSET SERIES - MAAFIN MAY 2020 MANAPPURAM ASSET FINANCE LIMITED SR Twelve times a
2089 INE034907548 Debentures Private Placement Taxable 1000 27770000 25-05-2020 25-05-2027 11.25% Simple Utilities Non PSU Other Active
FINANCE LIMITED MONTHLY MY20 MONTH 11.25 NCD 25MY27 FVRS1000 year
MANAPPURAM ASSET SERIES JULY2020 MANAPPURAM ASSET FINANCE LIMITED SR Twelve times a
2096 INE034907621 Debentures Private Placement Taxable 1000 36150000 27-07-2020 27-07-2027 11% Simple Utilities Non PSU Other Active
FINANCE LIMITED MONTHLY JL2020MTH 11 NCD 27JL27 FVRS1000 year
MANAPPURAM ASSET SERIES OCT2020 MANAPPURAM ASSET FINANCE LIMITED SR Twelve times a
2099 INE034907654 Debentures Private Placement Taxable 1000 23900000 21-10-2020 21-10-2027 10% Simple Utilities Non PSU Other Active
FINANCE LIMITED MONTHLY OCT2020 MTH 10 NCD 21OT27 FVRS1000 year
MANAPPURAM ASSET SERIES AUG 2020 MANAPPURAM ASSET FINANCE LIMITED SR Twelve times a
2101 INE034907670 Debentures Private Placement Taxable 1000 15000000 27-08-2020 27-08-2027 10% Simple Utilities Non PSU Other Active
FINANCE LIMITED MONTHLY AUG 2020 MTHLY 10 NCD 27AG27 FVRS1000 year
MANAPPURAM ASSET SERIES MAAFIN JANUARY MANAPPURAM ASSET FINANCE LIMITED SR Twelve times a
2105 INE034907746 Debentures Private Placement Taxable 1000 12100000 05-01-2021 05-01-2028 9% Simple Utilities Non PSU Other Active
FINANCE LIMITED 2021 MONTHLY MTHLY 9 NCD 05JN28 FVRS1000 year
MANAPPURAM ASSET SERIES MAAFIN JANUARY MANAPPURAM ASSET FINANCE LIMITED SR Compounding
2106 INE034907753 Debentures Private Placement Taxable 1000 2000000 05-01-2021 05-01-2028 9.50% On Maturity Utilities Non PSU Other Active
FINANCE LIMITED 2021 CUMULATIVE CUM 9.50 NCD 05JN28 FVRS1000
MANAPPURAM ASSET SERIES MAAFIN JANUARY MANAPPURAM ASSET FINANCE LIMITED SR Twelve times a
2109 INE034907787 Debentures Private Placement Taxable 1000 10000000 05-01-2021 05-01-2028 9.50% Simple Utilities Non PSU Other Active
FINANCE LIMITED 2021 MONTHLY MTHLY 9.50 NCD 05JN28 FVRS1000 year
MANAPPURAM ASSET SERIES MAAFIN JANUARY MANAPPURAM ASSET FINANCE LIMITED SR Compounding
2110 INE034907795 Debentures Private Placement Taxable 1000 10000000 05-01-2021 05-01-2028 10% On Maturity Utilities Non PSU Other Active
FINANCE LIMITED 2021 CUMULATIVE CUM 10 NCD 05JN28 FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
2111 INE034A07059 ARVIND LIMITED N.A ARVIND LIMITED 8.50 LOA 02JU23 FVRS10LAC Debentures Private Placement Taxable 1000000 750000000 03-06-2020 02-06-2023 8.50% Simple Once a year CARE AA- Basic Materials Active
2112 INE034A08032 ARVIND LIMITED N.A. ARVIND LIMITED 8 NCD 08SP21 FVRS10LAC Debentures Private Placement Taxable 1000000 1000000000 08-09-2017 08-09-2021 8% Simple Once a year CARE AA-/Negative Basic Materials Active
CHEMM FINANCE LIMITED SR 37 12 NCD Twelve times a BWR BB-/Stable (ISSUER NOT
2123 INE036007057 CHEMM FINANCE LIMITED 37TH Debentures Private Placement Taxable 1000 23775000 20-05-2019 20-05-2022 12% Simple Utilities Non PSU Other Active
20MY22 FVRS1000 year COOPERATING*)
RELIANCE INFRASTRUCTURE RELIANCE INFRASTRUCTURE LIMITED SR-18 Four times a CARE D (ISSUER NOT
2132 INE036A07294 SERIES 18 Debentures Private Placement Taxable 1000000 6000000000 21-01-2014 21-01-2022 11.5% Simple Energy Non PSU Other Active
LIMITED 11.5 LOA 21JN22 FVRS10LAC year COOPERATING*)
INE036D08015 THE KARUR VYSYA BANK KVB 032019 BASEL III TIER THE KARUR VYSYA BANK LIMITED TR A 11.95
2134 Bonds Private Placement Taxable 100000 4870000000 12-03-2019 12-06-2029 11.95% Simple Once a year ICRA A/Stable;IND A+/Stable Finance Active
LIMITED II BOND TRANCHE A BD 12JN29 FVRS1LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
WONDERVALUE REALTY
WONDERVALUE REALTY DEVELOPERS Four times a
2137 INE036T07021 DEVELOPERS PRIVATE N.A. Debentures Private Placement Taxable 100000 450000000 28-09-2017 27-09-2021 15% Simple Others Non PSU Other Active
PRIVATE LIMITED 15 LOA 27SP21 FVRS1LAC year
LIMITED
Consumer Goods
TIERRA FARM ASSETS TIERRA FARM ASSETS COMPANY PRIVATE Four times a
2138 INE036U07169 SERIES 16 Debentures Private Placement Taxable 20000 20000000 28-06-2017 28-06-2021 18.25% Simple including FMGC Non PSU Other Active
COMPANY PRIVATE LIMITED LIMITED SR-16 18.25 NCD 28JU21 FVRS20000 year
Consumer Goods
TIERRA FARM ASSETS TIERRA FARM ASSETS COMPANY PRIVATE Four times a
2139 INE036U07177 SERIES 17 Debentures Private Placement Taxable 20000 20000000 28-07-2017 28-07-2021 18.25% Simple including FMGC Non PSU Other Active
COMPANY PRIVATE LIMITED LIMITED SR-17 18.25 NCD 28JL21 FVRS20000 year
WIND ONE RENERGY PRIVATE WIND ONE RENERGY PRIVATE LIMITED 10 NCD
2143 INE037008013 N.A. Debentures Private Placement Taxable 100000 500000000 24-05-2019 31-03-2023 10% Simple Once a year Utilities Non PSU Other Active
LIMITED 31MR23 FVRS1LAC
WIND ONE RENERGY PRIVATE WIND ONE RENERGY PRIVATE LIMITED 9.50
2144 INE037008021 N.A. Debentures Private Placement Taxable 100 600000000 15-06-2019 31-03-2023 9.50% Simple Once a year Utilities Non PSU Other Active
LIMITED OCD 31MR23 FVRS100
Public Sector
TATA TELESERVICES LIMITED SR II TR 6 0.10
2149 INE037E08136 TATA TELESERVICES LIMITED SERIES II TRANCHE 6 Debentures Private Placement Taxable 100 18564000000 10-01-2019 10-01-2022 0.10% Simple Once a year Finance Undertaking (PSU) Other Active
OCD 10JN22 FVRS100
Public Sector
TATA TELESERVICES LIMITED SR II TR 1 0.1
2150 INE037E08144 TATA TELESERVICES LIMITED SERIES III TRANCHE I Debentures Private Placement Taxable 100 20000002600 07-08-2019 07-08-2022 0.1% Simple Once a year Finance Undertaking (PSU) Other Active
OCD 07AG22 FVRS100
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
HINDALCO INDUSTRIES HINDALCO INDUSTRIES LIMITED 9.55 NCD CRISIL AA/Positive;CARE AA+/Negative
2151 INE038A07258 9.55% Series 2012-I Debentures Private Placement Taxable 1000000 30000000000 25-04-2012 25-04-2022 9.55% Simple Once a year Industrial Non PSU Other Active
LIMITED 25AP22 FVRS10LAC LOA UPTO 26JU12
HINDALCO INDUSTRIES HINDALCO INDUSTRIES LIMITED SR-II 9.55NCD CARE AA+/Negative;CRISIL AA/Positive
2152 INE038A07266 9.55% Series 2012-II Debentures Private Placement Taxable 1000000 15000000000 27-06-2012 27-06-2022 9.55% Simple Once a year Industrial Non PSU Other Active
LIMITED 27JU22 FVRS10LAC LOAUPTO 01AG12
HINDALCO INDUSTRIES HINDALCO INDUSTRIES LIMITED 9.6 NCD CRISIL AA/Positive;CARE AA+/Negative
2153 INE038A07274 9.60% Series 2012-III Debentures Private Placement Taxable 1000000 15000000000 02-08-2012 02-08-2022 9.6% Simple Once a year Industrial Non PSU Other Active
LIMITED 02AG22 FVRS10LAC LOA UPTO 02SP12
PEGASUS VENTURES PRIVATE PEGASUS VENTURES PRIVATE LIMITED 13 NCD Four times a
2154 INE038X07011 N.A. Debentures Private Placement Taxable 10000000 500000000 17-03-2017 16-03-2022 13.00% Simple Utilities Non PSU Other Active
LIMITED 16MR22 FVRS1CR year
GOLDEN TOWER INFRATECH GOLDEN TOWER INFRATECH PRIVATE LIMITED Twelve times a
2155 INE038Z07024 N.A Debentures Private Placement Taxable 1000000 1180000000 09-12-2020 08-12-2022 14% Simple IVR BB/Stable Utilities Non PSU Other Active
PRIVATE LIMITED 14 LOA 08DC22 FVRS10LAC year
IFCI LIMITED SR-IV 9.9 NCD 01DC21 FVRS1000 BWR BBB+/Negative;ICRA BBB-
2156 INE039A07785 IFCI LIMITED NCD1 SERIES IV Debentures Public Issue Taxable 1000 1767869000 01-12-2014 01-12-2021 9.9% Simple Once a year Finance Non PSU NBFC Active
LOA UPTO 17MY15 /Negative
IFCI LIMITED SR-VI 9.9 NCD 01DC24 FVRS1000 BWR BBB+/Negative;ICRA BBB-
2158 INE039A07801 IFCI LIMITED NCD 1 SERIES VI Debentures Public Issue Taxable 1000 6061652000 01-12-2014 01-12-2024 9.9% Simple Once a year Finance Non PSU NBFC Active
LOA UPTO 17MY15 /Negative
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
TRANCHE II NCD 2 SERIES IFCI LIMITED SR-III 9.4 NCD 13FB25 FVRS1000 BWR BBB+/Negative;ICRA BBB-
2160 INE039A07843 IFCI LIMITED Debentures Public Issue Taxable 1000 3028145000 13-02-2015 13-02-2025 9.4% Simple Once a year Finance Non PSU NBFC Active
III LOAUPTO 17MY15 /Negative
TRANCHE II NCD 2 SERIES IFCI LIMITED SR-IV NCD 13FB25 FVRS1000 LOA BWR BBB+/Negative;ICRA BBB-
2161 INE039A07850 IFCI LIMITED Debentures Public Issue Taxable 1000 225510000 13-02-2015 13-02-2025 0% Simple Finance Non PSU NBFC Active
IV UPTO 17MY15 /Negative
INE039A09LG7 IFCI LIMITED 9.55 BD 05MR25 FVRS10LAC LOA ICRA BBB-/Negative;BWR BBB-;CARE
2169 IFCI LIMITED SERIES 48 Bonds Private Placement Taxable 1000000 2000000000 05-03-2010 05-03-2025 9.55% Simple Once a year Finance Non PSU NBFC Active
UPTO 28JU10 BBB-
INE039A09MN1
2185 IFCI LIMITED Series-55 IFCI LIMITED 9.98 LOA 29OT30 FVRS10LAC Bonds Private Placement Taxable 1000000 2489000000 29-10-2010 29-10-2030 9.98% Once a year Finance Non PSU NBFC Active
INE039A09NM1 IFCI LIMITED 10.75 BD 01AG26 FVRS10000 LOA Compounding BWR BBB+/Negative;CARE BBB-
2189 IFCI LIMITED SERIES I Bonds Private Placement Taxable 10000 649570000 01-08-2011 01-08-2026 10.75% On Maturity Finance Non PSU NBFC Active
UPTO 29SP11 /Negative
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE039A09NP4 IFCI LIMITED 10.55 BD 25AG21 FVRS10LAC LOA ICRA BBB-/Negative;BWR BBB-;CARE
2190 IFCI LIMITED SERIES II Bonds Private Placement Taxable 1000000 25-08-2011 25-08-2021 10.55% Simple Once a year Finance Non PSU NBFC Active
UPTO 07FB12 BBB-
INE039A09NX8 Series-III- Option- I (Infra IFCI LIMITED OP-I 8.5 BD 12DC21 FVRS5000 LOA
2194 IFCI LIMITED Bonds Taxable 5000 12-12-2011 12-12-2021 8.50% On Maturity Finance Non PSU NBFC Active
Bonds) UPTO 07FB12
INE039A09NY6 Series-III- Option- II (Infra IFCI LIMITED OP-II 8.5 BD 12DC21 FVRS5000
2195 IFCI LIMITED Bonds Taxable 5000 73865000 12-12-2011 12-12-2021 8.50% Once a year Finance Non PSU NBFC Active
Bonds) LOA UPTO 07FB12
INE039A09NZ3 Series-III- Option- III (Infra IFCI LIMITED OP-III 8.75 BD12DC26 FVRS5000
2196 IFCI LIMITED Bonds Taxable 5000 32700000 12-12-2011 12-12-2026 8.75% On Maturity Finance Non PSU NBFC Active
Bonds) LOA UPTO 07FB12
INE039A09OA4 Series-III- Option- IV (Infra IFCI LIMITED OP-IV 8.75 BD 12DC26 FVRS5000
2197 IFCI LIMITED Bonds Taxable 5000 12815000 12-12-2011 12-12-2026 8.75% Once a year Finance Non PSU NBFC Active
Bonds) LOA UPTO 07FB12
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE039A09OE6 Series-IV- Option- I (Infra IFCI LIMITED OP-I 9.09 BD 15FB22 FVRS5000
2199 IFCI LIMITED Bonds Taxable 5000 446925000 15-02-2012 15-02-2022 9.09% On Maturity Finance Non PSU NBFC Active
Bonds) LOA UPTO 26AP12
INE039A09OF3 Series-IV- Option- II (Infra IFCI LIMITED OP-II 9.09 BD 15FB22 FVRS5000
2200 IFCI LIMITED Bonds Taxable 5000 15-02-2012 15-02-2022 9.09% Once a year Finance Non PSU NBFC Active
Bonds) LOA UPTO 26AP12
INE039A09OG1 Series-IV- Option- III (Infra IFCI LIMITED OPIII 9.16 BD 15FB27 FVRS5000
2201 IFCI LIMITED Bonds Taxable 5000 367390000 15-02-2012 15-02-2027 9.16% On Maturity Finance Non PSU NBFC Active
Bonds) LOA UPTO 26AP12
INE039A09OH9 Series-IV- Option- IV (Infra IFCI LIMITED OP-IV 9.16 BD 15FB27 FVRS5000
2202 IFCI LIMITED Bonds Taxable 5000 15-02-2012 15-02-2027 9.16% Once a year Finance Non PSU NBFC Active
Bonds) LOA UPTO 26AP12
INE039A09OU2 Series-V- Option- I (Infra IFCI LIMITED SRV OP-I 8.5BD 31MR24 FVRS5000
2208 IFCI LIMITED Bonds Taxable 5000 12-04-2012 31-03-2024 8.50% On Maturity Finance Non PSU NBFC Active
Bonds) LOA UPTO17JL12
INE039A09OV0 Series-V- Option- II (Infra IFCI LIMITED SRV OPII 8.5BD 31MR24 FVRS5000
2209 IFCI LIMITED Bonds Taxable 5000 12-04-2012 31-03-2024 8.50% Once a year Finance Non PSU NBFC Active
Bonds) LOA UPTO17JL12
INE039A09OW8 Series-V- Option- III (Infra IFCI LIMITED OPIII 8.72BD 31MR27 FVRS5000
2210 IFCI LIMITED Bonds Taxable 5000 31690000 12-04-2012 31-03-2027 8.72% On Maturity Finance Non PSU NBFC Active
Bonds) LOAUPTO17JL12
INE039A09OX6 Series-V- Option- IV (Infra IFCI LIMITED SRV OPIV 8.72BD 31MR27
2211 IFCI LIMITED Bonds Taxable 5000 12-04-2012 31-03-2027 8.72% Once a year Finance Non PSU NBFC Active
Bonds) FVRS5000LOA UPTO17JL12
INE039A09PN4 IFCI LIMITED 58(B) 9.9 BD 05NV27 FVRS25000 BWR BBB+/Negative;CARE BBB-
2221 IFCI LIMITED Bonds Private Placement Taxable 25000 1045771875 05-11-2012 05-11-2027 9.9% Simple Once a year Finance Non PSU NBFC Active
LOA UPTO 04DC12 /Negative
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SHOPSENSE RETAIL
INE03BG08013 SHOPSENSE RETAIL TECHNOLOGIES PRIVATE
2230 TECHNOLOGIES PRIVATE Debentures Rights Issue Taxable 10000 200000000 12-01-2021 11-01-2031 0.0001% Simple Once a year Utilities Non PSU Other Active
LIMITED 0.0001% OCD 11JN31 FVRS10000
LIMITED
INE03BQ07014 PARAKITE BUILDERS PRIVATE PARAKITE BUILDERS PRIVATE LIMITED 17 NCD Compounding Four times a
2231 Debentures Private Placement Taxable 100000 550000000 01-10-2019 30-09-2023 17% Others Non PSU Other Active
LIMITED 30SP23 FVRS1LAC year
LINKED TO
SPRNG AGNITRA PRIVATE SPRNG AGNITRA PRIVATE LIMITED BR OCD TRANSFER
2232 INE03BS08018 N.A. Debentures Private Placement Taxable 10 200000000 28-12-2018 27-06-2041 Simple Once a year Utilities Non PSU Other Active
LIMITED 27JU41 FVRS10 PRICING
STUDY
LINKED TO
SPRNG AGNITRA PRIVATE SPRNG AGNITRA PRIVATE LIMITED BR OCD TRANSFER
2233 INE03BS08026 Debentures Private Placement Taxable 10 500000000 05-02-2019 04-08-2041 Simple Once a year Utilities Non PSU Other Active
LIMITED 04AG41 FVRS10 PRICING
STUDY
RESET RATE
FLASH CAPITAL PRIVATE FLASH CAPITAL PRIVATE LIMITED SERIES 1 RR
2239 INE03BX07010 SERIES 1 Debentures Private Placement Taxable 1000000 150000000 18-01-2019 18-01-2024 - REFER Twice a year Utilities Non PSU Other Active
LIMITED LOA 18JN24 FVRS10LAC
REMARKS
INE03CO07017 PUNJAB KASHMIR FINANCE SERIES 23 NORMAL PUNJAB KASHMIR FINANCE LIMITED SR 23 Compounding
2241 Debentures Private Placement Taxable 1000 4850000 29-06-2019 29-06-2022 8.50% On Maturity Utilities Non PSU Other Active
LIMITED CUMULATIVE NRML CUM 8.50 LOA 29JU22 FVRS1000
INE03CO07025 PUNJAB KASHMIR FINANCE SERIES 23 SENIOR CITIZEN PUNJAB KASHMIR FINANCE LIMITED SR 23 SNR Compounding
2242 Debentures Private Placement Taxable 1000 4850000 29-06-2019 29-06-2022 9% On Maturity Utilities Non PSU Other Active
LIMITED CUMULATIVE CTZN CUM 9 LOA 29JU22 FVRS1000
INE03CO07033 PUNJAB KASHMIR FINANCE SERIES 23 SENIOR CITIZEN PUNJAB KASHMIR FINANCE LIMITED SR 23 SNR Twelve times a
2243 Debentures Private Placement Taxable 1000 300000 29-06-2019 29-06-2022 8.80% Simple Utilities Non PSU Other Active
LIMITED MONTHLY CTZN MTH 8.80 LOA 29JU22 FVRS1000 year
INE03CO07041 PUNJAB KASHMIR FINANCE PUNJAB KASHMIR FINANCE LIMITED SERIES 24 Compounding
2244 SERIES 24 NORMAL Debentures Private Placement Taxable 1000 11460000 31-07-2019 31-07-2022 8.40% On Maturity Utilities Non PSU Other Active
LIMITED NORML 8.40 LOA 31JL22 FVRS1000
INE03CO07058 PUNJAB KASHMIR FINANCE SERIES 24 SENIOR CITIZEN PUNJAB KASHMIR FINANCE LIMITED SERIES 24 Compounding
2245 Debentures Private Placement Taxable 1000 500000 31-07-2019 31-07-2022 8.90% On Maturity Utilities Non PSU Other Active
LIMITED SNR CUM 8.90 LOA 31JL22 FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE03CO07066 PUNJAB KASHMIR FINANCE SERIES 24 SENIOR CITIZEN PUNJAB KASHMIR FINANCE LIMITED SR 24 SNR Twelve times a
2246 Debentures Private Placement Taxable 1000 400000 31-07-2019 31-07-2022 8.70% Simple Utilities Non PSU Other Active
LIMITED MONTHLY MTH 8.70 LOA 31JL22 FVRS1000 year
INE03CO07074 PUNJAB KASHMIR FINANCE SERIES 25- NORMAL- PUNJAB KASHMIR FINANCE LIMITED SR 25 Compounding
2247 Debentures Private Placement Taxable 1000 1150000 31-10-2019 31-10-2022 8% On Maturity Utilities Non PSU Other Active
LIMITED COMPOUNDED YEARLY NRML COM YRL 8 LOA 31OT22 FVRS1000
INE03CO07116 PUNJAB KASHMIR FINANCE SERIES 25- SENIOR PUNJAB KASHMIR FINANCE LIMITED SR 25 SNR Twelve times a
2249 Debentures Private Placement Taxable 1000 200000 31-10-2019 31-10-2022 8.40% Simple Utilities Non PSU Other Active
LIMITED CITIZEN- MONTHLY CTZ MTH 8.40 LOA 31OT22 FVRS1000 year
INE03CO07124 PUNJAB KASHMIR FINANCE SERIES 26- NORMAL- PUNJAB KASHMIR FINANCE LIMITED SR 26 Compounding
2250 Debentures Private Placement Taxable 1000 810000 31-12-2019 31-12-2022 8% On Maturity Utilities Non PSU Other Active
LIMITED COMPOUNDED YEARLY NRML CMP YRLY 8 LOA 31DC22 FVRS1000
INE03CO07173 PUNJAB KASHMIR FINANCE SERIES 26- NORMAL PUNJAB KASHMIR FINANCE LIMITED SR 26 Four times a
2253 Debentures Private Placement Taxable 1000 400000 31-12-2019 31-12-2024 8.25% Simple Utilities Non PSU Other Active
LIMITED QUARTERLY NRML QRTLY 8.25 LOA 31DC24 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE03CO07181 PUNJAB KASHMIR FINANCE SERIES 26- SENIOR PUNJAB KASHMIR FINANCE LIMITED SR 26 SNR Compounding Four times a
2254 Debentures Private Placement Taxable 1000 500000 31-12-2019 31-12-2024 8.75% Utilities Non PSU Other Active
LIMITED CITIZEN QUARTERLY CTZ QTRLY 8.75 LOA 31DC24 FVRS1000 year
INE03CO07199 PUNJAB KASHMIR FINANCE SERIES 27- NORMAL PUNJAB KASHMIR FINANCE LIMITED SR 27 Compounding
2255 Debentures Private Placement Taxable 1000 200000 29-02-2020 28-02-2025 8% On Maturity Utilities Non PSU Other Active
LIMITED COMPOUNDED YEARLY NRML CM YRLY 8 LOA 28FB25 FVRS1000
INE03CO07249 PUNJAB KASHMIR FINANCE SERIES 27- SENIOR PUNJAB KASHMIR FINANCE LIMITED SR 27 SNR Twelve times a
2258 Debentures Private Placement Taxable 1000 200000 29-02-2020 28-02-2023 8.15% Simple Utilities Non PSU Other Active
LIMITED CITIZEN MONTHLY CTZN MTH 8.15 LOA 28FB23 FVRS1000 year
INE03CO07306 PUNJAB KASHMIR FINANCE PUNJAB KASHMIR FINANCE LIMITED 6.75 LOA Compounding
2262 Debentures Private Placement Taxable 1000 14170000 30-06-2020 30-07-2021 6.75% On Maturity Utilities Non PSU Other Active
LIMITED 30JL21 FVRS1000
INE03CO07322 PUNJAB KASHMIR FINANCE 29- NORMAL QUARTERLY- PUNJAB KASHMIR FINANCE LIMITED SR 29 Four times a
2264 Debentures Private Placement Taxable 1000 4100000 30-06-2020 30-06-2025 7.25% Utilities Non PSU Other Active
LIMITED 60 MONTHS NORM QUAR 7.25 LOA 30JU25 FVRS1000 year
INE03CO07355 PUNJAB KASHMIR FINANCE PUNJAB KASHMIR FINANCE LIMITED SR 29 SNR Compounding
2267 Debentures Private Placement Taxable 1000 1800000 30-06-2020 30-06-2025 7.75% On Maturity Utilities Non PSU Other Active
LIMITED CTZ COM 7.75 LOA 30JU25 FVRS1000
DEBENTURE.SERIES 31-
INE03CO07421 PUNJAB KASHMIR FINANCE SENIOR CITIZEN PUNJAB KASHMIR FINANCE LIMITED SR 31 SN Compounding
2274 Debentures Private Placement Taxable 1000 2200000 31-10-2020 31-10-2023 7.75% On Maturity Utilities Non PSU Other Active
LIMITED COMPOUNDED YEARLY-36 CT COM YR 7.75 NCD 31OT23 FVRS1000
MONTHS.
INE03CO07447 PUNJAB KASHMIR FINANCE SERIES 31-NORMAL PUNJAB KASHMIR FINANCE LIMITED SR 31 NOR Twelve times a
2276 Debentures Private Placement Taxable 1000 300000 31-10-2020 31-10-2023 7.15% Simple Utilities Non PSU Other Active
LIMITED MONTHLY-36 MONTHS. MON 7.15 NCD 31OT23 FVRS1000 year
INE03CO07454 PUNJAB KASHMIR FINANCE PUNJAB KASHMIR FINANCE LIMITED SR 30 6.75 Compounding
2277 SERIES 30 Debentures Private Placement Taxable 1000 1400000 31-08-2020 30-09-2021 6.75% On Maturity Utilities Non PSU Other Active
LIMITED NCD 30SP21 FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE03CO07462 PUNJAB KASHMIR FINANCE PUNJAB KASHMIR FINANCE LIMITED SR 30 7.25 Compounding
2278 SERIES 30 Debentures Private Placement Taxable 1000 9354000 31-08-2020 31-08-2023 7.25% On Maturity Utilities Non PSU Other Active
LIMITED NCD 31AG23 FVRS1000
INE03CO07470 PUNJAB KASHMIR FINANCE PUNJAB KASHMIR FINANCE LIMITED SR 30 7.50 Compounding
2279 SERIES 30 Debentures Private Placement Taxable 1000 600000 31-08-2020 31-08-2025 7.50% On Maturity Utilities Non PSU Other Active
LIMITED NCD 31AG25 FVRS1000
INE03CO07488 PUNJAB KASHMIR FINANCE PUNJAB KASHMIR FINANCE LIMITED SR 30 7.25 Compounding
2280 SERIES 30 Debentures Private Placement Taxable 1000 2575000 31-08-2020 30-09-2021 7.25% On Maturity Utilities Non PSU Other Active
LIMITED NCD 30SP21 FVRS1000
INE03CO07496 PUNJAB KASHMIR FINANCE PUNJAB KASHMIR FINANCE LIMITED SR 30 7.75 Compounding
2281 SERIES 30 Debentures Private Placement Taxable 1000 7245000 31-08-2020 31-08-2023 7.75% On Maturity Utilities Non PSU Other Active
LIMITED NCD 31AG23 FVRS1000
INE03CO07512 PUNJAB KASHMIR FINANCE PUNJAB KASHMIR FINANCE LIMITED SR 30 7.6 Twelve times a
2283 SERIES 30 Debentures Private Placement Taxable 1000 1600000 31-08-2020 31-08-2023 7.6% Simple Utilities Non PSU Other Active
LIMITED NCD 31AG23 FVRS1000 year
INE03CO07520 PUNJAB KASHMIR FINANCE PUNJAB KASHMIR FINANCE LIMITED SR 30 7.85 Four times a
2284 SERIES 30 Debentures Private Placement Taxable 1000 2300000 31-08-2020 31-08-2025 7.85% Simple Utilities Non PSU Other Active
LIMITED NCD 31AG25 FVRS1000 year
INE03CO07546 PUNJAB KASHMIR FINANCE PUNJAB KASHMIR FINANCE LIMITED SR 32 7.25 Compounding
2286 SERIES 32 Debentures Private Placement Taxable 1000 13945000 31-12-2020 31-12-2023 7.25% On Maturity Utilities Non PSU Other Active
LIMITED NCD 31DC23 FVRS1000
INE03CO07553 PUNJAB KASHMIR FINANCE PUNJAB KASHMIR FINANCE LIMITED SR 32 7.25 Compounding
2287 SERIES 32 Debentures Private Placement Taxable 1000 7170000 31-12-2020 31-01-2022 7.25% On Maturity Utilities Non PSU Other Active
LIMITED NCD 31JN22 FVRS1000
INE03CO07561 PUNJAB KASHMIR FINANCE PUNJAB KASHMIR FINANCE LIMITED SR 32 7.50 Compounding
2288 SERIES 32 Debentures Private Placement Taxable 1000 9718000 31-12-2020 31-12-2023 7.50% On Maturity Utilities Non PSU Other Active
LIMITED NCD 31DC23 FVRS1000
INE03CO07579 PUNJAB KASHMIR FINANCE PUNJAB KASHMIR FINANCE LIMITED SR 32 7.75 Compounding
2289 SERIES 32 Debentures Private Placement Taxable 1000 700000 31-12-2020 31-12-2025 7.75% On Maturity Utilities Non PSU Other Active
LIMITED NCD 31DC25 FVRS1000
INE03CO07587 PUNJAB KASHMIR FINANCE PUNJAB KASHMIR FINANCE LIMITED SR 32 7.40 Four times a
2290 SERIES 32 Debentures Private Placement Taxable 1000 950000 31-12-2020 31-12-2023 7.40% Simple Utilities Non PSU Other Active
LIMITED NCD 31DC23 FVRS1000 year
INE03CO07595 PUNJAB KASHMIR FINANCE PUNJAB KASHMIR FINANCE LIMITED SR 32 7.65 Four times a
2291 SERIES 32 Debentures Private Placement Taxable 1000 1550000 31-12-2020 31-12-2025 7.65% Simple Utilities Non PSU Other Active
LIMITED NCD 31DC25 FVRS1000 year
INE03CO07603 PUNJAB KASHMIR FINANCE PUNJAB KASHMIR FINANCE LIMITED SR 33 6.75 Compounding
2292 SERIES 33 Debentures Private Placement Taxable 1000 4705000 27-02-2021 27-03-2022 6.75% On Maturity Utilities Non PSU Other Active
LIMITED NCD 27MR22 FVRS1000
INE03CO07629 PUNJAB KASHMIR FINANCE PUNJAB KASHMIR FINANCE LIMITED SR 33 7.25 Compounding
2294 SERIES 33 Debentures Private Placement Taxable 1000 13338000 27-02-2021 27-02-2024 7.25% On Maturity Utilities Non PSU Other Active
LIMITED NCD 27FB24 FVRS1000
INE03CO07637 PUNJAB KASHMIR FINANCE PUNJAB KASHMIR FINANCE LIMITED SR 33 7.50 Compounding
2295 SERIES 33 Debentures Private Placement Taxable 1000 2000000 27-02-2021 27-02-2026 7.50% On Maturity Utilities Non PSU Other Active
LIMITED NCD 27FB26 FVRS1000
INE03CO07645 PUNJAB KASHMIR FINANCE PUNJAB KASHMIR FINANCE LIMITED SR 33 7.15 Four times a
2296 SERIES 33 Debentures Private Placement Taxable 1000 700000 27-02-2021 27-02-2024 7.15% Simple Utilities Non PSU Other Active
LIMITED NCD 27FB24 FVRS1000 year
INE03CO07652 PUNJAB KASHMIR FINANCE PUNJAB KASHMIR FINANCE LIMITED SR 33 7.40 Four times a
2297 SERIES 33 Debentures Private Placement Taxable 1000 500000 27-02-2021 27-02-2026 7.40% Simple Utilities Non PSU Other Active
LIMITED NCD 27FB26 FVRS1000 year
INE03CO07660 PUNJAB KASHMIR FINANCE PUNJAB KASHMIR FINANCE LIMITED SR 34 6.75 Compounding
2298 Debentures Private Placement Taxable 1000 1775000 30-04-2021 30-05-2022 On Maturity Utilities Non PSU Other Active
LIMITED NCD 30MY22 FVRS1000
AAA VIBGYOR
AAA VIBGYOR ENTERTAINMENT PRIVATE
2327 INE03KA08017 ENTERTAINMENT PRIVATE SERIES II Debentures Private Placement Taxable 1000 1110000000 15-03-2018 15-03-2023 N.A. Others Non PSU Other Active
LIMITED SR II CCD 15MR23 FVRS1000
LIMITED
AAA VIBGYOR
AAA VIBGYOR ENTERTAINMENT PRIVATE
2328 INE03KA08025 ENTERTAINMENT PRIVATE N.A. Debentures Private Placement Taxable 1000 50000000 31-08-2017 31-08-2022 N.A. Others Non PSU Other Active
LIMITED CCD 31AG22 FVRS1000
LIMITED
SENIOR
SPRNG RENEWABLE ENERGY SPRNG RENEWABLE ENERGY PRIVATE
2335 INE03NL08018 N.A Debentures Private Placement Taxable 10 1000000000 18-02-2020 17-08-2042 LENDER Simple Once a year Utilities Non PSU Other Active
PRIVATE LIMITED LIMITED BR OCD 17AG42 FVRS10
RATE LINKED
TRANSFER
SPRNG RENEWABLE ENERGY SPRNG RENEWABLE ENERGY PRIVATE
2336 INE03NL08026 Debentures Private Placement Taxable 10 530000000 28-12-2020 27-06-2043 PRICING Simple Once a year Utilities Non PSU Other Active
PRIVATE LIMITED LIMITED RR OCD 27JU43 FVRS10
ANNUALLY
RELIANCE PROLIFIC
INE03NV08017 RELIANCE PROLIFIC COMMERCIAL PRIVATE
2337 COMMERCIAL PRIVATE SERIES 1 Debentures Private Placement Taxable 10 18000000 12-12-2016 11-12-2031 N.A. Utilities Non PSU Other Active
LIMITED SERIES 1 OCD 11DC31 FVRS10
LIMITED
RELIANCE PROLIFIC
INE03NV08025 RELIANCE PROLIFIC COMMERCIAL PRIVATE
2338 COMMERCIAL PRIVATE SERIES 1 Debentures Private Placement Taxable 10 53000000 30-05-2016 29-05-2031 N.A. Utilities Non PSU Other Active
LIMITED SERIES 1 OCD 29MY31 FVRS10
LIMITED
RELIANCE PROLIFIC
INE03NV08033 RELIANCE PROLIFIC COMMERCIAL PRIVATE
2339 COMMERCIAL PRIVATE SERIES 1 Debentures Private Placement Taxable 10 470200000 25-03-2016 24-03-2031 N.A. Utilities Non PSU Other Active
LIMITED SERIES 1 OCD 24MR31 FVRS10
LIMITED
RELIANCE PROLIFIC
INE03NV08041 RELIANCE PROLIFIC COMMERCIAL PRIVATE
2340 COMMERCIAL PRIVATE SERIES 1 Debentures Private Placement Taxable 10 297400000 27-03-2015 26-03-2030 N.A. Utilities Non PSU Other Active
LIMITED SERIES 1 OCD 26MR30 FVRS10
LIMITED
RELIANCE PROLIFIC
INE03NV08058 RELIANCE PROLIFIC COMMERCIAL PRIVATE
2341 COMMERCIAL PRIVATE SEREIS 1 Debentures Private Placement Taxable 10 14700000 14-12-2015 13-12-2030 N.,A. Utilities Non PSU Other Active
LIMITED SERIES 1 OCD 13DC30 FVRS10
LIMITED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
RELIANCE PROLIFIC
INE03NV08066 RELIANCE PROLIFIC COMMERCIAL PRIVATE
2342 COMMERCIAL PRIVATE SERIES 1 Debentures Private Placement Taxable 10 18500000 18-09-2015 17-09-2030 N.A. Utilities Non PSU Other Active
LIMITED SERIES 1 OCD 17SP30 FVRS10
LIMITED
RELIANCE PROLIFIC
INE03NV08074 RELIANCE PROLIFIC COMMERCIAL PRIVATE
2343 COMMERCIAL PRIVATE SERIES 1 Debentures Private Placement Taxable 10 2300000 09-09-2016 08-09-2031 N.A. Utilities Non PSU Other Active
LIMITED SERIES 1 OCD 08SP31 FVRS10
LIMITED
INE03OH07016 BINI BUILDERS PRIVATE BINI BUILDERS PRIVATE LIMITED 12 IRR NCD
2344 NA Debentures Private Placement Taxable 100000 605000000 24-09-2020 24-09-2024 12% IRR On Maturity Utilities Non PSU Other Active
LIMITED 24SP24 FVRS1LAC
RESET RATE
ADANI ROAD TRANSPORT ADANI ROAD TRANSPORT LIMITED SR I RR
2345 INE03PV08012 SERIES I Debentures Private Placement Taxable 100 2178817300 30-03-2021 29-03-2031 (REFER Simple Once a year Utilities Non PSU Other Active
LIMITED LOA 29MR31 FVRS100
REMARK)
RESET RATE
ROYALREALTORS SKY HEIGHT ROYALREALTORS SKY HEIGHT PRIVATE Compounding
2347 INE03S507014 SERIES 1 Debentures Private Placement Taxable 100000 141000000 16-01-2020 30-06-2023 -REFER Twice a year BWR BB/Stable Utilities Non PSU Other Active
PRIVATE LIMITED LIMITED SR 1 RR 30JU23 NCD FVRS1LAC
REMARKS
RESET RATE-
ROYALREALTORS SKY HEIGHT ROYALREALTORS SKY HEIGHT PRIVATE Compounding
2348 INE03S507022 SERIES 2 Debentures Private Placement Taxable 100000 9000000 17-01-2020 30-06-2024 REFER Twice a year BWR BB/Stable Utilities Non PSU Other Active
PRIVATE LIMITED LIMITED SR 2 RR NCD 30JU24 FVRS1LAC
REMARKS
RESET RATE-
ROYALREALTORS SKY HEIGHT ROYALREALTORS SKY HEIGHT PRIVATE Compounding
2349 INE03S507030 SERIES 3 Debentures Private Placement Taxable 100000 325000000 15-02-2020 30-06-2024 REFER Twice a year BWR BB/Stable Utilities Non PSU Other Active
PRIVATE LIMITED LIMITED SR 3 RR NCD 30JU24 FVRS1LAC
REMARKS
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE03W107033 ARKA FINCAP LIMITED SR III 9.88 LOA 19JU23 Four times a
2359 ARKA FINCAP LIMITED SERIES III Debentures Private Placement Taxable 1000000 500000000 19-06-2020 19-06-2023 9.88% Simple CRISIL AA-/Stable Utilities Non PSU Other Active
FVRS10LAC year
INE03WN07306
2375 TATTVA FINCORP LIMITED 2019-20/E TFL 12.00 30082022 Debentures Bonus Taxable 1000 30-08-2019 30-08-2022 12 Simple Once a year Utilities Non PSU Other Active
INE03WN07314
2376 TATTVA FINCORP LIMITED 2019-20/E TFL 12.50 30082022 Debentures Bonus Taxable 1000 30-08-2019 30-08-2022 12.5 Simple Once a year Utilities Non PSU Other Active
INE03WN07363
2379 TATTVA FINCORP LIMITED 2019-20/G TFL 12.50 05112022 Debentures Bonus Taxable 1000 05-11-2019 05-11-2022 12.5 Simple Once a year Utilities Non PSU Other Active
INE03WN07470 Compounding
2386 TATTVA FINCORP LIMITED 2019-20/L TFL 12.25 02032026 Debentures Bonus Taxable 1000 02-03-2020 02-03-2026 12.25 On Maturity Utilities Non PSU Other Active
INE03WN07512
2389 TATTVA FINCORP LIMITED 2019-20/N TFL 13.00 07052025 Debentures Bonus Taxable 1000 07-05-2020 07-05-2025 13 Simple Once a year Utilities Non PSU Other Active
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
AMRIT MALWA CAPITAL AMRIT MALWA CAPITAL LIMITED SR CA 14.25 Compounding Four times a
2411 INE03XB07010 SERIES CA Debentures Private Placement Taxable 1000000 200000000 29-09-2018 30-09-2021 14.25% Utilities Non PSU Other Active
LIMITED NCD 30SP21 FVRS10LAC year
AMRIT MALWA CAPITAL AMRIT MALWA CAPITAL LIMITED SR CF 15 NCD Four times a
2414 INE03XB07101 SERIES CF Debentures Private Placement Taxable 1000000 40000000 20-08-2020 20-08-2023 15% Simple Utilities Non PSU Other Active
LIMITED 20AG23 FVRS10LAC year
AMRIT MALWA CAPITAL AMRIT MALWA CAPITAL LIMITED SR CG 15.15 Compounding Four times a
2415 INE03XB07119 SERIES CG Debentures Private Placement Taxable 10 200000000 20-03-2021 15-12-2023 15.15% CARE BBB- Utilities Non PSU Other Active
LIMITED NCD 15DC23 FVRS10 year
KOOL - EX COLD CHAIN KOOL - EX COLD CHAIN LIMITED 7.50 CCD Twelve times a
2424 INE03YF07019 N.A. Debentures Private Placement Taxable 10000000 250000000 25-01-2019 13-01-2026 7.50% Simple Utilities Non PSU Other Active
LIMITED 13JN26 FVRS1CR year
2462 INE041E08013 MADANLAL LIMITED N.A. MADANLAL LIMITED LOA 24MR24 FVRS1LAC Debentures Private Placement Taxable 100000 3250000000 25-03-2019 24-03-2024 N.A. Simple Others Active
INE041O08012 DUET INDIA HOTELS DUET INDIA HOTELS (CHENNAI) PRIVATE SBI BASE Irregular
2463 N.A. Debentures Private Placement Taxable 10 9360250 06-04-2017 05-04-2027 Simple Others Active
(CHENNAI) PRIVATE LIMITED LIMITED BR CCD 05AP27 FVRS10 RATE LINKED Occurence
SBI BASE
INE041O08020 DUET INDIA HOTELS DUET INDIA HOTELS (CHENNAI) PRIVATE Irregular
2464 N.A. Debentures Private Placement Taxable 10 332688880 22-10-2018 30-09-2028 RATE PLUS Simple Others Active
(CHENNAI) PRIVATE LIMITED LIMITED BR CCD 30SP28 FVRS10 Occurence
300BPS
RELIANCE INNOVENTURES RELIANCE INNOVENTURES PRIVATE LTD SR-B BWR D (ISSUER NOT
2476 INE045I07017 SERIES B Debentures Private Placement Taxable 1000000 3500000000 12-01-2015 29-06-2021 11% Simple Once a year Finance Non PSU Other Active
PRIVATE LTD 11 NCD 29JU21 FVRS10LAC COOPERATING*)
INE046O08011 SAND LAND REAL ESTATES SAND LAND REAL ESTATES PRIVATE LIMITED Four times a
2479 N.A. Debentures Private Placement Taxable 100 1123923400 28-03-2018 01-04-2037 13.60% Simple Utilities Non PSU Other Active
PRIVATE LIMITED 13.6 NCD 01AP37 FVRS100 year
INE046O08029 SAND LAND REAL ESTATES SAND LAND REAL ESTATES PRIVATE LIMITED Four times a
2480 N.A. Debentures Private Placement Taxable 100 1500000000 10-12-2017 01-04-2047 13.90% Simple Utilities Non PSU Other Active
PRIVATE LIMITED 13.9 OCD 01AP47 FVRS100 year
INE046O08037 SAND LAND REAL ESTATES SAND LAND REAL ESTATES PRIVATE LIMITED
2481 N.A Debentures Private Placement Taxable 10 7111000 03-12-2012 31-03-2024 12% Simple Once a year Utilities Non PSU Other Active
PRIVATE LIMITED 12 OCD 31MR24 FVRS10
F GROUP DEBT
INE046W07099 MUTHOOT MICROFIN LIMITED SR 1-750 11.25
2486 MUTHOOT MICROFIN LIMITED INSTRUMENTS SERIES 1- Debentures Private Placement Taxable 1000000 750000000 18-09-2017 15-09-2023 11.25% Simple Twice a year IND A-/Stable Finance Non PSU NBFC Active
NCD 15SP23 FVRS10LAC
750
IGB 5.85
INE046W07123 MUTHOOT MICROFIN LIMITED BR NCD 15DC22
2489 MUTHOOT MICROFIN LIMITED Debentures Private Placement Taxable 1000000 750000000 15-06-2021 15-12-2022 CORP PRICE Simple On Maturity CRISIL PP-MLD Ar/Stable Finance Non PSU NBFC Active
FVRS10LAC
LINKED
INE049N08017 EN WIND POWER PRIVATE EN WIND POWER PRIVATE LIMITED 12.25 BD Four times a
2507 N.A. Bonds Private Placement Taxable 100 755100000 21-09-2015 20-09-2034 12.25% Simple Energy Non PSU Other Active
LIMITED 20SP34 FVRS100 year
RATE OF
INTEREST
SHALL BE
ACME RAIPUR SOLAR POWER ACME RAIPUR SOLAR POWER PRIVATE
2509 INE049T08014 N.A. Debentures Private Placement Taxable 145 220000235 06-05-2016 05-05-2046 FLOATING Simple Once a year Energy Non PSU Other Active
PRIVATE LIMITED LIMITED RR CCD 05MY46 FVRS145
AND ALWAYS
BE LESS
THAN
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
1% FROM
THE RATE OF
INTEREST
CHARGED BY
THE
PROJECT
LENDERS
INE04CM08017 ATNU SOLAR PRIVATE LIMITED ATNU SOLAR PRIVATE LIMITED SR 1 7.72 CCD
2510 SERIES 1 Debentures Private Placement Taxable 10 487495000 06-08-2020 31-07-2030 7.72% Simple Once a year Utilities Non PSU Other Active
31JL30 FVRS10
RESET RATE
INE04D307023 SUBHKIRAN CAPITAL LIMITED RR NCD 24DC24 Twelve times a
2513 SUBHKIRAN CAPITAL LIMITED Debentures Private Placement Taxable 1000 5490000 24-12-2019 24-12-2024 REFER Simple Utilities Non PSU Other Active
FVRS1000 year
REMERKS
VARIBALE
COUPON
INE04D307031 SUBHKIRAN CAPITAL LIMITED RR NCD 30JN25 Twelve times a
2514 SUBHKIRAN CAPITAL LIMITED Debentures Private Placement Taxable 1000 4200000 30-01-2020 30-01-2025 RATE - Simple Utilities Non PSU Other Active
FVRS1000 year
REFER
REMARKS
RESET RATE
INE04D307064 SUBHKIRAN CAPITAL LIMITED RR NCD 29JU25 Twelve times a
2517 SUBHKIRAN CAPITAL LIMITED Debentures Private Placement Taxable 1000 4800000 29-06-2020 29-06-2025 (REFER Simple Utilities Non PSU Other Active
FVRS1000 year
REMARK)
RESET RATE
INE04D307072 SUBHKIRAN CAPITAL LIMITED RR NCD 17SP25 Twelve times a
2518 SUBHKIRAN CAPITAL LIMITED Debentures Private Placement Taxable 1000 22225000 17-09-2020 17-09-2025 (REFER Simple Utilities Non PSU Other Active
FVRS1000 year
REMARK)
RESET RATE
INE04D307080 SUBHKIRAN CAPITAL LIMITED SR INVESTA RR Twelve times a
2519 SUBHKIRAN CAPITAL LIMITED SERIES INVESTA Debentures Private Placement Taxable 1000 25190000 22-10-2020 22-10-2025 (REFER Simple Utilities Non PSU Other Active
NCD 22OT25 FVRS1000 year
REMARK)
INE04EQ07016 SRIDUTT DIAMONDS PRIVATE SRIDUTT DIAMONDS PRIVATE LIMITED SR 1 Compounding Four times a
2526 SERIES I Debentures Private Placement Taxable 100000 250000000 28-08-2020 31-12-2021 17.25% Utilities Non PSU Other Active
LIMITED 17.25 LOA 31DC21 FVRS1LAC year
INE04EQ07024 SRIDUTT DIAMONDS PRIVATE SRIDUTT DIAMONDS PRIVATE LIMITED SR II Compounding Four times a
2527 SERIES II Debentures Private Placement Taxable 100000 200000000 20-01-2019 30-09-2022 17.25% Utilities Non PSU Other Active
LIMITED 17.25 LOA 30SP22 FVRS1LAC year
RBI REPO
RATE PLUS
INE04H508014 OLYMPIA CYBERSPACE OLYMPIA CYBERSPACE PRIVATE LIMITED Compounding
2530 A Debentures Private Placement Taxable 10 781600000 19-03-2019 19-03-2031 775 BASE Once a year Utilities Non PSU Other Active
PRIVATE LIMITED SERIES A BR CCD 19MR31 FVRS10
POINTS PER
ANNUM.
APEX URBAN
INE04HH07026 APEX URBAN INFRASTRUCTURE PRIVATE Compounding Four times a
2534 INFRASTRUCTURE PRIVATE Debentures Private Placement Taxable 1000000 1538000000 31-12-2020 05-04-2022 20.24% Utilities Non PSU Other Active
LIMITED 20.24 NCD 05AP22 FVRS10LAC year
LIMITED
ANOMALOUS INFRA PRIVATE ANOMALOUS INFRA PRIVATE LIMITED 14 LOA Compounding Four times a
2536 INE04JH07014 N.A Debentures Private Placement Taxable 1000 662500000 31-08-2019 30-08-2021 14% Utilities Non PSU Other Active
LIMITED 30AG21 FVRS1000 year
INE04MH07018 APTUS FINANCE INDIA APTUS FINANCE INDIA PRIVATE LIMITED RR Twelve times a
2543 N.A. Debentures Private Placement Taxable 100000 500000000 07-05-2019 07-05-2023 10.75% Simple CARE A+/Stable Utilities Non PSU Other Active
PRIVATE LIMITED NCD 07MY23 FVRS1LAC year
INE04MH07026 APTUS FINANCE INDIA APTUS FINANCE INDIA PRIVATE LIMITED 8.90 Twelve times a
2544 NA Debentures Private Placement Taxable 1000000 250000000 07-09-2020 07-09-2023 8.90% Simple CARE A+/Stable Utilities Non PSU Other Active
PRIVATE LIMITED NCD 07SP23 FVRS10LAC year
CITYKART VENTURES PRIVATE CITYKART VENTURES PRIVATE LIMITED 6 LOA Compounding Four times a
2545 INE04PE08016 N.A. Debentures Private Placement Taxable 10 674721920 22-02-2019 22-02-2039 6% Utilities Non PSU Other Active
LIMITED 22FB39 FVRS10 year
RESET RATE
CITYKART VENTURES PRIVATE CITYKART VENTURES PRIVATE LIMITED SR I Compounding Irregular
2546 INE04PE08024 SERIES I Debentures Private Placement Taxable 10 375000000 30-03-2020 30-03-2030 - REFER Utilities Non PSU Other Active
LIMITED RR LOA 30MR30 FVRS10 Occurence
REMARKS
INE04Q907025 DAR CREDIT & CAPITAL LTD SR 1B OP I 12.25 Compounding Four times a
2548 DAR CREDIT & CAPITAL LTD SERIES 1B OPTION I Debentures Private Placement Taxable 500000 50000000 11-02-2021 10-02-2026 12.25% CARE BBB-/Stable Utilities Non PSU Other Active
LOA 10FB26 PPRS125000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
TALETTUTAYI SOLAR
TALETTUTAYI SOLAR PROJECTS TWO PRIVATE
2555 INE04TJ08017 PROJECTS TWO PRIVATE SERIES 01 Debentures Rights Issue Taxable 10 66100000 19-12-2018 18-12-2028 16.00% Simple Once a year Utilities Non PSU Other Active
LIMITED SR 01 16 CCD 18DC28 FVRS10
LIMITED
OXYZO FINANCIAL SERVICES OXYZO FINANCIAL SERVICES PRIVATE LIMITED Compounding Four times a
2557 INE04VS07057 N.A Debentures Private Placement Taxable 1000000 100000000 09-07-2019 30-06-2022 13.80% ICRA BBB+/Stable Utilities Non PSU Other Active
PRIVATE LIMITED 13.80% LOA 30JU22 FVRS10LAC year
OXYZO FINANCIAL SERVICES OXYZO FINANCIAL SERVICES PRIVATE LIMITED LINKED TO Compounding
2558 INE04VS07081 N.A Debentures Private Placement Taxable 100000 170000000 24-09-2019 28-06-2022 On Maturity ICRA PP-MLD BBB+/Stable Utilities Non PSU Other Active
PRIVATE LIMITED BR NCD 28JU22 FVRS1LAC BSE INDEX
OXYZO FINANCIAL SERVICES OXYZO FINANCIAL SERVICES PRIVATE LIMITED Compounding Four times a
2560 INE04VS07107 SERIES A Debentures Private Placement Taxable 20000 100000000 28-01-2020 28-07-2022 12.85% ICRA BBB+/Stable Utilities Non PSU Other Active
PRIVATE LIMITED SR A 12.85 NCD 28JL22 FVRS20000 year
BSE SENSEX
OXYZO FINANCIAL SERVICES OXYZO FINANCIAL SERVICES PRIVATE LIMITED Compounding
2561 INE04VS07123 SERIES 2 Debentures Private Placement Taxable 100000 90000000 13-03-2020 13-03-2022 INDEX On Maturity ICRA PP-MLD BBB+/Stable Utilities Non PSU Other Active
PRIVATE LIMITED SR 2 BR NCD 13MR22 FVRS1LAC
LINKED
BSE SENSEX
OXYZO FINANCIAL SERVICES OXYZO FINANCIAL SERVICES PRIVATE LIMITED Compounding
2562 INE04VS07131 SERIES 3 Debentures Private Placement Taxable 100000 80000000 13-03-2020 13-03-2023 INDEX On Maturity ICRA PP-MLD BBB+/Stable Utilities Non PSU Other Active
PRIVATE LIMITED SR 3 BR NCD 13MR23 FVRS1LAC
LINKED
OXYZO FINANCIAL SERVICES OXYZO FINANCIAL SERVICES PRIVATE LIMITED Four times a
2563 INE04VS07149 N.A Debentures Private Placement Taxable 1000000 250000000 15-06-2020 29-06-2021 12.07% Simple ICRA BBB+/Stable Utilities Non PSU Other Active
PRIVATE LIMITED 12.07 NCD 29JU21 FVRS10LAC year
4% (REPO
OXYZO FINANCIAL SERVICES OXYZO FINANCIAL SERVICES PRIVATE LIMITED RATE) + Twelve times a
2564 INE04VS07156 Debentures Private Placement Taxable 1000000 230000000 24-06-2020 24-06-2023 Simple ICRA A-(CE)/Stable Utilities Non PSU Other Active
PRIVATE LIMITED BR NCD 24JU23 FVRS10LAC 7.5%(SPREA year
D)
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
OXYZO FINANCIAL SERVICES OXYZO FINANCIAL SERVICES PRIVATE LIMITED Four times a ICRA BBB+/Stable;CARE BBB+/Stable
2565 INE04VS07172 N.A Debentures Private Placement Taxable 1000000 600000000 10-12-2020 10-06-2022 10% Simple Utilities Non PSU Other Active
PRIVATE LIMITED 10 NCD 10JU22 FVRS10LAC year
OXYZO FINANCIAL SERVICES OXYZO FINANCIAL SERVICES PRIVATE LIMITED Four times a
2566 INE04VS07180 NA Debentures Private Placement Taxable 100000 150000000 18-12-2020 15-12-2023 12.75% Simple ICRA BBB+/Stable Utilities Non PSU Other Active
PRIVATE LIMITED 12.75 NCD 15DC23 FVRS1LAC year
OXYZO FINANCIAL SERVICES OXYZO FINANCIAL SERVICES PRIVATE LIMITED Four times a
2568 INE04VS07206 Debentures Private Placement Taxable 1000000 100000000 30-12-2020 30-06-2022 10% Simple ICRA BBB+/Stable Utilities Non PSU Other Active
PRIVATE LIMITED 10 NCD 30JU22 FVRS10LAC year
OXYZO FINANCIAL SERVICES OXYZO FINANCIAL SERVICES PRIVATE LIMITED Twelve times a
2569 INE04VS07214 Debentures Private Placement Taxable 100000 250000000 30-03-2021 30-09-2022 11.20% Simple ICRA BBB+/Stable Utilities Non PSU Other Active
PRIVATE LIMITED 11.20 NCD 30SP22 FVRS1LAC year
RESET RATE
INE04WF07219 BRD SECURITIES LTD SERIES BC RR NCD
2589 BRD SECURITIES LTD SERIES BC Debentures Private Placement Taxable 1000 14250000 10-11-2017 10-11-2027 - REFER Simple Once a year Utilities Non PSU Other Active
10NV27 FVRS1000
REMARKS
RESET RATE
INE04WF07227 BRD SECURITIES LTD SERIES BA RR NCD
2590 BRD SECURITIES LTD SERIES BA Debentures Private Placement Taxable 1000 9000000 28-10-2017 28-10-2027 - REFER Simple Once a year Utilities Non PSU Other Active
28OT27 FVRS1000
REMARKS
RESET RATE
INE04WF07235 BRD SECURITIES LTD SERIES BA RR NCD
2591 BRD SECURITIES LTD SERIES BA Debentures Private Placement Taxable 1000 9000000 28-10-2017 28-10-2027 - REFER Simple Once a year Utilities Non PSU Other Active
28OT27 FVRS1000
REMARKS
RESET RATE
INE04WF07250 BRD SECURITIES LTD SERIES BB RR NCD
2593 BRD SECURITIES LTD SERIES BB Debentures Private Placement Taxable 1000 9226000 10-11-2017 10-11-2027 - REFER Simple Once a year Utilities Non PSU Other Active
10NV27 FVRS1000
REMARKS
RESET RATE
INE04WF07334 BRD SECURITIES LTD SERIES BH RR NCD
2601 BRD SECURITIES LTD SERIES BH Debentures Private Placement Taxable 1000 5000000 26-03-2018 26-03-2028 - REFER Simple Once a year Utilities Non PSU Other Active
26MR28 FVRS1000
REMARKS
RESET RATE
INE04WF07342 BRD SECURITIES LTD SERIES BI RR NCD Twelve times a
2602 BRD SECURITIES LTD SERIES BI Debentures Private Placement Taxable 1000 19850000 05-06-2018 05-06-2028 - REFER Simple Utilities Non PSU Other Active
05JU28 FVRS1000 year
REMARKS
RESET RATE
INE04WF07367 BRD SECURITIES LTD SERIES BJ RR NCD Twelve times a
2604 BRD SECURITIES LTD SERIES BJ Debentures Private Placement Taxable 1000 1910000 03-08-2018 03-08-2028 - REFER Simple Utilities Non PSU Other Active
03AG28 FVRS1000 year
REMARKS
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
RESET RATE
INE04WF07391 BRD SECURITIES LTD SERIES BC RR NCD Twelve times a
2607 BRD SECURITIES LTD SERIES BC Debentures Private Placement Taxable 1000 13700000 10-11-2017 10-11-2027 - REFER Simple Utilities Non PSU Other Active
10NV27 FVRS1000 year
REMARKS
RESET RATE
INE04WF07482 BRD SECURITIES LTD BP RR NCD 29MY29 Twelve times a
2616 BRD SECURITIES LTD BP Debentures Private Placement Taxable 1000 5800000 29-05-2019 29-05-2029 REFER Simple Utilities Non PSU Other Active
FVRS1000 year
REMARKS
RESET RATE
INE04WF07490 BRD SECURITIES LTD BP RR NCD 29MY29
2617 BRD SECURITIES LTD Debentures Private Placement Taxable 1000 1000000 29-05-2019 29-05-2029 REFER Simple Once a year Utilities Non PSU Other Active
FVRS1000
REMARKS
RESET RATE
INE04WF07516 BRD SECURITIES LTD BQ RR NCD 29JU29 Twelve times a
2619 BRD SECURITIES LTD BQ Debentures Private Placement Taxable 1000 2000000 29-06-2019 29-06-2029 REFER Simple Utilities Non PSU Other Active
FVRS1000 year
REMARKS
RESET RATE
INE04WF07524 BRD SECURITIES LTD BQ RR NCD 29JU29
2620 BRD SECURITIES LTD BQ Debentures Private Placement Taxable 1000 1800000 29-06-2019 29-06-2029 REFER Simple Once a year Utilities Non PSU Other Active
FVRS1000
REMARKS
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
RESET RATE-
INE04WF07532 BRD SECURITIES LTD SR BR-ANLY RR NCD
2621 BRD SECURITIES LTD SERIES BR- ANNUALLY Debentures Private Placement Taxable 1000 3000000 31-08-2019 31-08-2029 REFER Simple Once a year Utilities Non PSU Other Active
31AG29 FVRS1000
REMARKS
RESET RATE
INE04WF07540 BRD SECURITIES LTD SR BR MNTHLY RR NCD Twelve times a
2622 BRD SECURITIES LTD SERIES BR- MONTHLY Debentures Private Placement Taxable 1000 4300000 31-08-2019 31-08-2029 - REFER Simple Utilities Non PSU Other Active
31AG29 FVRS1000 year
REMARKS
RESET RATE-
INE04WF07557 BRD SECURITIES LTD SR BS MTH RR NCD Twelve times a
2623 BRD SECURITIES LTD SERIES BS- MONTHLY Debentures Private Placement Taxable 1000 6000000 01-11-2019 01-11-2029 REFER Simple Utilities Non PSU Other Active
01NV29 FVRS1000 year
REMARKS
RESER
INE04WF07573 SERIES BT- MONTHLY- BRD SECURITIES LTD SR BT MTH SCHEME 4 RR Twelve times a
2624 BRD SECURITIES LTD Debentures Private Placement Taxable 1000 5000000 27-12-2019 27-06-2024 RATE-REFER Simple Utilities Non PSU Other Active
SCHEME 4 NCD 27JU24 FVRS1000 year
REMARKS
RESET RATE-
INE04WF07581 SERIES BT- MONTHLY- BRD SECURITIES LTD SR BT MTH SCHEME 3 RR Twelve times a
2625 BRD SECURITIES LTD Debentures Private Placement Taxable 1000 8500000 27-12-2019 27-02-2024 REFER Simple Utilities Non PSU Other Active
SCHEME 3 NCD 27FB24 FVRS1000 year
REMARKS
RESET RATE-
INE04WF07599 SERIES BT- MONTHLY- BRD SECURITIES LTD SR BT MTH SCHEME 2 RR Twelve times a
2626 BRD SECURITIES LTD Debentures Private Placement Taxable 1000 5100000 27-12-2019 27-12-2023 REFER Simple Utilities Non PSU Other Active
SCHEME 2 NCD 27DC23 FVRS1000 year
REMARKS
RESET RATE-
INE04WF07607 SERIES BT- ANNUALLY BRD SECURITIES LTD SR BT ANLY SCHEME 2
2627 BRD SECURITIES LTD Debentures Private Placement Taxable 10000 6440000 27-12-2019 27-12-2023 REFER Simple Once a year Utilities Non PSU Other Active
SCHEME 2 RR NCD 27DC23 FVRS1000
REMARKS
INE04WF07615 SERIES BT- MONTHLY- BRD SECURITIES LTD SR BT MTH SCHEME 1 11 Twelve times a
2628 BRD SECURITIES LTD Debentures Private Placement Taxable 1000 2135000 27-12-2019 27-12-2022 11% Simple Utilities Non PSU Other Active
SCHEME 1 NCD 27DC22 FVRS1000 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE050N07017 KINGS INFRA VENTURES KINGS INFRA VENTURES LIMITED SR I GEN Twelve times a
2640 SERIES I GENERAL Debentures Private Placement Taxable 1000 400000 22-06-2020 21-06-2022 12.25% Simple Others Active
LIMITED 12.25 LOA 21JU22 FVRS1000 year
INE050N07025 KINGS INFRA VENTURES KINGS INFRA VENTURES LIMITED SR II GEN Twelve times a
2641 SERIES II GENERAL Debentures Private Placement Taxable 1000 3000000 22-06-2020 21-06-2023 12.50% Simple Others Active
LIMITED 12.50 LOA 21JU23 FVRS1000 year
INE050N07033 KINGS INFRA VENTURES KINGS INFRA VENTURES LIMITED SR II SEN Twelve times a
2642 SERIES II SENIOR CITIZEN Debentures Private Placement Taxable 1000 1850000 22-06-2020 21-06-2023 13% Simple Others Active
LIMITED CTZN 13 LOA 21JU23 FVRS1000 year
INE050N07041 KINGS INFRA VENTURES SERIES - III CUMULATIVE KINGS INFRA VENTURES LIMITED SR III CM Compounding
2643 Debentures Private Placement Taxable 1000 1800000 22-06-2020 21-06-2025 14.87% On Maturity Others Active
LIMITED GENERAL GEN 14.87 LOA 21JU25 FVRS1000
INE050N07058 KINGS INFRA VENTURES KINGS INFRA VENTURES LIMITED SR III CM SEN Compounding
2644 SERIES III SENIOR CITIZEN Debentures Private Placement Taxable 1000 2000000 22-06-2020 21-06-2025 14.87% Once a year Others Active
LIMITED CTZN 14.87 LOA 21JU25 FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE050N07066 KINGS INFRA VENTURES KINGS INFRA VENTURES LIMITED SR IV 12.75 Compounding
2645 SERIES IV Debentures Private Placement Taxable 1000 400000 08-09-2020 07-10-2021 12.75% On Maturity Others Active
LIMITED NCD 07OT21 FVRS1000
INE050N07074 KINGS INFRA VENTURES KINGS INFRA VENTURES LIMITED SR V 13 NCD Compounding
2646 SERIES V Debentures Private Placement Taxable 1000 400000 08-09-2020 07-09-2023 13% Once a year Others Active
LIMITED 07SP23 FVRS1000
INE050N07082 KINGS INFRA VENTURES SERIES VI-MONTHLY KINGS INFRA VENTURES LIMITED SR VI MTH Twelve times a
2647 Debentures Private Placement Taxable 1000 4100000 08-09-2020 07-09-2023 12.50% Others Active
LIMITED GENERAL 12.50 NCD 07SP23 FVRS1000 year
INE050N07090 KINGS INFRA VENTURES SERIES VI-MONTHLY KINGS INFRA VENTURES LIMITED SR VI MTH Twelve times a
2648 Debentures Private Placement Taxable 1000 4020000 08-09-2020 07-09-2023 13% Simple Others Active
LIMITED SENIOR CITIZEN SNR CTZN 13 NCD 07SP23 FVRS1000 year
INE050N07108 KINGS INFRA VENTURES KINGS INFRA VENTURES LIMITED SR VII MON Twelve times a
2649 SERIES VII MONTHLY Debentures Private Placement Taxable 1000 2250000 22-10-2020 21-10-2023 12.50% Simple Others Active
LIMITED 12.50 21OT23 FVRS1000 year
INE050N07132 KINGS INFRA VENTURES SERIES X-MONTHLY KINGS INFRA VENTURES LIMITED SR X MON Twelve times a
2650 Debentures Private Placement Taxable 1000 300000 22-10-2020 21-10-2023 13% Simple Others Active
LIMITED SENIOR CITIZEN SNR CTZ 13 NCD 21OT23 FVRS1000 year
INE050N07165 KINGS INFRA VENTURES SERIES XIII-CUMULATIVE KINGS INFRA VENTURES LIMITED SR XIII CUM
2651 Debentures Private Placement Taxable 1000 625000 22-10-2020 21-10-2025 14.87% Simple On Maturity Others Active
LIMITED GENERAL GEN 14.87 NCD 21OT25 FVRS1000
INE050N07173 KINGS INFRA VENTURES KINGS INFRA VENTURES LIMITED SR XIV 14.87 Compounding
2652 SERIES XIV Debentures Private Placement Taxable 1000 10207000 09-11-2020 08-11-2025 14.87% On Maturity Others Active
LIMITED NCD 08NV25 FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE050N07181 KINGS INFRA VENTURES KINGS INFRA VENTURES LIMITED SR XV 13 Twelve times a
2653 SERIES XV Debentures Private Placement Taxable 1000 650000 09-11-2020 08-11-2023 13% Simple Others Active
LIMITED NCD 08NV23 FVRS1000 year
INE050N07199 KINGS INFRA VENTURES KINGS INFRA VENTURES LIMITED SR XVI 12.50 Twelve times a
2654 SERIES XVI Debentures Private Placement Taxable 1000 450000 09-11-2020 08-11-2023 12.50% Simple Others Active
LIMITED NCD 08NV23 FVRS1000 year
INE050N07207 KINGS INFRA VENTURES KINGS INFRA VENTURES LIMITED SR XVII 12.25 Compounding
2655 SERIES XVII Debentures Private Placement Taxable 1000 200000 09-11-2020 08-12-2021 12.25% On Maturity Others Active
LIMITED NCD 08DC21 FVRS1000
INE050N07215 KINGS INFRA VENTURES KINGS INFRA VENTURES LIMITED SR XVIII 12.75 Twelve times a
2656 SERIES XVIII Debentures Private Placement Taxable 1000 200000 09-11-2020 08-11-2022 12.75% Simple Others Active
LIMITED NCD 08NV22 FVRS1000 year
INE050N07256 KINGS INFRA VENTURES KINGS INFRA VENTURES LIMITED SR XXII 12.75 Compounding
2657 SERIES XXII Debentures Private Placement Taxable 1000 2500000 23-11-2020 22-12-2021 12.75% On Maturity Others Active
LIMITED NCD 22DC21 FVRS1000
INE050N07264 KINGS INFRA VENTURES KINGS INFRA VENTURES LIMITED SR XXIII 12.50 Twelve times a
2658 SERIES XXIII Debentures Private Placement Taxable 1000 1200000 10-12-2020 09-12-2023 12.50% Simple Others Active
LIMITED NCD 09DC23 FVRS1000 year
INE050N07272 KINGS INFRA VENTURES KINGS INFRA VENTURES LIMITED SR XXIV 12.25 Twelve times a
2659 SERIES XXIV Debentures Private Placement Taxable 1000 500000 10-12-2020 09-12-2022 12.25% Simple Others Active
LIMITED NCD 09DC22 FVRS1000 year
INE050N07280 KINGS INFRA VENTURES KINGS INFRA VENTURES LIMITED SR XXV 12.25 Compounding
2660 SERIES XXV Debentures Private Placement Taxable 1000 800000 10-12-2020 09-01-2022 12.25 On Maturity Others Active
LIMITED NCD 09JN22 FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
12% FOR
FIRST 30
CENTURY JOINT
CENTURY JOINT DEVELOPMENTS PRIVATE MONTHS 16%Compounding Irregular Consumer
2662 INE050R07042 DEVELOPMENTS PRIVATE N.A. Debentures Private Placement Taxable 100000 300000000 30-05-2019 31-12-2023 Non PSU Other Active
LIMITED RR LOA 31DC23 FVRS1LAC FOR Occurence Services
LIMITED
BALANCE 30
MONTHS.
CHEMMANUR CREDITS AND SERIES 20-21 ¿¿DEMAT - CHEMMANUR CREDITS AND INVESTMENTS Twelve times a
2697 INE051307465 Debentures Private Placement Taxable 1000 16700000 30-06-2020 01-07-2021 11% Simple Utilities Non PSU Other Active
INVESTMENTS LIMITED V-MONTHLY LIMITED SR V MTH 11 NCD 01JL21 FVRS1000 year
THE INDIAN HOTELS THE INDIAN HOTELS COMPANY LIMITED 9.95 Consumer
2713 INE053A07166 NA Debentures Private Placement Taxable 1000000 27-07-2011 27-07-2021 9.95% Simple Once a year ICRA AA/Negative;CARE AA/Stable Non PSU Other Active
COMPANY LIMITED NCD 27JL21 FVRS10LAC Services
THE INDIAN HOTELS THE INDIAN HOTELS COMPANY LIMITED 10.1 Consumer
2714 INE053A07174 NA Debentures Private Placement Taxable 1000000 18-11-2011 18-11-2021 10.10% Simple Once a year CARE AA/Stable;ICRA AA/Negative Non PSU Other Active
COMPANY LIMITED NCD 18NV21 FVRS10LAC Services
THE INDIAN HOTELS THE INDIAN HOTELS COMPANY LIMITED 7.85 Consumer
2715 INE053A07182 NA Debentures Private Placement Taxable 1000000 4950000000 20-01-2017 15-04-2022 7.85% Simple Once a year CARE AA/Stable Non PSU Other Active
COMPANY LIMITED NCD 15AP22 FVRS10LAC Services
THE INDIAN HOTELS THE INDIAN HOTELS COMPANY LIMITED 7.50 Consumer
2716 INE053A08107 N.A Debentures Private Placement Taxable 1000000 1500000000 23-04-2020 23-04-2023 7.50% Simple Once a year CARE AA/Stable Non PSU Other Active
COMPANY LIMITED NCD 23AP23 FVRS10LAC Services
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
THE INDIAN HOTELS THE INDIAN HOTELS COMPANY LIMITED 7.95 Consumer
2717 INE053A08115 N.A Debentures Private Placement Taxable 1000000 3000000000 05-06-2020 05-06-2023 7.95% Simple Once a year CARE AA/Stable Non PSU Other Active
COMPANY LIMITED NCD 05JU23 FVRS10LAC Services
8%
INDIAN RAILWAY FINANCE CORPORATION (categories I & Public Sector
INDIAN RAILWAY FINANCE ICRA AAA/Stable;CRISIL
2718 INE053F07520 LIMITED 8 / 8.15 BD 23FB22 FVRS1000 LOA Bonds Public Issue Taxfree 1000 23-02-2012 23-02-2022 II) & .15% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED AAA/Stable;CARE AAA/Stable
UPTO 22FB12 addn int for cat
III
8.1% (cat I & II
INDIAN RAILWAY FINANCE CORPORATION Public Sector
INDIAN RAILWAY FINANCE and 0.2% CARE AAA/Stable;ICRA
2719 INE053F07538 LIMITED 8.1 /8.3 BD 23FB27 FVRS1000 LOA Bonds Public Issue Taxfree 1000 23-02-2012 23-02-2027 Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED additn int for AAA/Stable;CRISIL AAA/Stable
UPTO 22FB12
cat III)
7.18% -
CATAGORY
INDIAN RAILWAY FINANCE CORPORATION Public Sector
INDIAN RAILWAY FINANCE (I,II,III) 7.68% CRISIL AAA/Stable;ICRA
2720 INE053F07561 LIMITED 7.18/7.68 BD 19FB23 FVRS1000 LOA Bonds Public Issue Taxfree 1000 19-02-2013 19-02-2023 Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED FOR AAA/Stable;CARE AAA/Stable
UPTO 18FB13
CATAGORY
IV
7.34% -
CATAGORY
INDIAN RAILWAY FINANCE CORPORATION Public Sector
INDIAN RAILWAY FINANCE (I,II,III) 7.84% ICRA AAA/Stable;CARE
2721 INE053F07579 LIMITED 7.34/7.84 BD 19FB28 FVRS1000 LOA Bonds Public Issue Taxfree 1000 19-02-2013 19-02-2028 Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED FOR AAA/Stable;CRISIL AAA/Stable
UPTO 18FB13
CATAGORY
IV
6.88 FOR
CATEGORY
INDIAN RAILWAY FINANCE CORPORATION Public Sector
INDIAN RAILWAY FINANCE I,II & III, 7.38 CRISIL AAA/Stable;CARE
2722 INE053F07587 LIMITED 6.88/7.38 BD 23MR23 FVRS1000 LOA Bonds Public Issue Taxfree 1000 1408389000 23-03-2013 23-03-2023 Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED FOR AAA/Stable;ICRA AAA/Stable
UPTO 22MR13
CATEGORY
IV
7.04
CATEGORY
INDIAN RAILWAY FINANCE CORPORATION Public Sector
INDIAN RAILWAY FINANCE I.II& III, 7.54 CRISIL AAA/Stable;ICRA
2723 INE053F07595 LIMITED 7.04/7.54 BD 23MR28 FVRS1000 LOA Bonds Public Issue Taxfree 1000 2389729000 23-03-2013 23-03-2028 Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED FOR AAA/Stable;CARE AAA/Stable
UPTO 22MR13
CATEGORY-
IV
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
7.32% (IF ON
RECORD
INDIAN RAILWAY FINANCE CORPORATION DATE BONDS Public Sector
INDIAN RAILWAY FINANCE ICRA AAA;CRISIL AAA/Stable;CARE
2744 INE053F07827 SERIES 102 A LIMITED SR-102A 7.32 BD 21DC25 FVRS1000 Bonds Private Placement Taxfree 1000 45320000000 21-12-2015 21-12-2025 HELD BY RII, Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED AAA/Stable
LOAUPTO20DC15 ELSE 7.07%
p.a)
7.53% (IF ON
RECORD
INDIAN RAILWAY FINANCE CORPORATION DATE BONDS Public Sector
INDIAN RAILWAY FINANCE ICRA AAA;CARE AAA/Stable;CRISIL
2745 INE053F07835 SERIES 103 A LIMITED SR-103A 7.53 BD 21DC30 FVRS1000 Bonds Public Issue Taxfree 1000 10742172000 21-12-2015 21-12-2030 HELD BY RII, Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED AAA/Stable
LOAUPTO20DC15 ELSE 7.28%
p.a)
7.5%(IF ON
RECORD
INDIAN RAILWAY FINANCE CORPORATION DATE BONDS Public Sector
INDIAN RAILWAY FINANCE CARE AAA/Stable;ICRA AAA;CRISIL
2746 INE053F07843 SERIES 104 A LIMITED SR-104A 7.5 BD 21DC35 FVRS1000 Bonds Public Issue Taxfree 1000 3696342000 21-12-2015 21-12-2035 HELD BY RII, Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED AAA/Stable
LOAUPTO20DC15 ELSE 7.25%
p.a)
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
INE053F07AO8 INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION CRISIL AAA/Stable;CARE
2761 SERIES II Bonds Private Placement Taxable 10000 10000000000 30-06-2018 30-06-2023 5.75% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR II 5.75 LOA 30JU23 FVRS10000 AAA/Stable;ICRA AAA/Stable
Public Sector
INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION CARE AAA/Stable;CRISIL
2762 INE053F07AP5 SERIES II 54EC Bonds Private Placement Taxable 10000 10000000000 31-07-2018 31-07-2023 5.75% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR II 5.75 LOA 31JL23 FVRS10000 AAA/Stable;ICRA AAA/Stable
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
INE053F07AQ3 INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION CRISIL AAA/Stable;CARE
2763 SERIES II 54EC Bonds Private Placement Taxable 10000 10000000000 31-08-2018 31-08-2023 5.75% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR II 5.75 LOA 31AG23 FVRS10000 AAA/Stable;ICRA AAA/Stable
Public Sector
INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION ICRA AAA/Stable;CRISIL
2765 INE053F07AS9 Bonds Private Placement Taxable 10000 116940000 31-10-2018 31-10-2023 5.75% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED 5.75 LOA 31OT23 FVRS10000 AAA/Stable;CARE AAA/Stable
Public Sector
INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION ICRA AAA/Stable;CARE
2767 INE053F07AU5 N.A. Bonds Private Placement Taxable 10000 10000000000 31-12-2018 31-12-2023 5.75% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED 5.75 LOA 31DC23 FVRS10000 AAA/Stable;CRISIL AAA/Stable
Public Sector
INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION ICRA AAA/Stable;CRISIL
2768 INE053F07AV3 Bonds Private Placement Taxable 10000 10000000000 31-01-2019 31-01-2024 5.75% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED 5.75 LOA 31JN24 FVRS10000 AAA/Stable;CARE AAA/Stable
Public Sector
INE053F07AW1 INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION CARE AAA/Stable;ICRA
2769 N.A. Bonds Private Placement Taxable 10000 145310000 28-02-2019 29-02-2024 5.75% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED 5.75 LOA 29FB24 FVRS10000 AAA/Stable;CRISIL AAA/Stable
Public Sector
INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION CRISIL AAA/Stable;ICRA
2770 INE053F07AX9 Bonds Private Placement Taxable 10000 692680000 31-03-2019 31-03-2024 5.75% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED 5.75 LOA 31MR24 FVRS10000 AAA/Stable;CARE AAA
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION CRISIL AAA/Stable;ICRA
2773 INE053F07BA5 SERIES 131 Bonds Private Placement Taxable 1000000 22365000000 21-02-2019 21-02-2029 8.55% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR 131 8.55 LOA 21FB29 FVRS10LAC AAA/Stable;CARE AAA/Stable
Public Sector
INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION CARE AAA/Stable;ICRA
2792 INE053F07BT5 SERIES 139 Bonds Private Placement Taxable 1000000 24556000000 29-07-2019 29-07-2034 7.54% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR 139 7.54 LOA 29JL34 FVRS10LAC AAA/Stable;CRISIL AAA/Stable
Public Sector
INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION CARE AAA/Stable;CRISIL
2794 INE053F07BV1 141 SERIES Bonds Private Placement Taxable 1000000 21070000000 29-08-2019 29-08-2034 7.48% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR 141 7.48 LOA 29AG34 FVRS10LAC AAA/Stable;ICRA AAA/Stable
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
INE053F07CH8 INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION ICRA AAA/Stable;CARE AAA;CRISIL
2806 SERIES IV Bonds Private Placement Taxable 10000 10000000000 31-07-2020 31-07-2025 5.75% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SERIES IV 5.75 LOA 31JL25 FV10000 AAA/Stable
Public Sector
INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION ICRA AAA/Stable;CARE AAA;CRISIL
2807 INE053F07CI6 SERIES IV 54EC Bonds Private Placement Taxable 10000 10000000000 31-08-2020 31-08-2025 5% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR IV 5 LOA 31AG25 FVRS10000 AAA/Stable
Public Sector
INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION ICRA AAA/Stable;CARE AAA;CRISIL
2808 INE053F07CJ4 SERIES IV Bonds Private Placement Taxable 10000 10000000000 30-09-2020 30-09-2025 5% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR IV 5 LOA 30SP25 FVRS10000 AAA/Stable
Public Sector
INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION CRISIL AAA/Stable;CARE AAA;ICRA
2809 INE053F07CK2 SERIES IV Bonds Private Placement Taxable 10000 10000000000 31-10-2020 31-10-2025 5% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR IV 5 LOA 31OT25 FVRS10000 AAA/Stable
Public Sector
INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION CARE AAA;CRISIL AAA/Stable;ICRA
2810 INE053F07CL0 SERIES IV Bonds Private Placement Taxable 10000 10000000000 30-11-2020 30-11-2025 5% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR IV 5 LOA 30NV25 FVRS10000 AAA/Stable
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
INE053F07CM8 INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION CARE AAA;CRISIL AAA/Stable;ICRA
2811 SERIES IV Bonds Private Placement Taxable 10000 10000000000 31-12-2020 31-12-2025 5% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR IV 5 LOA 31DC25 FVRS10000 AAA/Stable
Public Sector
INE053F07CN6 INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION CRISIL AAA/Stable;ICRA
2812 SERIES IV Bonds Private Placement Taxable 10000 10000000000 31-01-2021 31-01-2026 5% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR IV 5 LOA 31JN26 FVRS10000 AAA/Stable;CARE AAA
Public Sector
INE053F07CO4 INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION CRISIL AAA/Stable;ICRA
2813 SERIES IV Bonds Private Placement Taxable 10000 822500000 28-02-2021 28-02-2026 5% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR IV 5 LOA 28FB26 FVRS10000 AAA/Stable;CARE AAA
Public Sector
INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION CARE AAA;CRISIL AAA/Stable;ICRA
2814 INE053F07CP1 SERIES IV Bonds Private Placement Taxable 10000 2098790000 31-03-2021 31-03-2026 5% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR IV 5 LOA 31MR26 FVRS10000 AAA/Stable
Public Sector
INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION CARE AAA;CRISIL AAA/Stable;ICRA
2819 INE053F07CU1 SERIES 155 Bonds Private Placement Taxable 1000000 30000000000 05-02-2021 05-05-2023 5.04% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR 155 5.04 LOA 05MY23 FVRS10LAC AAA/Stable
Public Sector
INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION CRISIL AAA/Stable;ICRA
2820 INE053F07CV9 SERIES 156 Bonds Private Placement Taxable 1000000 19545000000 25-02-2021 25-02-2041 7.21% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR 156 7.21 LOA 25FB41 FVRS10LAC AAA/Stable;CARE AAA
Public Sector
INE053F07CW7 INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION CARE AAA;CRISIL AAA/Stable;ICRA
2821 SERIES 157 Bonds Private Placement Taxable 1000000 13750000000 30-03-2021 30-04-2041 6.80% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR 157 6.80 LOA 30AP41 FVRS10LAC AAA/Stable
Public Sector
INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION CRISIL AAA/Stable;ICRA
2822 INE053F07CX5 SERIES V 54 EC Bonds Private Placement Taxable 10000 565740000 30-04-2021 30-04-2026 5% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR V 5 LOA 30AP26 FVRS10000 AAA/Stable;CARE AAA
Public Sector
INDIAN RAILWAY FINANCE INDIAN RAILWAY FINANCE CORPORATION ICRA AAA/Stable;CARE AAA;CRISIL
2824 INE053F08098 SERIES 158 Bonds Private Placement Taxable 1000000 19940000000 04-06-2021 04-06-2041 6.99% Simple Once a year Finance Undertaking (PSU) NBFC Active
CORPORATION LIMITED LIMITED SR 158 6.99 LOA 04JU41 FVRS10LAC AAA/Stable
INE053O07019 TRICHY TOLLWAY PRIVATE TRICHY TOLLWAY PRIVATE LIMITED SR-A 9.5 Twelve times a
2867 A Debentures Private Placement Taxable 6200 1750000000 01-07-2016 15-12-2024 9.5% Simple IND AA-/Positive Utilities Non PSU Other Active
LIMITED NCD 15DC24 FVRS6200 year
Public Sector
ONGC MANGALORE ONGC MANGALORE PETROCHEMICALS Four times a
2869 INE053T08024 SERIES II Debentures Private Placement Taxable 10000000 2500000000 05-03-2020 05-03-2023 8.50% Simple IND AAA(CE)/Stable Basic Materials Undertaking (PSU) Other Active
PETROCHEMICALS LIMITED LIMITED SR II 8.50 CCD 05MR23 FVRS1CR year
Public Sector
ONGC MANGALORE ONGC MANGALORE PETROCHEMICALS Four times a
2870 INE053T08032 SERIES III Debentures Private Placement Taxable 10000000 5000000000 05-03-2020 05-03-2023 8.75% Simple IND AAA(CE)/Stable Basic Materials Undertaking (PSU) Other Active
PETROCHEMICALS LIMITED LIMITED SR III 8.75 CCD 05MR23 FVRS1CR year
RESET RATE
HIMALYAN EXPRESSWAY HIMALYAN EXPRESSWAY LIMITED RR NCD Twelve times a
2874 INE054K07015 N.A. Debentures Private Placement Taxable 100000 500000000 01-01-2014 21-02-2026 (REFER Simple CARE WITHDRAWN Utilities Non PSU Other Active
LIMITED 21FB26 FVRS1LAC year
REMARKS)
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
MAGMA HOUSING FINANCE MAGMA HOUSING FINANCE LIMITED SR-E 10.1 CARE AA- (Under rating watch with
2878 INE055I07057 E Debentures Private Placement Taxable 1000000 200000000 31-03-2015 31-03-2022 10.1% Simple Once a year Finance Non PSU Other Active
LIMITED NCD 31MR22 FVRS10LAC developing implications)
MAGMA HOUSING FINANCE MAGMA HOUSING FINANCE LIMITED SR-F 10 CARE AA- (Under rating watch with
2879 INE055I07065 F Debentures Private Placement Taxable 1000000 100000000 31-03-2016 31-03-2023 10% Simple Once a year Finance Non PSU Other Active
LIMITED NCD 31MR23 FVRS10LAC developing implications)
MAGMA HOUSING FINANCE MAGMA HOUSING FINANCE LIMITED SR 1 2020 CARE AA- (Under rating watch with
2880 INE055I07099 SERIES 1 2020 Debentures Private Placement Taxable 1000000 1250000000 26-06-2020 26-06-2023 9% Simple Once a year Finance Non PSU Other Active
LIMITED 9 NCD 26JU23 FVRS10LAC developing implications)
MAGMA HOUSING FINANCE MAGMA HOUSING FINANCE LIMITED SR 2 2020 CARE AA- (Under rating watch with
2881 INE055I07107 SERIES 2 2020 Debentures Private Placement Taxable 1000000 950000000 06-07-2020 21-04-2023 8.75% Simple Twice a year Finance Non PSU Other Active
LIMITED 8.75 NCD 21AP23 FVRS10LAC developing implications)
MAGMA HOUSING FINANCE MAGMA HOUSING FINANCE LIMITED SR 3 CARE AA- (Under rating watch with
2882 INE055I07115 SERIES 3 2020- OPTION 1 Debentures Private Placement Taxable 1000000 500000000 31-07-2020 31-07-2023 9% Simple Once a year Finance Non PSU Other Active
LIMITED OPTION 1 9 NCD 31JL23 FVRS10LAC developing implications)
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
MAGMA HOUSING FINANCE MAGMA HOUSING FINANCE LIMITED SR 4 8.48 CARE AA- (Under rating watch with
2883 INE055I07123 SERIES 4 Debentures Private Placement Taxable 1000000 1400000000 18-08-2020 18-02-2022 8.48% Simple Once a year Finance Non PSU Other Active
LIMITED NCD 18FB22 FVRS10LAC developing implications)
RESET RATE
INE056O08028 FLOREAT INVESTMENTS FLOREAT INVESTMENTS PRIVATE LIMITED RR Compounding Four times a
2895 N.A. Debentures Private Placement Taxable 10000000 2000000000 19-01-2016 12-02-2024 - REFER Finance Non PSU Other Active
PRIVATE LIMITED NCD 12FB24 FVRS1CR year
REMARKS
INE056Q07033 PARINEE SHELTERS PRIVATE PARINEE SHELTERS PRIVATE LIMITED 8 NCD Compounding Twelve times a
2896 NA Debentures Private Placement Taxable 1000000 1990000000 13-10-2020 31-03-2024 8% IVR B/Stable Utilities Non PSU Other Active
LIMITED 31MR24 FVRS10LAC year
13.3%
(BENCHMAR
REGEN INFRASTRUCTURE PLUS
REGEN INFRASTRUCTURE AND SERVICES Compounding Twelve times a
2898 INE057T07043 AND SERVICES PRIVATE N.A. Debentures Private Placement Taxable 889546 1850000000 12-07-2017 12-07-2026 SPREAD) Energy Non PSU Other Active
PRIVATE LIMITED BR OCD 12JL26 FVRS889546 year
LIMITED COMMERCIA
L PAPER
RATE
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
LINKED. ONE
YEAR
COMMERCIA
L PAPER
RATE (AVG
90 DAYS
PRIOR TO
THE DATE OF
DISBURSEME
NT) WHICH
WILL BE
RESET AT
EVERY
ANNIVERSAR
Y OF THE
FACILITY
13.3%
(BENCHMAR
PLUS
SPREAD)
COMMERCIA
L PAPER
RATE
LINKED. ONE
YEAR
COMMERCIA
REGEN INFRASTRUCTURE L PAPER
REGEN INFRASTRUCTURE AND SERVICES Compounding Twelve times a
2899 INE057T07050 AND SERVICES PRIVATE N.A. Debentures Private Placement Taxable 846345 2000000000 11-09-2015 12-07-2026 RATE (AVG Energy Non PSU Other Active
PRIVATE LIMITED BR OCD 12JL26 FVRS846345 year
LIMITED 90 DAYS
PRIOR TO
THE DATE OF
DISBURSEME
NT) WHICH
WILL BE
RESET AT
EVERY
ANNIVERSAR
Y OF THE
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
FACILITY
BENCHMARK
MCLR RATE
VAYU URJA BHARAT PRIVATE VAYU URJA BHARAT PRIVATE LIMITED SR-I BR Compounding
2900 INE057U08015 SERIES I Debentures Private Placement Taxable 10 200000000 27-01-2017 24-01-2037 LINKED Once a year Energy Non PSU Other Active
LIMITED OCD 24JN37 FVRS10
(REFER
REMARKS)
INE058W07011 BHUMI PRAKASH PRIVATE BHUMI PRAKASH PRIVATE LIMITED 8.458 LOA
2903 NA Debentures Private Placement Taxable 1 1198926502 02-11-2020 29-10-2027 8.458% Simple Twice a year Utilities Non PSU Other Active
LIMITED 29OT27 FVRS1
CASPIAN IMPACT
CASPIAN IMPACT INVESTMENTS PRIVATE
2912 INE059K07071 INVESTMENTS PRIVATE Debentures Private Placement Taxable 1000000 200000000 18-11-2020 18-05-2022 10.50% Simple Once a year ICRA BBB/Stable Finance Non PSU Other Active
LIMITED 10.50 NCD 18MY22 FVRS10LAC
LIMITED
CASPIAN IMPACT
CASPIAN IMPACT INVESTMENTS PRIVATE Twelve times a
2913 INE059K07089 INVESTMENTS PRIVATE SERIES 8 Debentures Private Placement Taxable 100000 150000000 08-03-2021 08-09-2022 11.50 Simple ICRA BBB/Stable Finance Non PSU Other Active
LIMITED SR 8 11.50 NCD 08SP22 FVRS1LAC year
LIMITED
EQUITY
ENSOURCE CONSULTING ENSOURCE CONSULTING PRIVATE LIMITED BR LINKED Four times a
2914 INE059T07015 N.A. Debentures Private Placement Taxable 100000 2500000000 03-05-2018 31-03-2023 Simple BWR A(CE)/Stable Utilities Non PSU Other Active
PRIVATE LIMITED NCD 31MR23 FVRS1LAC (REFER year
REMARKS)
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Twelve times a
2916 INE05CL07208 SERIES 3 Debentures Private Placement Taxable 100000 7200000 25-02-2019 24-02-2022 10.25% Simple Finance Non PSU NBFC Active
(INDIA) LIMITED SR-3 10.25 NCD 24FB22 FVRS1LAC year
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Twelve times a
2917 INE05CL07224 SERIES 3 Debentures Private Placement Taxable 100000 13800000 25-02-2019 24-02-2024 10.50% Simple Finance Non PSU NBFC Active
(INDIA) LIMITED SR-3 10.5 NCD 24FB24 FVRS1LAC year
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Compounding
2918 INE05CL07315 SERIES 3 Debentures Private Placement Taxable 100000 7600000 25-02-2019 24-02-2022 N.A. Finance Non PSU NBFC Active
(INDIA) LIMITED SERIES 3 NCD 24FB22 FVRS1LAC
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Compounding
2919 INE05CL07323 SERIES 3 Debentures Private Placement 100000 13400000 25-02-2019 24-02-2024 N.A. Finance Non PSU NBFC Active
(INDIA) LIMITED SERIES 3 NCD 24FB24 FVRS1LAC
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Compounding
2920 INE05CL07349 SERIES 4 Debentures Private Placement Taxable 100000 8800000 21-03-2019 21-03-2022 N.A. Finance Non PSU NBFC Active
(INDIA) LIMITED SERIES 4 NCD 21MR22 FVRS1LAC
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Compounding
2921 INE05CL07356 SERIES 4 Debentures Private Placement Taxable 100000 20400000 21-03-2019 21-03-2024 N.A. Finance Non PSU NBFC Active
(INDIA) LIMITED SERIES 4 NCD 21MR24 FVRS1LAC
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Twelve times a
2922 INE05CL07372 SERIES 4 Debentures Private Placement Taxable 100000 3500000 21-03-2019 21-03-2022 10.25% Simple Finance Non PSU NBFC Active
(INDIA) LIMITED SERIES 4 10.25 NCD 21MR22 FVRS1LAC year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Twelve times a
2923 INE05CL07380 SERIES 4 Debentures Private Placement Taxable 100000 8100000 21-03-2019 21-03-2024 10.50% Simple Finance Non PSU NBFC Active
(INDIA) LIMITED SERIES 4 10.5 NCD 21MR24 FVRS1LAC year
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Compounding
2924 INE05CL07406 SERIES 4 Debentures Private Placement Taxable 100000 3500000 29-03-2019 29-03-2022 N.A. Finance Non PSU NBFC Active
(INDIA) LIMITED SERIES 4 NCD 29MR22 FVRS1LAC
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Compounding
2925 INE05CL07414 SERIES 4 Debentures Private Placement Taxable 100000 15600000 29-03-2019 29-03-2024 N.A. Finance Non PSU NBFC Active
(INDIA) LIMITED SERIES 4 NCD 29MR24 FVRS1LAC
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Twelve times a
2926 INE05CL07430 SERIES 4 Debentures Private Placement Taxable 100000 6000000 29-03-2019 29-03-2022 10.25% Simple Finance Non PSU NBFC Active
(INDIA) LIMITED SERIES 4 10.25 NCD 29MR22 FVRS1LAC year
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Twelve times a
2927 INE05CL07448 SERIES 4 Debentures Private Placement Taxable 100000 2700000 29-03-2019 29-03-2024 10.50% Simple Finance Non PSU NBFC Active
(INDIA) LIMITED SERIES 4 10.5 NCD 29MR24 FVRS1LAC year
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Twelve times a
2928 INE05CL07455 SERIES 5 Debentures Private Placement Taxable 100000 16100000 02-09-2019 02-09-2024 10.25% Simple Finance Non PSU NBFC Active
(INDIA) LIMITED SR 5 10.25 NCD 02SP24 FVRS1LAC year
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Compounding
2929 INE05CL07463 SERIES 5 Debentures Private Placement Taxable 100000 13700000 02-09-2019 02-09-2024 Finance Non PSU NBFC Active
(INDIA) LIMITED SR 5 NCD 02SP24 FVRS1LAC
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Twelve times a
2930 INE05CL07471 SERIES 6 Debentures Private Placement Taxable 100000 17400000 30-09-2019 30-09-2024 10.25% Simple Finance Non PSU NBFC Active
(INDIA) LIMITED SR 6 10.25 NCD 30SP24 FVRS1LAC year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Compounding
2931 INE05CL07489 SERIES 6 Debentures Private Placement Taxable 100000 12500000 30-09-2019 30-09-2024 Finance Non PSU NBFC Active
(INDIA) LIMITED SR 6 NCD 30SP24 FVRS1LAC
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Compounding
2932 INE05CL07497 SERIES 7 Debentures Private Placement Taxable 100000 11400000 01-11-2019 01-11-2024 Finance Non PSU NBFC Active
(INDIA) LIMITED SR 7 NCD 01NV24 FVRS1LAC
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Twelve times a
2933 INE05CL07505 SERIES 7 Debentures Private Placement Taxable 100000 13700000 01-11-2019 01-11-2024 10.25% Simple Finance Non PSU NBFC Active
(INDIA) LIMITED SR 7 10.25 NCD 01NV24 FVRS1LAC year
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Compounding
2934 INE05CL07539 SERIES 9 Debentures Private Placement Taxable 100000 2500000 21-01-2020 20-01-2025 N.A Finance Non PSU NBFC Active
(INDIA) LIMITED SR 9 NCD 20JN25 FVRS1LAC
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Twelve times a
2935 INE05CL07547 SERIES 9 Debentures Private Placement Taxable 100000 8000000 21-01-2020 20-01-2025 10.25% Simple Finance Non PSU NBFC Active
(INDIA) LIMITED SR 9 10.25 NCD 20JN25 FVRS1LAC year
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Compounding
2936 INE05CL07554 SERIES 10 Debentures Private Placement Taxable 100000 15900000 29-02-2020 28-02-2025 N.A Finance Non PSU NBFC Active
(INDIA) LIMITED SR 10 NCD 28FB25 FVRS1LAC
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Twelve times a
2937 INE05CL07562 SERIES 10 Debentures Private Placement Taxable 100000 11300000 29-02-2020 28-02-2025 10.25% Simple Finance Non PSU NBFC Active
(INDIA) LIMITED SR 10 10.25 NCD 28FB25 FVRS1LAC year
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Compounding
2938 INE05CL07570 SERIES 11 Debentures Private Placement Taxable 100000 13500000 28-03-2020 27-03-2025 N.A Finance Non PSU NBFC Active
(INDIA) LIMITED SR 11 NCD 27MR25 FVRS1LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Twelve times a
2939 INE05CL07588 SERIES 11 Debentures Private Placement Taxable 100000 29100000 28-03-2020 27-03-2025 10.25% Simple Finance Non PSU NBFC Active
(INDIA) LIMITED SR 11 10.25 NCD 27MR25 FVRS1LAC year
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Twelve times a
2940 INE05CL07596 SERIES 12 Debentures Private Placement Taxable 100000 24000000 18-07-2020 17-07-2025 10% Simple Finance Non PSU NBFC Active
(INDIA) LIMITED SERIES 12 10 NCD 17JL25 FVRS1LAC year
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Compounding
2941 INE05CL07604 SERIES 12 Debentures Private Placement Taxable 100000 15000000 18-07-2020 17-07-2025 N.A. Finance Non PSU NBFC Active
(INDIA) LIMITED SERIES 12 NCD 17JL25 FVRS1LAC
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Compounding
2942 INE05CL07612 SERIES 13 Debentures Private Placement Taxable 100000 18000000 27-07-2020 26-07-2025 Finance Non PSU NBFC Active
(INDIA) LIMITED SR 13 NCD 26JL25 FVRS1LAC
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Twelve times a
2943 INE05CL07620 SERIES 13 Debentures Private Placement Taxable 100000 14900000 27-07-2020 26-07-2025 10% Simple Finance Non PSU NBFC Active
(INDIA) LIMITED SR 13 10 NCD 26JL25 FVRS1LAC year
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Compounding
2944 INE05CL07638 SERIES 14 Debentures Private Placement Taxable 100000 9600000 30-09-2020 29-09-2025 Finance Non PSU NBFC Active
(INDIA) LIMITED SR 14 NCD 29SP25 FVRS1LAC
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Twelve times a
2945 INE05CL07646 SERIES 14 Debentures Private Placement Taxable 100000 26000000 30-09-2020 29-09-2025 10% Simple Finance Non PSU NBFC Active
(INDIA) LIMITED SR 14 10 NCD 29SP25 FVRS1LAC year
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Twelve times a
2946 INE05CL07661 SERIES - 15 Debentures Private Placement Taxable 100000 27100000 01-12-2020 30-11-2025 10% Simple Finance Non PSU NBFC Active
(INDIA) LIMITED SR 15 10 NCD 30NV25 FVRS1LAC year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Compounding
2947 INE05CL07679 SERIES 16 Debentures Private Placement Taxable 100000 17300000 15-02-2021 14-02-2026 N.A Finance Non PSU NBFC Active
(INDIA) LIMITED SR 16 NCD 14FB26 FVRS1LAC
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Twelve times a
2948 INE05CL07687 SERIES 16 Debentures Private Placement Taxable 100000 24500000 15-02-2021 14-02-2026 9.25% Simple Finance Non PSU NBFC Active
(INDIA) LIMITED SR 16 9.25 NCD 14FB26 FVRS1LAC year
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Twelve times a
2949 INE05CL07695 SERIES 17 Debentures Private Placement Taxable 100000 30600000 31-03-2021 30-03-2026 9.25% Simple Finance Non PSU NBFC Active
(INDIA) LIMITED SR 17 9.25 NCD 30MR26 FVRS1LAC year
DBFS FINANCE AND LEASING DBFS FINANCE AND LEASING (INDIA) LIMITED Compounding
2950 INE05CL07703 SERIES 17 Debentures Private Placement Taxable 100000 9000000 31-03-2021 30-03-2026 N.A Finance Non PSU NBFC Active
(INDIA) LIMITED SR 17 NCD 30MR26 FVRS1LAC
ALLIANCE INN (INDIA) PRIVATE ALLIANCE INN (INDIA) PRIVATE LIMITED SR TR 1 Twelve times a
2951 INE05CT07011 TRANCHE 1 Debentures Private Placement Taxable 1000000 1610000000 29-05-2019 31-03-2024 19.50% Simple Basic Materials Non PSU Other Active
LIMITED 19.50 NCD 31MR24 FVRS10LAC year
INE05CV08023 PERUNGUDI REAL ESTATES PERUNGUDI REAL ESTATES PRIVATE LIMITED Four times a
2953 SERIES A12 Debentures Private Placement Taxable 100 150000000 06-04-2017 05-04-2037 12% Utilities Non PSU Other Active
PRIVATE LIMITED SERIES A12 12 OCD 05AP37 FVRS100 year
ADVAITHA VENTURES ADVAITHA VENTURES PRIVATE LIMITED 18 LOA Compounding Four times a
2966 INE05EJ07026 N.A Debentures Private Placement Taxable 100000 700000000 22-02-2019 31-01-2022 18% Utilities Non PSU Other Active
PRIVATE LIMITED 31JN22 FVRS1LAC year
STONEBRICKS PROPERTY
STONEBRICKS PROPERTY DEVELOPMENT
2970 INE05FN07033 DEVELOPMENT PRIVATE SERIES C Debentures Private Placement Taxable 100000 400000000 18-07-2019 30-09-2023 Utilities Non PSU Other Active
PRIVATE LIMITED SR C NCD 30SP23 FVRS1LAC
LIMITED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
RESET RATE
INE05GA07012 CASA GRANDE MILESTONE CASA GRANDE MILESTONE PRIVATE LIMITED Compounding Four times a
2972 N.A. Debentures Private Placement Taxable 100000 1224900000 15-10-2018 30-09-2023 - REFER Utilities Non PSU Other Active
PRIVATE LIMITED RR NCD 30SP23 FVRS1LAC year
REMARKS
INE05GV08016 DLF REAL ESTATE BUILDERS DLF REAL ESTATE BUILDERS LIMITED 0.01 CCD
2973 Debentures Private Placement Taxable 10 4000000000 24-06-2020 23-06-2030 0.01% Simple Once a year Utilities Non PSU Other Active
LIMITED 23JU30 FVRS10
RADISYS INDIA PRIVATE RADISYS INDIA PRIVATE LIMITED 0.0001 OCD Compounding
2975 INE05HP08016 Debentures Rights Issue Taxable 10000 150000000 17-03-2021 16-03-2031 0.0001% On Maturity Utilities Non PSU Other Active
LIMITED 16MR31 FVRS10000
Public Sector
INE05NX24015 SURAT MUNICIPAL SURAT MUNICIPAL CORPORATION SERIES I
3026 SERIES I Bonds Private Placement Taxable 1000000 2000000000 01-03-2019 01-03-2024 8.68% Simple Twice a year IND AA+/Stable;CRISIL AA+/Stable Utilities Undertaking (PSU) Other Active
CORPORATION 8.68 BD 01MR24 FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
INE05OC24017 LUCKNOW MUNICIPAL LUCKNOW MUNICIPAL CORPORATION SR A
3027 SERIES A Bonds Private Placement Taxable 142900 285800000 18-11-2020 18-11-2024 8.50% Simple Twice a year IND AA/Stable;BWR AA(CE)/Stable Utilities Undertaking (PSU) Other Active
CORPORATION 8.50 BD 18NV24 FVRS142900
Public Sector
INE05OC24025 LUCKNOW MUNICIPAL LUCKNOW MUNICIPAL CORPORATION SR B
3028 SERIES B Bonds Private Placement Taxable 142900 285800000 18-11-2020 18-11-2025 8.50% Simple Twice a year IND AA/Stable;BWR AA(CE)/Stable Utilities Undertaking (PSU) Other Active
CORPORATION 8.50 BD 18NV25 FVRS142900
Public Sector
INE05OC24033 LUCKNOW MUNICIPAL LUCKNOW MUNICIPAL CORPORATION SR C
3029 SERIES C Bonds Private Placement Taxable 142900 285800000 18-11-2020 18-11-2026 8.50% Simple Twice a year IND AA/Stable;BWR AA(CE)/Stable Utilities Undertaking (PSU) Other Active
CORPORATION 8.50 BD 18NV26 FVRS142900
Public Sector
INE05OC24041 LUCKNOW MUNICIPAL LUCKNOW MUNICIPAL CORPORATION SR D
3030 SERIES D Bonds Private Placement Taxable 142900 285800000 18-11-2020 18-11-2027 8.50% Twice a year BWR AA(CE)/Stable;IND AA/Stable Utilities Undertaking (PSU) Other Active
CORPORATION 8.50 BD 18NV27 FVRS142900
Public Sector
INE05OC24058 LUCKNOW MUNICIPAL LUCKNOW MUNICIPAL CORPORATION SR E
3031 SERIES E Bonds Private Placement Taxable 142900 285800000 18-11-2020 18-11-2028 8.50% Simple Twice a year BWR AA(CE)/Stable;IND AA/Stable Utilities Undertaking (PSU) Other Active
CORPORATION 8.50 BD 18NV28 FVRS142900
Public Sector
INE05OC24066 LUCKNOW MUNICIPAL LUCKNOW MUNICIPAL CORPORATION SR F 8.50
3032 SERIES F Bonds Private Placement Taxable 142900 285800000 18-11-2020 18-11-2029 8.50% Simple Twice a year BWR AA(CE)/Stable;IND AA/Stable Utilities Undertaking (PSU) Other Active
CORPORATION BD 18NV29 FVRS142900
Public Sector
INE05OC24074 LUCKNOW MUNICIPAL LUCKNOW MUNICIPAL CORPORATION SR G
3033 SERIES G Bonds Private Placement Taxable 142600 285200000 18-11-2020 18-11-2030 8.50% Simple Twice a year BWR AA(CE)/Stable;IND AA/Stable Utilities Undertaking (PSU) Other Active
CORPORATION 8.50 BD 18NV30 FVRS142600
EXCLUSIVE LEASING AND EXCLUSIVE LEASING AND FINANCE PRIVATE Four times a
3034 INE05OF07015 SERIES 1/2020-2021 Debentures Private Placement Taxable 1000000 55000000 28-08-2020 27-08-2025 14% Simple Utilities Non PSU Other Active
FINANCE PRIVATE LIMITED LIMITED SR-1 14 NCD 27AG25 FVRS10LAC year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
EXCLUSIVE LEASING AND EXCLUSIVE LEASING AND FINANCE PRIVATE Four times a
3035 INE05OF07023 SERIES II/2020-2021 Debentures Private Placement Taxable 1000000 50000000 12-11-2020 11-11-2025 13% Simple Utilities Non PSU Other Active
FINANCE PRIVATE LIMITED LIMITED SR II 13 NCD 11NV25 FVRS10LAC year
EXCLUSIVE LEASING AND EXCLUSIVE LEASING AND FINANCE PRIVATE Four times a
3036 INE05OF07031 SERIES III Debentures Private Placement 1000000 60000000 21-01-2021 20-01-2025 13% Simple Utilities Non PSU Other Active
FINANCE PRIVATE LIMITED LIMITED SR III 13 NCD 20JN25 FVRS10LAC year
RESET RATE
INE05OY08014 ECOREN ONE WIND ENERGY ECOREN ONE WIND ENERGY PRIVATE LIMITED
3040 SERIES-B Debentures Private Placement Taxable 100 287525500 14-03-2017 13-03-2027 REFER Simple Once a year Utilities Non PSU Other Active
PRIVATE LIMITED SR B RR CCD 13MR27 FVRS100
REMARKS
INE05Q607038 ECOMARK GENERAL FINANCE ECOMARK GENERAL FINANCE AND LEASING Twelve times a
3046 EFIN002 Debentures Private Placement Taxable 1000 7500000 07-06-2019 07-06-2024 12% Simple Utilities Non PSU Other Active
AND LEASING LIMITED LIMITED EFIN002 12 NCD 07JU24 FVRS1000 year
DESAI RESIDENCY PRIVATE DESAI RESIDENCY PRIVATE LIMITED SR I 17.25 Four times a
3052 INE05UJ07014 SERIES I Debentures Private Placement Taxable 841346.153 1130000000 29-11-2019 31-08-2021 17.25% Simple Utilities Non PSU Other Active
LIMITED NCD 31AG21 FVRS841346.153 year
VATIKA ONE ON ONE PRIVATE VATIKA ONE ON ONE PRIVATE LIMITED SERIES Twelve times a
3053 INE05VE07013 SERIES I Debentures Private Placement Taxable 1000000 2250000000 26-12-2016 22-12-2021 15.5% Simple Industrial Non PSU Other Active
LIMITED I 15.5 NCD 22DC21 FVRS10LAC year
VATIKA ONE ON ONE PRIVATE VATIKA ONE ON ONE PRIVATE LIMITED SERIES Twelve times a
3054 INE05VE07021 SERIES 2 Debentures Private Placement Taxable 1000000 2000000000 12-09-2018 04-09-2023 14.5% Simple Industrial Non PSU Other Active
LIMITED 2 14.5 NCD 04SP23 FVRS10LAC year
VATIKA ONE ON ONE PRIVATE VATIKA ONE ON ONE PRIVATE LIMITED 14.60 Compounding Four times a
3055 INE05VE07047 NA Debentures Private Placement Taxable 1000000 1100000000 15-10-2020 15-10-2021 14.60% Industrial Non PSU Other Active
LIMITED NCD 15OT21 FVFRS10LAC year
LALITH GANGADHAR
LALITH GANGADHAR CONSTRUCTIONS Compounding
3056 INE05VX07013 CONSTRUCTIONS PRIVATE N.A. Debentures Private Placement Taxable 10 225000000 23-11-2018 15-11-2022 18% Once a year Utilities Non PSU Other Active
PRIVATE LIMITED 18 LOA 15NV22 FVRS10
LIMITED
RESET RATE
ROHAN RAJDEEP TOLL ROADS ROHAN RAJDEEP TOLL ROADS LIMITED RR Twelve times a
3061 INE060P07011 N.A. Debentures Private Placement 10000 877400000 28-07-2015 30-06-2026 (REFER Simple CARE A/Stable Utilities Non PSU Other Active
LIMITED NCD 30JU26 FVRS10000 year
REMARKS)
13.54%
LNJ POWER VENTURES LNJ POWER VENTURES LIMITED 13.54 CCD Compounding
3071 INE061P08017 Debentures Private Placement Taxable 100000 21-03-2013 21-03-2033 (REFER Twice a year Energy Non PSU Other Active
LIMITED 21MR33 FVRS1LAC
REMARKS)
13.54 (REFER
LNJ POWER VENTURES LNJ POWER VENTURES LIMITED 13.54 CCD Compounding
3072 INE061P08025 Debentures Private Placement Taxable 100000 10-05-2013 10-05-2033 REMARKS) Twice a year Energy Non PSU Other Active
LIMITED 10MY33 FVRS1LAC
Public Sector
STATE BANK OF INDIA 9.69 BD 02JN24
3074 INE062A08074 STATE BANK OF INDIA N.A. Bonds Private Placement Taxable 1000000 20000000000 02-01-2014 02-01-2024 9.69% Simple Once a year ICRA AAA;CARE AAA/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
STATE BANK OF INDIA SR-1 9 BD PERPETUAL CRISIL AA+/Stable;CARE AA+/Stable
3075 INE062A08124 STATE BANK OF INDIA SERIES 1 Bonds Private Placement Taxable 1000000 21000000000 06-09-2016 31-12-9999 9% Simple Once a year Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
STATE BANK OF INDIA SR-II 8.75 BD CARE AA+/Stable;CRISIL AA+/Stable
3076 INE062A08132 STATE BANK OF INDIA SERIES II Bonds Private Placement Taxable 1000000 25000000000 27-09-2016 31-12-9999 8.75% Simple Once a year Finance Undertaking (PSU) Bank Active
PERPETUAL FVRS10LAC
Public Sector
STATE BANK OF INDIA SR-III 8.39 BD CRISIL AA+/Stable;CARE AA+/Stable
3077 INE062A08140 STATE BANK OF INDIA SERIES III Bonds Private Placement Taxable 1000000 25000000000 25-10-2016 31-12-9999 8.39% Simple Once a year Finance Undertaking (PSU) Bank Active
PERPETUAL FVRS10LAC
Public Sector
STATE BANK OF INDIA SR-IV 8.15 BD CARE AA+/Stable;CRISIL AA+/Stable
3078 INE062A08157 STATE BANK OF INDIA SERIES IV Bonds Private Placement Taxable 1000000 20000000000 02-08-2017 31-12-9999 8.15% Simple Once a year Finance Undertaking (PSU) Bank Active
PERPETUAL FVRS10LAC
Public Sector
STATE BANK OF INDIA SERIES I 8.9 BD 02NV28
3079 INE062A08165 STATE BANK OF INDIA SERIES I Bonds Private Placement Taxable 1000000 50000000000 02-11-2018 02-11-2028 8.9% Simple Once a year IND AAA/Stable;CRISIL AAA/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
STATE BANK OF INDIA SERIES 1 9.56 NCD
3080 INE062A08173 STATE BANK OF INDIA SERIES 1 Bonds Private Placement Taxable 1000000 40210000000 04-12-2018 31-12-9999 9.56% Simple Once a year CRISIL AA+/Stable;ICRA AA+/Stable Finance Undertaking (PSU) Bank Active
PERPETUAL FVRS10LAC
Public Sector
STATE BANK OF INDIA SERIES II BD 9.37
3081 INE062A08181 STATE BANK OF INDIA SERIES II Bonds Private Placement Taxable 1000000 20450000000 21-12-2018 31-12-9999 9.37% Simple Once a year ICRA AA+/Stable;CRISIL AA+/Stable Finance Undertaking (PSU) Bank Active
PERPETUAL FVRS10LAC
Public Sector
STATE BANK OF INDIA SERIES III 9.45 BD
3082 INE062A08199 STATE BANK OF INDIA SERIES III Bonds Private Placement Taxable 1000000 12513000000 22-03-2019 31-12-9999 9.45% Simple Once a year CRISIL AA+/Stable;ICRA AA+/Stable Finance Undertaking (PSU) Bank Active
PERPETUAL FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
STATE BANK OF INDIA SR I 7.99 BD 28JU29
3083 INE062A08207 STATE BANK OF INDIA SERIES I Bonds Private Placement Taxable 1000000 50000000000 28-06-2019 28-06-2029 7.99 Simple Once a year IND AAA/Stable;CRISIL AAA/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
STATE BANK OF INDIA SERIES I 8.75 BD
3084 INE062A08215 STATE BANK OF INDIA SERIES I Bonds Private Placement Taxable 1000000 31048000000 30-08-2019 31-12-9999 8.75% Simple Once a year CRISIL AA+/Stable;ICRA AA+/Stable Finance Undertaking (PSU) Bank Active
PERPETUAL FVRS10LAC
Public Sector
STATE BANK OF INDIA SERIES II 8.50 BD
3085 INE062A08223 STATE BANK OF INDIA SERIES II Bonds Private Placement 1000000 38136000000 22-11-2019 31-12-9999 8.50% Simple Once a year CRISIL AA+/Stable;ICRA AA+/Stable Finance Undertaking (PSU) Bank Active
PERPETUAL FVRS10LAC
Public Sector
STATE BANK OF INDIA SR I 6.80 BD 21AG35
3086 INE062A08231 STATE BANK OF INDIA SERIES I Bonds Private Placement Taxable 1000000 89310000000 21-08-2020 21-08-2035 6.80% Simple Once a year CARE AAA;CRISIL AAA/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
STATE BANK OF INDIA SR I 7.74 BD PERPETUAL CRISIL AA+/Stable;IND
3087 INE062A08249 STATE BANK OF INDIA SERIES I Bonds Private Placement Taxable 1000000 40000000000 09-09-2020 31-12-9999 7.74% Simple Once a year Finance Undertaking (PSU) Bank Active
FVRS10LAC AA+/Stable;ICRA AA+/Stable
Public Sector
STATE BANK OF INDIA SR II 6.24 BD 21SP30
3088 INE062A08256 STATE BANK OF INDIA SERIES II Bonds Private Placement Taxable 1000000 70000000000 21-09-2020 21-09-2030 6.24% Simple Once a year CRISIL AAA/Stable;ICRA AAA/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
STATE BANK OF INDIA SR III 5.83 BD 26OT30 CRISIL AAA/Stable;ICRA
3089 INE062A08264 STATE BANK OF INDIA SERIES III Bonds Private Placement Taxable 1000000 50000000000 26-10-2020 26-10-2030 5.83% Simple Once a year Finance Undertaking (PSU) Bank Active
FVRS10LAC AAA/Stable;IND AAA/Stable
Public Sector
STATE BANK OF INDIA SR II 7.73 BD ICRA AA+/Stable;CRISIL
3090 INE062A08272 STATE BANK OF INDIA SERIES II Bonds Private Placement Taxable 1000000 25000000000 24-11-2020 31-12-9999 7.73% Simple Once a year Finance Undertaking (PSU) Bank Active
PERPETUAL FVRS10LAC AA+/Stable;IND AA+/Stable
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
RESET RATE
RUDRA SOLARFARMS RUDRA SOLARFARMS PRIVATE LIMITED RR
3093 INE062X08019 N.A. Debentures Private Placement Taxable 1000 668250000000 28-12-2016 28-12-2036 - REFER Simple Once a year Energy Non PSU Other Active
PRIVATE LIMITED CCD 28DC36 FVRS1000
REMARKS
RESET RATE
RUDRA SOLARFARMS RUDRA SOLARFARMS PRIVATE LIMITED RR
3094 INE062X08027 N.A. Debentures Private Placement Taxable 1000 695540000000 29-08-2016 29-08-2036 - REFER Simple Once a year Energy Non PSU Other Active
PRIVATE LIMITED CCD 29AG36 FVRS1000
REMARKS
RESET RATE
RUDRA SOLARFARMS RUDRA SOLARFARMS PRIVATE LIMITED RR
3095 INE062X08035 Debentures Private Placement Taxable 1000 535600000000 08-02-2018 08-02-2038 - REFER Simple Once a year Energy Non PSU Other Active
PRIVATE LIMITED CCD 08FB38 FVRS1000
REMARKS
RESET RATE
RUDRA SOLARFARMS RUDRA SOLARFARMS PRIVATE LIMITED RR
3096 INE062X08043 Debentures Private Placement Taxable 1000 535600000000 15-09-2017 15-09-2037 - REFER Simple Once a year Energy Non PSU Other Active
PRIVATE LIMITED CCD 15SP37 FVRS1000
REMARKS
ORIX LEASING & FINANCIAL ORIX LEASING & FINANCIAL SERVICES INDIA
3098 INE063R08019 NA Debentures Private Placement Taxable 1000000 2000000000 17-12-2020 18-12-2023 7.40% Simple Once a year IND AAA/Stable Finance Non PSU Other Active
SERVICES INDIA LIMITED LIMITED 7.40 LOA 18DC23 FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
RESET RATE
Cotton Textiles -
3099 INE064C07011 TRIDENT LIMITED TRIDENT LIMITED RR NCD 03NV24 FVRS10LAC Debentures Private Placement Taxable 1000000 1250000000 03-11-2020 03-11-2024 - REFER Simple Twice a year IND AA/Stable Active
Spinning
REMARKS
ONE INTERNATIONAL CENTER ONE INTERNATIONAL CENTER PRIVATE Compounding Twelve times a
3100 INE065I07015 N.A. Bonds Private Placement Taxable 1000000 7250000000 29-01-2020 28-01-2023 11% ICRA A-/Stable Others Active
PRIVATE LIMITED LIMITED 11 BD 28JN23 FVRS10LAC year
INE065W07016 ACME FAZILKA POWER ACME FAZILKA POWER PRIVATE LIMITED 10.23 Compounding Four times a
3101 N.A Debentures Private Placement Taxable 100 778200000 27-10-2020 31-12-2022 10.23% Energy Non PSU Other Active
PRIVATE LIMITED NCD 31DC22 FVRS100 year
INE065W08014 ACME FAZILKA POWER ACME FAZILKA POWER PRIVATE LIMITED 0.01
3102 N.A. Debentures Private Placement Taxable 1500 465000000 27-01-2016 26-01-2046 0.01% Simple Once a year Energy Non PSU Other Active
PRIVATE LIMITED CCD 26JN46 FVRS1500
INE065W08022 ACME FAZILKA POWER ACME FAZILKA POWER PRIVATE LIMITED 0.01
3103 Debentures Private Placement Taxable 1500 2525962500 08-09-2016 07-09-2046 0.01% Simple Once a year Energy Non PSU Other Active
PRIVATE LIMITED CCD 07SP46 FVRS1500
LIVGUARD ENERGY
LIVGUARD ENERGY TECHNOLOGIES PRIVATE
3107 INE067808019 TECHNOLOGIES PRIVATE N.A. Debentures Private Placement Taxable 100 1247896212 27-03-2019 26-03-2039 N.A. Utilities Non PSU Other Active
LIMITED CCD 26MR39 FVRS100
LIMITED
CG POWER AND INDUSTRIAL CG POWER AND INDUSTRIAL SOLUTIONS REFER Compounding Irregular
3108 INE067A08016 Debentures Private Placement Taxable 100000 2000000000 04-12-2020 04-12-2025 Others Active
SOLUTIONS LIMITED LIMITED RR NCD 04DC25 FVRS1LAC REMARKS Occurence
INDIABULLS REAL ESTATE INDIABULLS REAL ESTATE LIMITED 10 LOA CARE A+ (Under rating watch with Consumer
3113 INE069I07298 N.A. Debentures Private Placement Taxable 1000000 750000000 29-06-2016 29-04-2022 10% Simple Once a year Non PSU Other Active
LIMITED 29AP22 FVRS10LAC negative implications);BWR AA (SO) Services
INDIABULLS REAL ESTATE INDIABULLS REAL ESTATE LIMITED 10 LOA CARE A+ (Under rating watch with Consumer
3114 INE069I07306 N.A. Debentures Private Placement Taxable 1000000 310000000 08-07-2016 06-05-2022 10% Simple Once a year Non PSU Other Active
LIMITED 06MY22 FVRS10LAC negative implications);BWR AA (SO) Services
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INDIABULLS REAL ESTATE INDIABULLS REAL ESTATE LIMITED 9.8 LOA CARE A+ (Under rating watch with Consumer
3118 INE069I07348 N.A. Debentures Private Placement Taxable 1000000 250000000 07-09-2016 07-07-2022 9.8% Simple Once a year Non PSU Other Active
LIMITED 07JL22 FVRS10LAC negative implications);BWR AA (SO) Services
INDIABULLS REAL ESTATE INDIABULLS REAL ESTATE LIMITED 10.50 LOA Consumer
3120 INE069I07421 NA Debentures Private Placement Taxable 1000000 500000000 12-11-2020 12-11-2021 10.50% Simple On Maturity IVR AA-/Stable Non PSU Other Active
LIMITED 12NV21 FVRS10LAC Services
RESET RATE
TATA VALUE HOMES LIMITED RR NCD 23SP22 Consumer
3121 INE069P08051 TATA VALUE HOMES LIMITED N.A Debentures Private Placement Taxable 1000000 1950000000 27-09-2019 23-09-2022 REFER Simple Once a year CARE AA/Stable Non PSU Other Active
FVRS10LAC Services
REMARKS
INE06AQ08017 WELSPUN ROAD INFRA WELSPUN ROAD INFRA PRIVATE LIMITED CCD
3126 N.A Debentures Rights Issue Taxable 100 21200000 30-09-2019 30-09-2024 Utilities Non PSU Other Active
PRIVATE LIMITED 30SP24 FVRS100
INE06AQ08025 WELSPUN ROAD INFRA WELSPUN ROAD INFRA PRIVATE LIMITED CCD
3127 N.A Debentures Rights Issue Taxable 100 165586000 31-12-2019 31-12-2024 Utilities Non PSU Other Active
PRIVATE LIMITED 31DC24 FVRS100
INE06AQ08033 WELSPUN ROAD INFRA WELSPUN ROAD INFRA PRIVATE LIMITED CCD
3128 N.A Debentures Rights Issue Taxable 100 5940000 28-06-2019 28-06-2024 Utilities Non PSU Other Active
PRIVATE LIMITED 28JU24 FVRS100
INE06AQ08041 WELSPUN ROAD INFRA WELSPUN ROAD INFRA PRIVATE LIMITED CCD
3129 N.A Debentures Rights Issue Taxable 100 21021200 30-03-2019 30-03-2024 Utilities Non PSU Other Active
PRIVATE LIMITED 30MR24 FVRS100
INE06AQ08066 WELSPUN ROAD INFRA WELSPUN ROAD INFRA PRIVATE LIMITED OCD
3130 Debentures Rights Issue Taxable 100 149889500 31-03-2021 31-03-2039 N.A Utilities Non PSU Other Active
PRIVATE LIMITED 31MR39 FVRS100
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE06BM08014 EQX ANALYTICS PRIVATE EQX ANALYTICS PRIVATE LIMITED 0.0001 LOA
3133 N.A. Debentures Private Placement Taxable 10 165963300 18-06-2016 17-06-2026 0.0001% Simple On Maturity Utilities Non PSU Other Active
LIMITED 17JU26 FVRS10
HELLA INFRA MARKET HELLA INFRA MARKET PRIVATE LIMITED Twelve times a
3136 INE06E507017 SERIES A1 Debentures Private Placement Taxable 1000000 150000000 20-06-2020 30-06-2023 14.50% Simple Utilities Non PSU Other Active
PRIVATE LIMITED SERIES A1 14.50 NCD 30JU23 FVRS10LAC year
HELLA INFRA MARKET HELLA INFRA MARKET PRIVATE LIMITED SR A2 Twelve times a
3137 INE06E507025 SERIES A2 Debentures Private Placement Taxable 1000000 150000000 21-07-2020 30-06-2023 14.50% Simple Utilities Non PSU Other Active
PRIVATE LIMITED 14.50 NCD 30JU23 FVRS10LAC year
HELLA INFRA MARKET HELLA INFRA MARKET PRIVATE LIMITED SR A3 Twelve times a
3138 INE06E507033 SERIES A3 Debentures Private Placement Taxable 1000000 100000000 11-09-2020 30-06-2023 14.50%` Simple Utilities Non PSU Other Active
PRIVATE LIMITED 14.50 NCD 30JU23 FVRS10LAC year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
CHINTAMANI FINLEASE CHINTAMANI FINLEASE LIMITED SR 1 12 LOA CARE B+/Stable (ISSUER NOT
3139 INE06EY07015 1 Debentures Private Placement Taxable 1000 50000000 19-02-2018 19-02-2023 12% Twice a year Utilities Non PSU Other Active
LIMITED 19FB23 FVRS1000 COOPERATING*)
INE06GZ08015 THE ORIENTAL INSURANCE THE ORIENTAL INSURANCE COMPANY LIMITED CRISIL AAA/Stable;ICRA AAA/Negative
3140 SERIES I Debentures Private Placement Taxable 1000000 7500000000 18-03-2019 18-03-2029 8.80% Simple Once a year Utilities Non PSU Other Active
COMPANY LIMITED SR-I 8.80 LOA 18MR29 FVRS10LAC
RESET RATE
INE06N307011 NIMITAYA INFOTECH PRIVATE NIMITAYA INFOTECH PRIVATE LIMITED. RR NCD Four times a
3145 N.A. Debentures Private Placement Taxable 1000000 1824000000 30-03-2019 31-03-2023 - REFER Simple Utilities Non PSU Other Active
LIMITED. 31MR23 FVRS10LAC year
REMARKS
RESET RATE
INE06NV07012 BLUEBIRD SOFTWARE BLUEBIRD SOFTWARE PRIVATE LIMITED RR Four times a
3146 N.A. Debentures Private Placement Taxable 1000000 1826000000 30-03-2019 31-03-2023 - REFER Simple Utilities Non PSU Other Active
PRIVATE LIMITED NCD 31MR23 FVRS10LAC year
REMARKS
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE06OS07016 STAR AUTO INDUSTRIES STAR AUTO INDUSTRIES PRIVATE LIMITED 01 Four times a
3150 Debentures Private Placement Taxable 5000000 690000000 28-06-2019 27-06-2029 11.25% Simple Utilities Non PSU Other Active
PRIVATE LIMITED 11.25 CCD 27JU29 FVRS50LAC year
INE06PM07024 SAVE SOLUTIONS PRIVATE SAVE SOLUTIONS PRIVATE LIMITED 13.94 NCD
3153 Debentures Private Placement Taxable 500 182325000 20-12-2019 13-06-2024 13.94% Simple Twice a year Finance Non PSU Other Active
LIMITED 13JUN24 FVRS500
INE06PM07032 SAVE SOLUTIONS PRIVATE SAVE SOLUTIONS PRIVATE LIMITED 13.15 NCD
3154 N.A Debentures Private Placement Taxable 1000000 82000000 02-06-2020 02-06-2023 13.15% Simple Twice a year Finance Non PSU Other Active
LIMITED 02JU23 FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE06PM07040 SAVE SOLUTIONS PRIVATE SAVE SOLUTIONS PRIVATE LIMITED 12.39 NCD
3155 NA Debentures Private Placement Taxable 1000000 224000000 19-10-2020 06-05-2024 12.39% Simple Twice a year Finance Non PSU Other Active
LIMITED 06MY24 FVRS10LAC
INE06PM07057 SAVE SOLUTIONS PRIVATE SAVE SOLUTIONS PRIVATE LIMITED 12.15 NCD
3156 Debentures Private Placement Taxable 1000000 242000000 31-03-2021 31-03-2026 12.15% Simple Twice a year Finance Non PSU Other Active
LIMITED 31MR26 FVRS10LAC
INE06PM07065 SAVE SOLUTIONS PRIVATE SAVE SOLUTIONS PRIVATE LIMITED 12.29 NCD
3157 Debentures Private Placement Taxable 1000000 216000000 07-05-2021 07-05-2024 12.29% Simple Twice a year Finance Non PSU Other Active
LIMITED 07MY24 FVRS10LAC
RESET RATE-
NIYOGI ENTERPRISE PRIVATE NIYOGI ENTERPRISE PRIVATE LIMITED RR NCD
3158 INE06PX07013 Debentures Private Placement Taxable 1000000 4250000000 20-07-2020 30-06-2022 REFER Simple Once a year CRISIL AA-/Negative Utilities Non PSU Other Active
LIMITED 30JU22 FVRS10LAC
REMARKS
INE06QY08017 DLF MIDTOWN PRIVATE DLF MIDTOWN PRIVATE LIMITED SR C1-C14 15 Irregular
3161 SERIES C1- C14 Debentures Private Placement Taxable 10 960416940 12-12-2015 11-12-2027 15% Simple Utilities Non PSU Other Active
LIMITED OCD 11DC27 FVRS10 Occurence
INE06QY08025 DLF MIDTOWN PRIVATE DLF MIDTOWN PRIVATE LIMITED SR D1-D14 15 Irregular
3162 SERIES D1-D14 Debentures Private Placement Taxable 140 13444082960 23-12-2015 22-12-2027 15% Simple Utilities Non PSU Other Active
LIMITED CCD 22DC27 FVRS140 Occurence
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE06QZ08014 DLF COCHIN HOTELS PRIVATE DLF COCHIN HOTELS PRIVATE LIMITED 0.01
3163 Debentures Private Placement Taxable 10 1350000000 16-10-2020 15-10-2030 0.01% Simple Once a year Utilities Non PSU Other Active
LIMITED CCD 15OT30 FVRS10
INE06WA08023 MARS HOTELS AND RESORTS MARS HOTELS AND RESORTS PRIVATE Compounding
3174 Debentures Private Placement Taxable 100000 440000000 12-10-2020 11-10-2030 12% Once a year Utilities Non PSU Other Active
PRIVATE LIMITED LIMITED 12 LOA 11OT30 FVRS1LAC
SAMVARDHANA MOTHERSON
INE06WC08011 SAMVARDHANA MOTHERSON INNOVATIVE
3175 INNOVATIVE SOLUTIONS N.A. Debentures Private Placement Taxable 1000000 900000000 28-03-2019 27-03-2022 N.A. Utilities Non PSU Other Active
SOLUTIONS LIMITED LOA 27MR22 FVRS10LAC
LIMITED
ARATTUKULAM
ARATTUKULAM INFRASTRUCTURE
INFRASTRUCTURE Compounding Four times a
3176 INE06XS07017 SERIES I CONSTRUCTIONS PRIVATE LIMITED SR-I 16.75 Debentures Private Placement Taxable 100000 300000000 31-12-2018 31-12-2021 16.75% Industrial Non PSU Other Active
CONSTRUCTIONS PRIVATE year
NCD 31DC21 FVRS1LAC
LIMITED
JP INFRA (MUMBAI) PRIVATE JP INFRA (MUMBAI) PRIVATE LIMITED SR-A 13 Twelve times a
3183 INE070T07368 A Debentures Private Placement Taxable 10000000 650000000 20-12-2017 31-08-2021 13% Simple Utilities Non PSU Other Active
LIMITED NCD 31AG21 FVRS1CR year
JP INFRA (MUMBAI) PRIVATE JP INFRA (MUMBAI) PRIVATE LIMITED SERIES A Twelve times a
3184 INE070T07376 SERIES A Debentures Private Placement Taxable 10000000 150000000 31-01-2020 31-01-2024 13% Simple Utilities Non PSU Other Active
LIMITED 13 NCD 31JN24 FVRS1CR year
INE071G07231 ICICI HOME FINANCE ICICI HOME FINANCE COMPANY LIMITED SR CRISIL AAA/Stable;ICRA
3185 SERIES HDBAPR201 Bonds Private Placement Taxable 500000 1000000000 28-04-2020 28-04-2023 7.40% Simple Once a year Finance Non PSU Other Active
COMPANY LIMITED HDBAPR201 7.40 BD 28AP23 FVRS5LAC AAA/Stable;CARE AAA
INE071G07249 ICICI HOME FINANCE ICICI HOME FINANCE COMPANY LIMITED SR CRISIL AAA/Stable;CARE AAA;ICRA
3186 SERIES HDBMAY201 Bonds Private Placement Taxable 500000 2750000000 19-05-2020 19-09-2022 7.20% Simple Once a year Finance Non PSU Other Active
COMPANY LIMITED HDBMAY201 7.20 BD 19SP22 FVRS5LAC AAA/Stable
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE071G07256 ICICI HOME FINANCE ICICI HOME FINANCE COMPANY LIMITED SR CRISIL AAA/Stable;CARE AAA;ICRA
3187 HDBAPR202 Bonds Private Placement Taxable 500000 1200000000 28-04-2020 28-04-2025 7.60% Simple Once a year Finance Non PSU Other Active
COMPANY LIMITED HDBAPR202 7.60 BD 28AP25 FVRS5LAC AAA/Stable
INE071G07280 ICICI HOME FINANCE ICICI HOME FINANCE COMPANY LIMITED SR CARE AAA;ICRA AAA/Stable;CRISIL
3189 SERIES HDBDEC191 Bonds Private Placement Taxable 500000 5750000000 05-12-2019 05-12-2022 7.70% Simple Once a year Finance Non PSU Other Active
COMPANY LIMITED HDBDEC191 7.70 BD 05DC22 FVRS5LAC AAA/Stable
INE071G07298 ICICI HOME FINANCE ICICI HOME FINANCE COMPANY LIMITED SR CRISIL AAA/Stable;ICRA
3190 SERIES HDBDEC192 Bonds Private Placement Taxable 500000 4700000000 05-12-2019 05-12-2024 8% Simple Once a year Finance Non PSU Other Active
COMPANY LIMITED HDBDEC192 8 BD 05DC24 FVRS5LAC AAA/Stable;CARE AAA
INE071G07322 ICICI HOME FINANCE ICICI HOME FINANCE COMPANY LIMITED SR ICRA AAA/Stable;CARE AAA;CRISIL
3191 SERIES HDBMAY202 Bonds Private Placement Taxable 500000 2000000000 26-05-2020 05-07-2024 7.45% Once a year Finance Non PSU Other Active
COMPANY LIMITED HDBMAY202 7.45 BD 05JL24 FVRS5LAC AAA/Stable
INE071G07330 ICICI HOME FINANCE ICICI HOME FINANCE COMPANY LIMITED SR ICRA AAA/Stable;CARE AAA;CRISIL
3192 SERIES HDBMAY203 Bonds Private Placement Taxable 500000 50000000 26-05-2020 24-05-2030 8% Simple Once a year Finance Non PSU Other Active
COMPANY LIMITED HDBMAY203 8 BD 24MY30 FVRS5LAC AAA/Stable
INE071G07348 ICICI HOME FINANCE ICICI HOME FINANCE COMPANY LIMITED SR 10 YEAR G CARE PP-MLD AA;CRISIL PP-MLD
3193 SERIES MLDAUG191 Bonds Private Placement Taxable 500000 1255000000 06-08-2019 06-08-2021 On Maturity Finance Non PSU Other Active
COMPANY LIMITED MLDAUG191 BR NCD 06AG21 5LAC SEC-7.26% AAAr/Stable
10 YEAR
INE071G07355 ICICI HOME FINANCE ICICI HOME FINANCE COMPANY LIMITED SR CRISIL PP-MLD AAAr/Stable;CARE PP-
3194 SERIES MLDJUN191 Bonds Private Placement Taxable 500000 758000000 26-06-2019 25-06-2021 GSEC On Maturity Finance Non PSU Other Active
COMPANY LIMITED MLDJUN191 BR NCD 25JU21 FVRS5LAC MLD AAA
LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
10 YEAR
INE071G07363 ICICI HOME FINANCE ICICI HOME FINANCE COMPANY LIMITED SR CRISIL PP-MLD AAAr/Stable;CARE PP-
3195 SERIES MLDSEP191 Bonds Private Placement Taxable 500000 543000000 06-09-2019 06-01-2022 GSEC On Maturity Finance Non PSU Other Active
COMPANY LIMITED MLDSEP191 BR NCD 06JN22 FVRS5LAC MLD AAA
LINKED
RESET RATE-
INE071G07371 ICICI HOME FINANCE ICICI HOME FINANCE COMPANY LIMITED SR CARE PP-MLD AAA;CRISIL PP-MLD
3196 SERIES MLDAUG201 Bonds Private Placement Taxable 500000 750000000 26-08-2020 26-08-2022 REFER Simple On Maturity Finance Non PSU Other Active
COMPANY LIMITED MLDAUG201 BR BD 26AG22 FVRS5LAC AAA r/Stable
REMARKS
PANACEA BIOTEC PHARMA PANACEA BIOTEC PHARMA LIMITED SR 1B 5 Compounding Twelve times a
3205 INE072407039 SERIES 1B Debentures Private Placement Taxable 100000 5770000000 01-02-2020 07-04-2024 5% Utilities Non PSU Other Active
LIMITED NCD 07AP24 FVRS1LAC year
PANACEA BIOTEC PHARMA PANACEA BIOTEC PHARMA LIMITED SR 3 5 NCD Compounding Twelve times a
3206 INE072407047 SERIES 3 Debentures Private Placement Taxable 100000 960000000 16-10-2020 05-04-2024 5% Utilities Non PSU Other Active
LIMITED 05AP24 FVRS1LAC year
HIMACHAL SORANG POWER HIMACHAL SORANG POWER PRIVATE LIMITED Four times a
3214 INE073J07017 NA Debentures Private Placement Taxable 100000 5000000000 11-11-2020 11-11-2023 11% Simple Active
PRIVATE LIMITED 11 NCD 11NV23 FVRS1LAC year
0.01% p.a.
AND
MYTRAH AADHYA POWER MYTRAH AADHYA POWER PRIVATE LIMITED CUMULATIVE
3221 INE076V08021 N.A. Debentures Private Placement Taxable 50 850000000 06-07-2016 05-07-2035 Simple Once a year Energy Non PSU Other Active
PRIVATE LIMITED 0.01 LOA 05JL35 FVRS50 REDEMPTIO
N PREMIUM
OF 15% p.a.
Public Sector
BANK OF BARODA SR-XIII 9.86 BD 26FB24
3223 INE077A08064 BANK OF BARODA XIII Bonds Private Placement Taxable 1000000 7800000000 26-02-2014 26-02-2024 9.86% Simple Once a year CARE AAA/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
BANK OF BARODA SR-XIV 8.76 BD 20SP26
3224 INE077A08098 BANK OF BARODA XIV Bonds Private Placement Taxable 1000000 4000000000 20-09-2016 20-09-2026 8.76% Simple Once a year CARE AAA/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
BANK OF BARODA SR-XII 9.23 BD 25JU27
3225 INE077A09104 BANK OF BARODA XII Bonds Private Placement Taxable 1000000 25-06-2012 25-06-2027 9.23% Simple Once a year CRISIL AAA/Stable;CARE AAA/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC
Consumer Goods
INE077W08019 BAHDL HOSPITALITY LIMITED SR-1 0.1 OCD
3229 BAHDL HOSPITALITY LIMITED 1 Debentures Private Placement Taxable 100000 570700000 05-12-2011 04-12-2021 0.1% Simple Once a year including FMGC Non PSU Other Active
04DC21 FVRS1LAC
INE079W07017 C&J CORPORATE PARK C&J CORPORATE PARK PRIVATE LIMITED SR 1 Compounding Four times a
3246 SERIES 1 Debentures Private Placement Taxable 1000000 800000000 08-09-2017 30-06-2021 21% BWR WITHDRAWN Utilities Non PSU Other Active
PRIVATE LIMITED 21 NCD 30JU21 FVRS10LAC year
ZOOMCAR INDIA PRIVATE ZOOMCAR INDIA PRIVATE LIMITED 14 NCD Twelve times a Consumer
3247 INE07AA07011 N.A. Debentures Private Placement Taxable 375000 150000000 17-04-2019 30-03-2022 14% Simple Non PSU Other Active
LIMITED 30MR22 FVRS375000 year Services
INE07AO08010 SATISH MOTORS PRIVATE SATISH MOTORS PRIVATE LIMITED 11 CCD Four times a
3248 N.A Debentures Private Placement Taxable 5000000 60000000 30-08-2019 29-08-2025 11% Simple Utilities Non PSU Other Active
LIMITED 29AG25 FVRS50LAC year
SHETHIA ERECTORS AND SHETHIA ERECTORS AND MATERIAL Compounding Twelve times a
3249 INE07B807013 Debentures Private Placement Taxable 100 750000000 31-12-2019 30-12-2024 14% CRISIL BB/Stable Utilities Non PSU Other Active
MATERIAL HANDLERS LIMITED HANDLERS LIMITED 14 LOA 30DC24 FVRS100 year
COMMODITY
AGROMETAL VENDIBLES AGROMETAL VENDIBLES PRIVATE LIMITED LINKED -
3255 INE07FB07075 SERIES G Debentures Private Placement Taxable 100000 80000000 24-12-2019 24-12-2022 Simple On Maturity Utilities Non PSU Other Active
PRIVATE LIMITED SERIES G BR NCD 24DC22 FVRS1LAC REFER
REMARKS
COMMODITY
AGROMETAL VENDIBLES AGROMETAL VENDIBLES PRIVATE LIMITED LINKED -
3256 INE07FB07083 SERIES H Debentures Private Placement Taxable 100000 170000000 10-01-2020 10-01-2029 Simple On Maturity Utilities Non PSU Other Active
PRIVATE LIMITED SERIES H BR NCD 10JN29 FVRS1LAC REFER
REMARKS
COMMODITY
LINKED WITH
AGROMETAL VENDIBLES AGROMETAL VENDIBLES PRIVATE LIMITED SR I
3257 INE07FB07091 SERIES I Debentures Private Placement Taxable 100000 72000000 14-01-2020 14-01-2029 GOLD PRICE- Simple On Maturity Utilities Non PSU Other Active
PRIVATE LIMITED BR NCD 14JN29 FVRS1LAC
REFER
REMARKS
INE07G807018 PARANJAPE REALTY SPACES PARANJAPE REALTY SPACES PVT LTD 10 LOA
3261 N.A. Debentures Private Placement Taxable 100000 1550000000 16-04-2019 15-10-2022 10% Simple Once a year Utilities Non PSU Other Active
PVT LTD 15OC22 FVRS1LAC
INE07HK07130 KRAZYBEE SERVICES PRIVATE SERIES CLASS B & CLASS KRAZYBEE SERVICES PRIVATE LIMITED SR CLS Four times a
3278 Debentures Private Placement Taxable 100000 32500000 13-03-2020 12-03-2022 15.50% Simple Utilities Non PSU NBFC Active
LIMITED B1 B & B1 15.50 NCD 12MR22 FVRS1LAC year
INE07HK07148 KRAZYBEE SERVICES PRIVATE KRAZYBEE SERVICES PRIVATE LIMITED SR E1 Four times a
3279 SERIES E1 Debentures Private Placement Taxable 1000000 40000000 10-08-2020 10-08-2023 15% Simple Utilities Non PSU NBFC Active
LIMITED 15 NCD 10AG23 FVRS10LAC year
INE07HK07155 KRAZYBEE SERVICES PRIVATE KRAZYBEE SERVICES PRIVATE LIMITED SR Twelve times a
3280 SERIES CLASS E2 Debentures Private Placement Taxable 1000000 100000000 07-09-2020 08-09-2021 15% Simple Utilities Non PSU NBFC Active
LIMITED CLASS E2 15 NCD 08SP21 FVRS10LAC year
INE07HK07163 KRAZYBEE SERVICES PRIVATE KRAZYBEE SERVICES PRIVATE LIMITED SR Twelve times a
3281 SERIES CLASS E3 Debentures Private Placement Taxable 10 100000000 01-10-2020 01-10-2021 14.50% Simple IVR BBB/Positive Utilities Non PSU NBFC Active
LIMITED CLASS E3 14.50 NCD 01OT21 FVRS10 year
INE07HK07171 KRAZYBEE SERVICES PRIVATE KRAZYBEE SERVICES PRIVATE LIMITED SR CLS Twelve times a
3282 CLASS E4 Debentures Private Placement Taxable 10 100000000 27-11-2020 28-11-2021 14.50% Simple IVR BBB/Positive Utilities Non PSU NBFC Active
LIMITED E4 14.50 NCD 28NV21 FVRS10 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE07HK07189 KRAZYBEE SERVICES PRIVATE KRAZYBEE SERVICES PRIVATE LIMITED CL E5 Twelve times a
3283 CLASS E5 Debentures Private Placement Taxable 1000000 200000000 05-02-2021 08-02-2022 15% Simple Utilities Non PSU NBFC Active
LIMITED 15 NCD 08FB22 FVRS10LAC year
INE07HK07197 KRAZYBEE SERVICES PRIVATE KRAZYBEE SERVICES PRIVATE LIMITED CL Four times a
3284 CLASS F2&E6 Debentures Private Placement Taxable 100000 141000000 12-02-2021 11-03-2022 13.50% Simple Utilities Non PSU NBFC Active
LIMITED F2&E6 13.50 NCD 11MR22 FVRS1LAC year
INE07HK07205 KRAZYBEE SERVICES PRIVATE KRAZYBEE SERVICES PRIVATE LIMITED CL E8 Twelve times a
3285 CLASS E8 Debentures Private Placement Taxable 100000 360000000 06-04-2021 05-10-2022 13.18% Simple Utilities Non PSU NBFC Active
LIMITED 13.18 NCD 05OT22 FVRS1LAC year
10 YEAR
INE07HK07213 KRAZYBEE SERVICES PRIVATE KRAZYBEE SERVICES PRIVATE LIMITED BR
3286 Debentures Private Placement Taxable 1000000 500000000 18-06-2021 19-09-2022 GSEC Simple On Maturity ICRA PP-MLD BBB-/Stable Utilities Non PSU NBFC Active
LIMITED NCD 19SP22 FVRS10LAC
LINKED
INE07HU07014 1000 TREES HOUSING 1000 TREES HOUSING PRIVATE LIMITED 10 Compounding Four times a
3287 N.A. Debentures Private Placement Taxable 1000000 730000000 27-03-2019 31-03-2024 10% Utilities Non PSU Other Active
PRIVATE LIMITED OCD 31MR24 FVRS10LAC year
INE07NK07013 FIT CONSULTING & SERVICES FIT CONSULTING & SERVICES PRIVATE Consumer
3297 N.A. Debentures Private Placement Taxable 100000 1200000000 25-04-2019 22-04-2022 16% Simple On Maturity Non PSU Other Active
PRIVATE LIMITED LIMITED 16 NCD 22AP22 FVSR1LAC Services
SPENTA HABITAT PRIVATE SPENTA HABITAT PRIVATE LIMITED SR-I 12 Four times a
3298 INE07NL07011 Taxable 100000 1400000000 16-05-2018 31-03-2023 12% Industrial Non PSU Other Active
LIMITED NCD 31MR23 FVRS1LAC year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE07NN07033 ROBUST MARKETING ROBUST MARKETING SERVICES PRIVATE Compounding Four times a
3303 Debentures Private Placement Taxable 1000000 2800000000 07-04-2020 07-04-2025 2.5% ICRA BB+/Stable Finance Non PSU Other Active
SERVICES PRIVATE LIMITED LIMITED 2.5 NCD 07AP25 FVRS10LAC year
SENIOR
INE07QY08015 SPRNG SOURA KIRAN VIDYUT SPRNG SOURA KIRAN VIDYUT PRIVATE
3310 N.A. Debentures Private Placement Taxable 10 420000000 05-02-2019 04-08-2041 LENDER Simple Once a year Utilities Non PSU Other Active
PRIVATE LIMITED LIMITED BR OCD 04AG41 FVRS10
RATE LINKED
JBCG ADVISORY SERVICES JBCG ADVISORY SERVICES PRIVATE LIMITED Four times a
3313 INE07U807010 N.A. Debentures Private Placement Taxable 100000 66500000 30-04-2019 30-10-2021 12.5% Simple Utilities Non PSU Other Active
PRIVATE LIMITED 12.5 NCD 30OT21 FVRS1LAC year
JBCG ADVISORY SERVICES JBCG ADVISORY SERVICES PRIVATE LIMITED Four times a
3314 INE07U807028 N.A. Debentures Private Placement Taxable 100000 67800000 03-05-2019 03-11-2021 12.50% Simple Utilities Non PSU Other Active
PRIVATE LIMITED 12.50 NCD 03NV21 FVRS1LAC year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
JBCG ADVISORY SERVICES JBCG ADVISORY SERVICES PRIVATE LIMITED Four times a
3315 INE07U807036 N.A. Debentures Private Placement Taxable 100000 91300000 10-05-2019 10-11-2021 12.50% Simple Utilities Non PSU Other Active
PRIVATE LIMITED 12.50 NCD 10NV21 FVRS1LAC year
JBCG ADVISORY SERVICES JBCG ADVISORY SERVICES PRIVATE LIMITED Four times a
3316 INE07U807044 N.A. Debentures Private Placement Taxable 100000 114400000 17-05-2019 17-11-2021 12% Simple Utilities Non PSU Other Active
PRIVATE LIMITED 12 NCD 17NV21 FVRS1LAC year
JBCG ADVISORY SERVICES JBCG ADVISORY SERVICES PRIVATE LIMITED Four times a
3317 INE07U807051 N.A. Debentures Private Placement Taxable 100000 57700000 24-05-2019 24-11-2021 12.5% Simple Utilities Non PSU Other Active
PRIVATE LIMITED NCD 12.50 24NV21 FVRS1LAC year
JBCG ADVISORY SERVICES JBCG ADVISORY SERVICES PRIVATE LIMITED Four times a
3319 INE07U807077 N.A. Debentures Private Placement Taxable 100000 22500000 07-06-2019 07-12-2021 12.50% Simple Utilities Non PSU Other Active
PRIVATE LIMITED 12.50 NCD 07DC21 FVRS1LAC year
JBCG ADVISORY SERVICES JBCG ADVISORY SERVICES PRIVATE LIMITED Four times a
3320 INE07U807085 N.A. Debentures Private Placement Taxable 100000 4200000 17-06-2019 17-12-2021 12.50 Simple Utilities Non PSU Other Active
PRIVATE LIMITED 12.50 NCD 17DC21 FVRS1LAC year
JBCG ADVISORY SERVICES JBCG ADVISORY SERVICES PRIVATE LIMITED Four times a
3321 INE07U807093 N.A. Debentures Private Placement Taxable 100000 20500000 21-06-2019 21-12-2021 12.50 Simple Utilities Non PSU Other Active
PRIVATE LIMITED 12.50 NCD 21DC21 FVRS1LAC year
JBCG ADVISORY SERVICES JBCG ADVISORY SERVICES PRIVATE LIMITED Four times a
3322 INE07U807101 N.A. Debentures Private Placement Taxable 100000 15000000 01-07-2019 01-01-2022 12.50% Simple Utilities Non PSU Other Active
PRIVATE LIMITED 12.50 NCD 01JN22 FVRS1LAC year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
JBCG ADVISORY SERVICES JBCG ADVISORY SERVICES PRIVATE LIMITED Four times a
3323 INE07U807119 N.A Debentures Private Placement Taxable 100000 10000000 15-07-2019 15-01-2022 12.50% Simple Utilities Non PSU Other Active
PRIVATE LIMITED 12.50 NCD 15JN22 FVRS1LAC year
OMKARA ASSETS
OMKARA ASSETS RECONSTRUCTION PRIVATE
3327 INE07YI07014 RECONSTRUCTION PRIVATE N.A. Debentures Private Placement Taxable 800 2000000000 26-03-2019 25-03-2025 2% Once a year Finance Non PSU Other Active
LIMITED 2 OCD 25MR25 FVRS800
LIMITED
OMKARA ASSETS
OMKARA ASSETS RECONSTRUCTION PRIVATE
3328 INE07YI07022 RECONSTRUCTION PRIVATE NA Debentures Private Placement Taxable 1000000 350000000 07-12-2020 01-04-2023 18% On Maturity Finance Non PSU Other Active
LIMITED 18 LOA 01AP23 FVRS10LAC
LIMITED
OMKARA ASSETS
OMKARA ASSETS RECONSTRUCTION PRIVATE
3329 INE07YI07030 RECONSTRUCTION PRIVATE N.A Debentures Private Placement Taxable 1000 938000000 28-12-2020 27-12-2030 18% On Maturity IVR A-/Stable Finance Non PSU Other Active
LIMITED 18 LOA 27DC30 FVRS1000
LIMITED
OMKARA ASSETS
OMKARA ASSETS RECONSTRUCTION PRIVATE
3330 INE07YI07048 RECONSTRUCTION PRIVATE Debentures Private Placement Taxable 1000000 300000000 18-05-2021 17-05-2024 18% IRR On Maturity Finance Non PSU Other Active
LIMITED 18 IRR LOA 17MY24 FVRS10LAC
LIMITED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
JIO DIGITAL FIBRE PRIVATE JIO DIGITAL FIBRE PRIVATE LIMITED SR 1 RR RESET RATE Twelve times a
3331 INE07Z407014 SERIS 1 Debentures Private Placement Taxable 1000000 60000000000 23-12-2020 23-12-2032 Simple CRISIL AAA/Stable;CARE AAA/Stable Utilities Non PSU Other Active
LIMITED NCD 23DC32 FVRS10LAC - year
SBI 1 YEAR
MCLR RATE
JIO DIGITAL FIBRE PRIVATE JIO DIGITAL FIBRE PRIVATE LIMITED SR PPD 2 Twelve times a
3332 INE07Z407022 SERIES PPD 2 Debentures Private Placement Taxable 1000000 100000000000 24-12-2020 24-12-2032 LINKED- CARE AAA/Stable;CRISIL AAA/Stable Utilities Non PSU Other Active
LIMITED RR NCD 24DC32 FVRS10LAC year
REFER
REMARKS
SBI 1 YEAR
MCLR RATE
JIO DIGITAL FIBRE PRIVATE JIO DIGITAL FIBRE PRIVATE LIMITED SR PPD 3 Twelve times a
3333 INE07Z407030 SERIES PPD 3 Debentures Private Placement Taxable 1000000 93420000000 24-12-2020 24-12-2032 LINKED- CRISIL AAA/Stable;CARE AAA/Stable Utilities Non PSU Other Active
LIMITED RR NCD 24DC32 FVRS10LAC year
REFER
REMARKS
RESET RATE
INE07ZQ08038 TERRALIGHT RAJAPALAYAM TERRALIGHT RAJAPALAYAM SOLAR PRIVATE
3336 Debentures Private Placement Taxable 10 259783840 28-10-2020 27-10-2050 REFER Simple Once a year Utilities Non PSU Other Active
SOLAR PRIVATE LIMITED LIMITED RR CCD 27OT50 FVRS10
REMARKS
FUTURE IDEAS COMPANY FUTURE IDEAS COMPANY LIMITED SR B 13.40 Four times a Consumer
3339 INE080T07102 SERIES B Debentures Private Placement Taxable 1000000 1000000000 28-09-2018 31-01-2022 13.40%` Simple BWR D(CE) Non PSU Other Active
LIMITED LOA 31JN22 FVRS10LAC year Services
FUTURE IDEAS COMPANY FUTURE IDEAS COMPANY LIMITED SR C 13.40 Four times a Consumer
3340 INE080T07110 SERIES C Debentures Private Placement Taxable 1000000 1000000000 28-09-2018 31-01-2023 13.40% Simple BWR D(CE) Non PSU Other Active
LIMITED LOA 31JN23 FVRS10LAC year Services
FUTURE IDEAS COMPANY FUTURE IDEAS COMPANY LIMITED SR D 13.40 Four times a Consumer
3341 INE080T07128 SERIES D Debentures Private Placement Taxable 1000000 1000000000 28-09-2018 31-12-2023 13.40% Simple BWR D(CE) Non PSU Other Active
LIMITED LOA 31DC23 FVRS10LAC year Services
ROCKMAN ADVANCED
INE080W08013 ROCKMAN ADVANCED COMPOSITES PRIVATE
3342 COMPOSITES PRIVATE N.A Debentures Private Placement Taxable 10 15000000 10-01-2020 09-01-2030 8% Simple Once a year Utilities Non PSU Other Active
LIMITED 8 NCD 09JN30 FVRS10
LIMITED
RESET RATE-
TATA STEEL LIMITED RR NCD 27AP23
3349 INE081A08264 TATA STEEL LIMITED N.A Debentures Private Placement Taxable 1000000 10000000000 27-04-2020 27-04-2023 REFER Simple Once a year CARE AA/Negative;IND AA/Positive Industrial Non PSU Other Active
FVRS10LAC
REMARKS
RESER
TATA STEEL LIMITED SR A RR NCD 28AP23
3351 INE081A08280 TATA STEEL LIMITED SERIES A Debentures Private Placement Taxable 1000000 5000000000 30-04-2020 28-04-2023 RATE-REFER Simple Once a year CARE AA/Negative;IND AA/Positive Industrial Non PSU Other Active
FVRS10LAC
REMARKS
RESET RATE-
TATA STEEL LIMITED RR NCD 02JU23
3353 INE081A08306 TATA STEEL LIMITED N.A Debentures Private Placement Taxable 1000000 4000000000 03-06-2020 02-06-2023 REFER Simple Once a year CARE AA/Negative;IND AA/Positive Industrial Non PSU Other Active
FVRS10LAC
REMARKS
RESET RATE
CYBERCITY MANGADU CYBERCITY MANGADU PROJECT PRIVATE Irregular
3359 INE081Z07057 SERIES B Debentures Private Placement Taxable 1000000 650000000 04-01-2019 30-09-2023 (REFER Simple Utilities Non PSU Other Active
PROJECT PRIVATE LIMITED LIMITED SR B RR OCD 30SP23 FVRS10LAC Occurence
REMARK)
HDFC BANK
INE082G07014 MAITHON POWER LIMITED BR NCD 30NV23
3360 MAITHON POWER LIMITED N.A. Debentures Private Placement Taxable 1000000 5000000000 30-11-2015 30-11-2023 BASE RATE Simple Once a year CRISIL AA/Stable Energy Non PSU Other Active
FVRS10LAC
LINKED
AAA & SONS ENTERPRISES AAA & SONS ENTERPRISES PRIVATE LIMITED
3368 INE082X08090 SERIES X Debentures Private Placement Taxable 1000 760000000 03-04-2017 03-04-2022 0% Others Active
PRIVATE LIMITED SR-X CCD 03AP22 FVRS1000
AAA & SONS ENTERPRISES AAA & SONS ENTERPRISES PRIVATE LIMITED
3369 INE082X08116 VI Debentures Private Placement Taxable 1000 2050000000 07-07-2016 07-07-2021 0% Others Active
PRIVATE LIMITED SR-VI CCD 07JL21 FVRS1000
AAA & SONS ENTERPRISES AAA & SONS ENTERPRISES PRIVATE LIMITED
3370 INE082X08124 VII Debentures Private Placement Taxable 1000 2050000000 29-09-2016 29-09-2021 0% Others Active
PRIVATE LIMITED SR-VII CCD 29SP21 FVRS1000
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
AAA & SONS ENTERPRISES AAA & SONS ENTERPRISES PRIVATE LIMITED
3371 INE082X08132 VIII Debentures Private Placement Taxable 1000 5116220000 28-11-2016 28-11-2021 0% Others Active
PRIVATE LIMITED SR-VIII CCD 28NV21 FVRS1000
AAA & SONS ENTERPRISES AAA & SONS ENTERPRISES PRIVATE LIMITED
3372 INE082X08140 IX Debentures Private Placement Taxable 1000 1860000000 01-02-2017 01-02-2022 0% Others Active
PRIVATE LIMITED SR-IX CCD 01FB22 FVRS1000
RESET RATE-
TRANSCON DEVELOPERS TRANSCON DEVELOPERS PRIVATE LIMITED RR Four times a
3373 INE083T07031 N.A Debentures Private Placement Taxable 100000 1500000000 27-02-2020 25-11-2022 REFER Simple Utilities Non PSU Other Active
PRIVATE LIMITED NCD 25NV22 FVRS1LAC year
REMARKS
IRR LINKED-
TRANSCON DEVELOPERS TRANSCON DEVELOPERS PRIVATE LIMITED BR Four times a
3374 INE083T07049 N.A Debentures Private Placement Taxable 100000 500000000 26-06-2020 25-11-2022 REFER Simple Utilities Non PSU Other Active
PRIVATE LIMITED NCD 25NV22 FVRS1LAC year
REMARKS
Public Sector
BANK OF INDIA SR-X 9.8 LOA 25SP23
3377 INE084A08037 BANK OF INDIA Series-X Debentures Bonus Taxable 1000000 25-09-2013 25-09-2023 9.8% Simple Once a year CRISIL AA+/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
BANK OF INDIA SR-XI 9.8 BD 30SP23
3378 INE084A08045 BANK OF INDIA Series-XI Bonds Private Placement Taxable 1000000 30-09-2013 30-09-2023 9.8% Simple Once a year CRISIL AA+/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
BANK OF INDIA SR-XII 8.52 BD 31DC25
3379 INE084A08060 BANK OF INDIA XII Bonds Private Placement Taxable 1000000 30000000000 31-12-2015 31-12-2025 8.52% Simple Once a year BWR AA/Stable;CRISIL AA+/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
BANK OF INDIA SR-XIII 8.57 BD 07JL26
3380 INE084A08094 BANK OF INDIA XIII Bonds Private Placement Taxable 1000000 15000000000 07-07-2016 07-07-2026 8.57% Simple Once a year CRISIL AA+/Stable;BWR AA/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
BANK OF INDIA SR-XIV 8 BD 27MR27
3381 INE084A08110 BANK OF INDIA XIV Bonds Private Placement Taxable 1000000 10000000000 27-03-2017 27-03-2027 8% Simple Once a year IND AA/Stable;BWR AA/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
BANK OF INDIA SR VI 9.04 BD PERPETUAL
3382 INE084A08136 BANK OF INDIA SERIES VI Bonds Private Placement Taxable 1000000 7500000000 28-01-2021 31-12-9999 9.04% Simple Once a year CRISIL AA-/Stable;ACUITE AA/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC
Public Sector
BANK OF INDIA SR VII 9.30 BD PERPETUAL
3383 INE084A08144 BANK OF INDIA SERIES VII Bonds Private Placement Taxable 1000000 6020000000 30-03-2021 31-12-9999 9.30% Simple Once a year ACUITE AA/Stable;CRISIL AA-/Stable Finance Undertaking (PSU) Bank Active
FVRS10LAC
AMANTA HEALTHCARE AMANTA HEALTHCARE LIMITED SR-I 14 LOA Compounding Four times a
3384 INE084K07012 I Debentures Private Placement Taxable 100000 99000000 07-12-2017 31-03-2024 14% Healthcare Non PSU Other Active
LIMITED 31MR24 FVRS1LAC year
SUGAM VANIJYA HOLDINGS SUGAM VANIJYA HOLDINGS PRIVATE LIMITED MCLR PLUS Twelve times a Consumer
3385 INE084S07015 SERIES 1 Bonds Private Placement Taxable 1000000 3050000000 20-12-2018 28-02-2029 Simple ICRA BBB+/Negative Non PSU Other Active
PRIVATE LIMITED SR 1 RR BD 28FB29 FVRS10LAC 0.36% year Services
SUGAM VANIJYA HOLDINGS SUGAM VANIJYA HOLDINGS PRIVATE LIMITED CD RATE + Twelve times a Consumer
3386 INE084S07023 SERIES 2 Bonds Private Placement Taxable 1000000 1675000000 20-12-2018 28-02-2029 Simple ICRA BBB+/Negative Non PSU Other Active
PRIVATE LIMITED SR 2 RR BD 28FB29 FVRS10LAC 2.185% year Services
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
SUGAM VANIJYA HOLDINGS SUGAM VANIJYA HOLDINGS PRIVATE LIMITED Irregular Consumer
3387 INE084S08013 NCD SERIES I Debentures Private Placement Taxable 10000000 4480000000 04-02-2015 03-02-2035 12% Simple CRISIL BBB/Negative Non PSU Other Active
PRIVATE LIMITED SR-I 12 NCD 03FB35 FVRS1CR Occurence Services
Consumer Goods
INE087H07060 SHREE RENUKA SUGARS SHREE RENUKA SUGARS LIMITED 11.7 NCD IND BBB+ (Under rating watch with
3402 N.A. Debentures Private Placement Taxable 1000000 1500000000 03-04-2012 31-03-2024 11.7% Simple Once a year including FMGC Non PSU Other Active
LIMITED 31MR24 FVRS10LAC negative implications)
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Consumer Goods
INE087H07078 SHREE RENUKA SUGARS SHREE RENUKA SUGARS LIMITED 11.3 NCD Four times a IND BBB+ (Under rating watch with
3403 N.A. Debentures Private Placement Taxable 1000000 1000000000 24-12-2012 31-03-2024 11.3% Simple including FMGC Non PSU Other Active
LIMITED 31MR24 FVRS10LAC year negative implications)
BAHADUR CHAND
INE087M08076 BAHADUR CHAND INVESTMENTS PRIVATE
3407 INVESTMENTS PRIVATE NA Debentures Private Placement Taxable 1000000 5000000000 09-09-2020 24-08-2023 9.34% Simple Once a year ICRA AA/Stable Finance Non PSU NBFC Active
LIMITED 9.34 NCD 24AG23 FVRS10LAC
LIMITED
AVANSE FINANCIAL SERVICES AVANSE FINANCIAL SERVICES LIMITED SR-6 BR SBI MCLR
3412 INE087P07105 SERIES 6 Debentures Private Placement Taxable 1000000 2500000000 12-07-2018 12-07-2021 Simple Once a year CARE A+/Stable Finance Non PSU NBFC Active
LIMITED NCD 12JL21 FVRS10LAC LINKED
AVANSE FINANCIAL SERVICES SUBORDINATE DEBT AVANSE FINANCIAL SERVICES LIMITED SR-2 9.5
3419 INE087P08020 Debentures Private Placement Taxable 1000000 250000000 30-06-2017 30-06-2027 9.5% Simple Once a year CARE A/Stable;BWR AA- (SO) Finance Non PSU NBFC Active
LIMITED SERIES 2 NCD 30JU27 FVRS10LAC
BHARTI AXA LIFE INSURANCE BHARTI AXA LIFE INSURANCE COMPANY Compounding
3426 INE089J08011 1/2017-2018 Debentures Private Placement Taxable 1000000 600000000 23-08-2017 23-08-2027 8.98% Once a year BWR AA+;ICRA AA- Finance Non PSU Other Active
COMPANY LIMITED LIMITED SR-1 8.98 NCD 23AG27 FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
RESET RATE
KRISHNAIAH PROJECTS KRISHNAIAH PROJECTS PRIVATE LIMITED Compounding Twelve times a
3430 INE089Y07020 SERIES A Debentures Private Placement Taxable 1000000 280000000 20-05-2019 20-11-2023 - REFER Utilities Non PSU Other Active
PRIVATE LIMITED SERIES A RR NCD 20NV23 FVRS10LAC year
REMARKS
RESET RATE
KRISHNAIAH PROJECTS KRISHNAIAH PROJECTS PRIVATE LIMITED SR B Compounding Twelve times a
3431 INE089Y07038 SERIES B Debentures Private Placement Taxable 1000000 540000000 11-07-2019 20-11-2023 REFER Utilities Non PSU Other Active
PRIVATE LIMITED RR NCD 20NV23 FVRS10LAC year
REMARKS
INE08D207013 MARVEL LUXURY REALTORS MARVEL LUXURY REALTORS PRIVATE LIMITED Compounding Four times a
3434 N.A. Debentures Private Placement Taxable 10000000 1510000000 28-03-2019 30-06-2022 15% Basic Materials Non PSU Other Active
PRIVATE LIMITED 15 NCD 30JU22 FVSRS1CR year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
INE08EQ08023 GUJARAT STATE GUJARAT STATE INVESTMENTS LIMITED SR-2 BWR AA(CE)/Stable;ACUITE
3438 SERIES 2 Debentures Private Placement Taxable 1000000 10000000000 28-05-2019 01-10-2022 9.45% Simple Twice a year Finance Undertaking (PSU) Other Active
INVESTMENTS LIMITED 9.45 LOA 01OT22 FVRS10LAC AA(CE)/Stable
Public Sector
INE08EQ08031 GUJARAT STATE GUJARAT STATE INVESTMENTS LIMITED SR-3 BWR AA(CE)/Stable;ACUITE
3439 SERIES 3 Debentures Private Placement Taxable 1000000 20000000000 28-05-2019 22-03-2028 9.03% Simple Twice a year Finance Undertaking (PSU) Other Active
INVESTMENTS LIMITED 9.03 LOA 22MR28 FVRS10LAC AA(CE)/Stable
Public Sector
INE08EQ08049 GUJARAT STATE GUJARAT STATE INVESTMENTS LIMITED SR-4 BWR AA(CE)/Stable;ACUITE
3440 SERIES 4 Debentures Private Placement Taxable 1000000 10000000000 28-05-2019 28-09-2022 9.45% Simple Twice a year Finance Undertaking (PSU) Other Active
INVESTMENTS LIMITED 9.45 LOA 28SP22 FVRS10LAC AA(CE)/Stable
Public Sector
INE08EQ08056 GUJARAT STATE GUJARAT STATE INVESTMENTS LIMITED SR-5 ACUITE AA(CE)/Stable;BWR
3441 SERIES 5 Debentures Private Placement Taxable 1000000 10000000000 28-05-2019 22-03-2025 9.45% Simple Twice a year Finance Undertaking (PSU) Other Active
INVESTMENTS LIMITED 9.45 LOA 22MR25 FVRS10LAC AA(CE)/Stable
DANCY BUILDERS PRIVATE DANCY BUILDERS PRIVATE LIMITED 20.05 NCD Twelve times a
3442 INE08FJ07019 N.A. Debentures Private Placement Taxable 1000000 300000000 27-03-2019 10-02-2022 20.05% Simple Utilities Non PSU Other Active
LIMITED 10FB22 FVRS10LAC year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
AGILE FINSERV PRIVATE AGILE FINSERV PRIVATE LIMITED SR-I 11 NCD Four times a
3443 INE08FZ08013 SERIES I Debentures Private Placement Taxable 1000 200000000 03-04-2019 03-04-2025 11% Simple Finance Non PSU NBFC Active
LIMITED 03AP25 FVRS1000 year
INE08NV07018 BOUTIQUE SPIRIT BRANDS BOUTIQUE SPIRIT BRANDS PRIVATE LIMITED Twelve times a
3445 SERIES 1 Debentures Private Placement Taxable 1000000 150000000 13-10-2018 11-10-2021 17.5% Simple Utilities Non PSU Other Active
PRIVATE LIMITED SR-1 17.5 NCD 11OT21 FVRS10LAC year
INE08NV07026 BOUTIQUE SPIRIT BRANDS BOUTIQUE SPIRIT BRANDS PRIVATE LIMITED Twelve times a
3446 SERIES B Debentures Private Placement Taxable 1000000 190000000 17-12-2019 16-12-2022 17.50% Simple Utilities Non PSU Other Active
PRIVATE LIMITED SERIES B 17.5 NCD 16DC22 FVRS10LAC year
INE08SQ08015 SBESS SERVICES PROJECTCO SBESS SERVICES PROJECTCO TWO PRIVATE Compounding
3450 Debentures Private Placement Taxable 10 2241000000 18-11-2020 17-11-2023 0.01 On Maturity Utilities Non PSU Other Active
TWO PRIVATE LIMITED LIMITED 0.01 OCD 17NV23 FVRS10
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
MCLR
LINKED (
MCLR +
EDUNETWORK PRIVATE EDUNETWORK PRIVATE LIMITED SR-E BR NCD SPREAD Twelve times a Consumer
3451 INE08T707014 SERIES E Debentures Private Placement Taxable 466.69 150000000 18-06-2019 30-11-2021 Simple Non PSU Other Active
LIMITED 30NV21 FVRS466.69 2.5% year Services
CURRENTLY
12% + 2.5%)
EDUNETWORK PRIVATE EDUNETWORK PRIVATE LIMITED SR E BR NCD MCLR Twelve times a Consumer
3452 INE08T707022 SERIES E Debentures Private Placement Taxable 518.5 75000000 31-08-2019 30-11-2021 Simple Non PSU Other Active
LIMITED 30NV21 FVRS518.5 LINKED year Services
RESET RATE
PHOENIX IT SPACES PRIVATE PHOENIX IT SPACES PRIVATE LIMITED SERIES Compounding Four times a
3453 INE08TL07016 SERIES A Debentures Private Placement Taxable 100000 814000000 17-06-2019 30-06-2022 (REFER Utilities Non PSU Other Active
LIMITED A RR OCD 30JU22 FVRS1LAC year
REMARKS)
RESERT
INE08WC08017 LIGHTHOUSE LEARNING LIGHTHOUSE LEARNING PRIVATE LIMITED RR RATE -
3457 N.A. Debentures Private Placement Taxable 10 5762000000 05-09-2019 04-09-2027 Simple Twice a year Utilities Non PSU Other Active
PRIVATE LIMITED LOA 04SP27 FVRS10 REFER
REMARKS
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
BASE RATE -
VASTU FINSERVE INDIA VASTU FINSERVE INDIA PRIVATE LIMITED BR Twelve times a
3459 INE08Z607018 N.A Debentures Private Placement Taxable 100000 250000000 21-10-2020 21-10-2023 REFER CRISIL A/Stable Utilities Non PSU Other Active
PRIVATE LIMITED NCD 21OT23 FVRS1LAC year
REMARKS
3467 INE090A08SS2 ICICI BANK LIMITED XII BAB1550_1 ICICIBK 03112027 Bonds Bonus Taxable 25000 03-04-2001 03-11-2027 Simple Finance Non PSU Bank Active
3468 INE090A08ST0 ICICI BANK LIMITED X BAB1450_1 ICICIBK 22042027 Bonds Bonus Taxable 25000 22-09-2000 22-04-2027 Simple Finance Non PSU Bank Active
INE090A08SU8
3469 ICICI BANK LIMITED XI BAB1450_2 ICICIBK 17052027 Bonds Bonus Taxable 25000 17-10-2000 17-05-2027 Simple Finance Non PSU Bank Active
3470 INE090A08SV6 ICICI BANK LIMITED IX BAB1250_7 ICICIBK 19102026 Bonds Bonus Taxable 25000 19-05-2000 19-10-2026 Simple Finance Non PSU Bank Active
INE090A08SW4
3471 ICICI BANK LIMITED VIII BAB1250_6 ICICIBK 26092026 Bonds Bonus Taxable 25000 26-04-2000 26-09-2026 Simple Finance Non PSU Bank Active
3472 INE090A08SX2 ICICI BANK LIMITED VII BAB1250_5 ICICIBK 15072026 Bonds Bonus Taxable 25000 15-02-2000 15-07-2026 Simple Finance Non PSU Bank Active
3473 INE090A08SY0 ICICI BANK LIMITED VI BAB1250_4 ICICIBK 13062026 Bonds Bonus Taxable 25000 13-01-2000 13-06-2026 Simple Finance Non PSU Bank Active
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
3474 INE090A08SZ7 ICICI BANK LIMITED V BAB1250_3 ICICIBK 13032026 Bonds Bonus Taxable 25000 13-10-1999 13-03-2026 Simple Finance Non PSU Bank Active
3475 INE090A08TA8 ICICI BANK LIMITED IV BAB1250_2 ICICIBK 06012026 Bonds Bonus Taxable 25000 06-08-1999 06-01-2026 Simple Finance Non PSU Bank Active
3476 INE090A08TB6 ICICI BANK LIMITED III BAB1250_1 ICICIBK 27122025 Bonds Bonus Taxable 25000 27-07-1999 27-12-2025 Simple Finance Non PSU Bank Active
3477 INE090A08TC4 ICICI BANK LIMITED I BAB1000_1 ICICIBK 21052023 Bonds Bonus Taxable 25000 21-12-1998 21-05-2023 Simple Finance Non PSU Bank Active
INE090A08TD2
3478 ICICI BANK LIMITED II BAB1000_2 ICICIBK 29062023 Bonds Bonus Taxable 25000 29-01-1999 29-06-2023 Simple Finance Non PSU Bank Active
INE090A08TM3 ZERO
3479 ICICI BANK LIMITED NDDMA101 ICICI BANK LIMITED BD 08MR28 FVRS1LAC Bonds Private Placement Taxable 100000 40600000 08-03-2001 08-03-2028 Simple CARE AAA Finance Non PSU Bank Active
COUPON
LEASE PLAN INDIA PRIVATE LEASE PLAN INDIA PRIVATE LIMITED SR-1 9.3
3494 INE090F08363 SERIES 1 Debentures Private Placement Taxable 10000000 3000000000 15-11-2017 15-12-2021 9.3% Simple Twice a year Others Active
LIMITED NCD 15DC21 FVRS1CR
RESET RATE
ANILINE CONSTRUCTION ANILINE CONSTRUCTION COMPANY PRIVATE Four times a
3496 INE090R07048 SERIES A Debentures Private Placement Taxable 1000000 1600000000 28-11-2019 28-02-2024 - REFER Simple Industrial Non PSU Other Active
COMPANY PRIVATE LIMITED LIMITED SERIES A RR NCD 28FB24 FVRS10LAC year
REMARKS
NIFTY 50
INE090W07063 LENDINGKART FINANCE LENDINGKART FINANCE LIMITED BR LOA
3503 N.A. Debentures Private Placement Taxable 100000 250000000 13-07-2018 10-01-2022 INDEX Simple On Maturity IND PP-MLD BBB+r/Positive Finance Non PSU Other Active
LIMITED 10JN22 FVRS1LAC
LINKED
INE090W07121 LENDINGKART FINANCE LENDINGKART FINANCE LIMITED 13.75 NCD Compounding Four times a
3504 N.A. Debentures Private Placement Taxable 1000000 200000000 28-01-2019 31-03-2023 13.75% ICRA BBB+/Stable Finance Non PSU Other Active
LIMITED 31MR23 FVRS10LAC year
INE090W07154 LENDINGKART FINANCE LENDINGKART FINANCE LIMITED 14.05 NCD Twelve times a
3505 N.A. Debentures Private Placement Taxable 41666.67 700000000 14-06-2019 01-12-2021 14.05% Simple Finance Non PSU Other Active
LIMITED 01DC21 FVRS41666.67 year
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE090W07162 LENDINGKART FINANCE LENDINGKART FINANCE LIMITED 13.80 NCD Four times a
3506 N.A. Debentures Private Placement Taxable 13334 120000000 19-06-2019 18-08-2021 13.80 Simple Finance Non PSU Other Active
LIMITED 18AG21 FVRS13334 year
INE090W07188 LENDINGKART FINANCE LENDINGKART FINANCE LIMITED 13.4 NCD Twelve times a
3507 N.A Debentures Private Placement Taxable 666666.67 800000000 04-10-2019 04-10-2021 13.4% Simple ICRA BBB+/Stable Finance Non PSU Other Active
LIMITED 04OT21 FVRS666666.67 year
INE090W07212 LENDINGKART FINANCE LENDINGKART FINANCE LIMITED 13.30 NCD Twelve times a
3509 N.A Debentures Private Placement Taxable 1000000 500000000 06-03-2020 06-03-2022 13.30% Simple ICRA BBB+/Stable Finance Non PSU Other Active
LIMITED 06MR22 FVRS10LAC year
BSE SENSEX
INE090W07220 LENDINGKART FINANCE LENDINGKART FINANCE LIMITED BR NCD Compounding
3510 N.A Debentures Private Placement Taxable 100000 200000000 11-03-2020 13-11-2023 INDEX On Maturity Finance Non PSU Other Active
LIMITED 13NV23 FVRS1LAC
LINKED
INE090W07246 LENDINGKART FINANCE LENDINGKART FINANCE LIMITED 12.80 NCD Four times a
3512 N.A. Debentures Private Placement Taxable 1000000 400000000 06-07-2020 21-04-2023 12.80% Simple ICRA BBB+/Stable Finance Non PSU Other Active
LIMITED 21APR23 FVRS10LAC year
INE090W07261 LENDINGKART FINANCE LENDINGKART FINANCE LIMITED 12.39 NCD Four times a
3514 NA Debentures Private Placement Taxable 500000 225000000 21-08-2020 06-05-2024 12.39% Simple ICRA BBB+/Stable Finance Non PSU Other Active
LIMITED 06MY24 FVRS5LAC year
INE090W07303 LENDINGKART FINANCE LENDINGKART FINANCE LIMITED 11.50 NCD Four times a
3518 NA Debentures Private Placement Taxable 1000000 150000000 04-11-2020 04-08-2022 11.50% Simple ICRA BBB+/Stable Finance Non PSU Other Active
LIMITED 04AG22 FVRS10LAC year
INE090W07311 LENDINGKART FINANCE LENDINGKART FINANCE LIMITED 10.75 NCD Four times a
3519 Debentures Private Placement Taxable 1000000 250000000 13-11-2020 13-05-2022 10.75% Simple Finance Non PSU Other Active
LIMITED 13MY22 FVRS10LAC year
INE090W07352 LENDINGKART FINANCE LENDINGKART FINANCE LIMITED 11.75 NCD Twelve times a
3523 Debentures Private Placement Taxable 100000 320000000 31-03-2021 28-04-2023 11.75% Simple IVR A-/Stable Finance Non PSU Other Active
LIMITED 28AP23 FVRS1LAC year
10YEAR
INE090W07360 LENDINGKART FINANCE LENDINGKART FINANCE LIMITED BR NCD Compounding
3524 Debentures Private Placement Taxable 1000000 150000000 04-06-2021 04-03-2023 GSEC On Maturity IND PP-MLD BBB+r/Positive Finance Non PSU Other Active
LIMITED 04MR23 FVRS10LAC
LINKED
Consumer Goods
NIRMA LIMITED SR V 7.75 NCD 02JU23
3526 INE091A07182 NIRMA LIMITED SERIES V Debentures Private Placement Taxable 1000000 1750000000 02-06-2020 02-06-2023 7.75% Simple Once a year CRISIL AA/Negative including FMGC Non PSU Other Active
FVRS10LAC
Consumer Goods
SERIES IV NCD (TRANCHE NIRMA LIMITED SR-IV TR-1 9.5 NCD 06JL77
3527 INE091A08149 NIRMA LIMITED Debentures Private Placement Taxable 1000000 9000000000 06-07-2017 06-07-2077 9.5% Simple Once a year IND AA-/Stable;CRISIL AA-/Negative including FMGC Non PSU Other Active
1) FVRS10LAC
Public Sector
INE091D11048 PUNJAB INFRASTRUCTURE PUNJAB INFRASTRUCTURE DEVELOPMENT ICRA BBB-(CE)/Negative;CARE
3528 PIDB Bonds Series-II Bonds Private Placement Taxable 1000000 27-12-2007 27-12-2021 Zero Coupon Simple Utilities Undertaking (PSU) Other Active
DEVELOPMENT BOARD BOARD LOA 27DC21 FVRS10LAC BBB(CE)/Negative
Public Sector
INE091D11055 PUNJAB INFRASTRUCTURE PUNJAB INFRASTRUCTURE DEVELOPMENT CARE BBB(CE)/Negative;ICRA BBB-
3529 PIDB Bonds Series-II Bonds Private Placement Taxable 1000000 27-12-2007 27-12-2022 Zero Coupon Simple Utilities Undertaking (PSU) Other Active
DEVELOPMENT BOARD BOARD LOA 27DC22 FVRS10LAC (CE)/Negative
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
INE091D11063 PUNJAB INFRASTRUCTURE PUNJAB INFRASTRUCTURE DEVELOPMENT ICRA BBB-(CE)/Negative;CARE
3530 PIDB Bonds Series-II Bonds Private Placement Taxable 1000000 27-12-2007 27-12-2023 Zero Coupon Simple Utilities Undertaking (PSU) Other Active
DEVELOPMENT BOARD BOARD LOA 27DC23 FVRS10LAC BBB(CE)/Negative
Public Sector
INE091D11071 PUNJAB INFRASTRUCTURE PUNJAB INFRASTRUCTURE DEVELOPMENT ICRA BBB-(CE)/Negative;CARE
3531 Bonds Private Placement Taxable 1000000 530000000 27-12-2007 27-12-2024 Zero Coupon Simple Utilities Undertaking (PSU) Other Active
DEVELOPMENT BOARD BOARD LOA 27DC24 FVRS10LAC BBB(CE)/Negative
Public Sector
INE091D11089 PUNJAB INFRASTRUCTURE PUNJAB INFRASTRUCTURE DEVELOPMENT ICRA BBB-(CE)/Negative;CARE
3532 PIDB Bonds Series-II Bonds Private Placement Taxable 1000000 27-12-2007 27-12-2025 Zero Coupon Simple Utilities Undertaking (PSU) Other Active
DEVELOPMENT BOARD BOARD LOA 27DC25 FVRS10LAC BBB(CE)/Negative
Public Sector
INE091D11097 PUNJAB INFRASTRUCTURE PUNJAB INFRASTRUCTURE DEVELOPMENT ICRA BBB-(CE)/Negative;CARE
3533 PIDB Bonds Series-II Bonds Private Placement Taxable 1000000 1081000000 27-12-2007 27-12-2026 Zero Coupon Simple Utilities Undertaking (PSU) Other Active
DEVELOPMENT BOARD BOARD LOA 27DC26 FVRS10LAC BBB(CE)/Negative
Public Sector
INE091D11105 PUNJAB INFRASTRUCTURE PUNJAB INFRASTRUCTURE DEVELOPMENT CARE BBB(CE)/Negative;ICRA BBB-
3534 PIDB Bonds Series-II Bonds Private Placement Taxable 1000000 27-12-2007 27-12-2027 Zero Coupon Simple Utilities Undertaking (PSU) Other Active
DEVELOPMENT BOARD BOARD LOA 27DC27 FVRS10LAC (CE)/Negative
Public Sector
INE091D11113 PUNJAB INFRASTRUCTURE PUNJAB INFRASTRUCTURE DEVELOPMENT ICRA BBB-(CE)/Negative;CARE
3535 PIDB Bonds Series-III Bonds Private Placement Taxable 1000000 15-10-2008 15-10-2024 0.40% Simple Once a year Utilities Undertaking (PSU) Other Active
DEVELOPMENT BOARD BOARD 0.4 LOA 15OT24 FVRS10LAC BBB(CE)/Negative
Public Sector
INE091D11121 PUNJAB INFRASTRUCTURE PUNJAB INFRASTRUCTURE DEVELOPMENT CARE BBB(CE)/Negative;ICRA BBB-
3536 PIDB Bonds Series-III Bonds Private Placement Taxable 1000000 15-10-2008 15-10-2025 0.40% Simple Once a year Utilities Undertaking (PSU) Other Active
DEVELOPMENT BOARD BOARD 0.4 LOA 15OT25 FVRS10LAC (CE)/Negative
Public Sector
INE091D11139 PUNJAB INFRASTRUCTURE PUNJAB INFRASTRUCTURE DEVELOPMENT CARE BBB(CE)/Negative;ICRA BBB-
3537 PIDB Bonds Series-III Bonds Private Placement Taxable 1000000 429000000 15-10-2008 15-10-2026 0.40% Simple Once a year Utilities Undertaking (PSU) Other Active
DEVELOPMENT BOARD BOARD 0.4 LOA 15OT26 FVRS10LAC (CE)/Negative
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
Public Sector
INE091D11147 PUNJAB INFRASTRUCTURE PUNJAB INFRASTRUCTURE DEVELOPMENT ICRA BBB-(CE)/Negative;CARE
3538 PIDB Bonds Series-III Bonds Private Placement Taxable 1000000 15-10-2008 15-10-2027 0.40% Simple Once a year Utilities Undertaking (PSU) Other Active
DEVELOPMENT BOARD BOARD 0.4 LOA 15OT27 FVRS10LAC BBB(CE)/Negative
Public Sector
INE091D11154 PUNJAB INFRASTRUCTURE PUNJAB INFRASTRUCTURE DEVELOPMENT ICRA BBB-(CE)/Negative;CARE
3539 PIDB Bonds Series-III Bonds Private Placement Taxable 1000000 15-10-2008 15-10-2028 0.40% Simple Once a year Utilities Undertaking (PSU) Other Active
DEVELOPMENT BOARD BOARD 0.4 LOA 15OT28 FVRS10LAC BBB(CE)/Negative
Public Sector
INE091D11162 PUNJAB INFRASTRUCTURE PUNJAB INFRASTRUCTURE DEVELOPMENT CARE BBB(CE)/Negative;ICRA BBB-
3540 PIDB Bonds Series-III Bonds Private Placement Taxable 1000000 572000000 15-10-2008 15-10-2029 0.40% Simple Once a year Utilities Undertaking (PSU) Other Active
DEVELOPMENT BOARD BOARD 0.4 LOA 15OT29 FVRS10LAC (CE)/Negative
Public Sector
INE091D11170 PUNJAB INFRASTRUCTURE PUNJAB INFRASTRUCTURE DEVELOPMENT CARE BBB(CE)/Negative;ICRA BBB-
3541 PIDB Bonds Series-III Bonds Private Placement Taxable 1000000 654000000 15-10-2008 15-10-2030 0.40% Simple Once a year Utilities Undertaking (PSU) Other Active
DEVELOPMENT BOARD BOARD 0.4 LOA 15OT30 FVRS10LAC (CE)/Negative
Public Sector
INE091D11204 PUNJAB INFRASTRUCTURE PUNJAB INFRASTRUCTURE DEVELOPMENT ICRA BBB-(CE)/Negative;CARE
3542 PIDB Bonds Series-III Bonds Private Placement Taxable 1000000 15-10-2008 15-10-2033 0.40% Simple Once a year Utilities Undertaking (PSU) Other Active
DEVELOPMENT BOARD BOARD 0.4 LOA 15OT33 FVRS10LAC BBB(CE)/Negative
IDFC BANK LTD OBB IDFC FIRST BANK LIMITED SR-OBB 07 NCD
3543 INE092T08014 IDFC FIRST BANK LIMITED Debentures Private Placement Taxable 1000000 19970000000 17-01-2006 17-01-2026 0% Simple IND AA+/Negative;ICRA AA/Stable Finance Non PSU Bank Active
07/2008 17JN26 FVRS10LAC
IDFC BANK LTD OBB IDFC FIRST BANK LIMITED SR-OBB 10 OPT II
3544 INE092T08246 IDFC FIRST BANK LIMITED Debentures Private Placement 1000000 1500000000 25-08-2009 25-08-2024 9.15% Once a year ICRA AA/Stable;IND AA+/Negative Finance Non PSU Bank Active
10/2010 - OPTION - II 9.15 NCD 25AG24 FVRS10LAC
IDFC BANK LTD OBB IDFC FIRST BANK LIMITED SR-OBB 11 9.05 NCD
3545 INE092T08253 IDFC FIRST BANK LIMITED Debentures Private Placement 1000000 1500000000 31-08-2009 31-08-2024 9.05% Simple Once a year IND AA+/Negative;ICRA AA/Stable Finance Non PSU Bank Active
11/2010 31AG24 FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
IDFC BANK OBB 13/2011 IDFC FIRST BANK LIMITED SR-OBB 13 OPT II 8.8
3556 INE092T08493 IDFC FIRST BANK LIMITED Debentures Private Placement Taxable 1000000 2000000000 15-06-2010 15-06-2025 8.8% Simple Once a year ICRA AA/Stable;IND AA+/Negative Finance Non PSU Bank Active
OPTION II NCD 15JU25 FVRS10LAC
IDFC BANK OBB 20/2011 IDFC FIRST BANK LIMITED SR-OBB 20 OPT II
3560 INE092T08543 IDFC FIRST BANK LIMITED Debentures Private Placement Taxable 1000000 1000000000 15-09-2010 15-09-2025 8.89% Once a year ICRA AA/Stable;IND AA+/Negative Finance Non PSU Bank Active
OPTION II 8.89 NCD 15SP25 FVRS10LAC
IDFC BANK OBB 21/2011 IDFC FIRST BANK LIMITED SR-OBB 21 OPT II
3561 INE092T08568 IDFC FIRST BANK LIMITED Debentures Private Placement Taxable 1000000 1200000000 20-09-2010 20-09-2025 8.86% Simple Once a year IND AA+/Negative;ICRA AA/Stable Finance Non PSU Bank Active
OPTION II 8.86 NCD 20SP25 FVRS10LAC
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
IDFC BANK OBB 24/2011 IDFC FIRST BANK LIMITED SR-OBB 24 OPT II
3562 INE092T08584 IDFC FIRST BANK LIMITED Debentures Private Placement Taxable 1000000 2600000000 29-09-2010 29-09-2025 8.82% Simple Once a year ICRA AA/Stable;IND AA+/Negative Finance Non PSU Bank Active
OPTION II 8.82 NCD 29SP25 FVRS10LAC
IDFC BANK OBB 13/2015 IDFC FIRST BANK LIMITED SR-OBB OPT II 13
3573 INE092T08BR6 IDFC FIRST BANK LIMITED Debentures Private Placement 1000000 4800000000 11-12-2014 11-12-2024 8.49% Simple Once a year ICRA AA/Stable;IND AA+/Negative Finance Non PSU Bank Active
OPTION II 8.49 NCD 11DC24 FVRS10LAC
IDFC BANK OBB 17/2015 IDFC FIRST BANK LIMITED SR-OBB 17 OPT IV
3575 INE092T08BT2 IDFC FIRST BANK LIMITED Debentures Private Placement 1000000 3000000000 27-02-2015 27-02-2025 8.52% Simple Once a year ICRA AA/Stable;IND AA+/Negative Finance Non PSU Bank Active
OPTION IV 8.52 NCD 27FB25 FVRS10LAC
IDFC BANK OBB 03/2016 IDFC FIRST BANK LIMITED SR-OBB 03 OPT II Compounding
3583 INE092T08CB8 IDFC FIRST BANK LIMITED Debentures Private Placement Taxable 1000000 750000000 17-04-2015 19-04-2022 8.6070% On Maturity ICRA AA/Stable;IND AA+/Negative Finance Non PSU Bank Active
OPTION II 8.607 NCD 19AP22 FVRS10LAC
INE092T08CM5 2011-2012 TRANCHE 2 IDFC FIRST BANK LIMITED TRANCHE-2 SR-I 8.7
3586 IDFC FIRST BANK LIMITED Debentures Private Placement 5000 1593500000 21-03-2012 21-03-2022 8.7% Simple Once a year ICRA AA/Stable;IND AA+/Negative Finance Non PSU Bank Active
SERIES I NCD 21MR22 FVRS5000
Consumer Goods
BHANDARI AUTOMOBILES BHANDARI AUTOMOBILES PRIVATE LIMITED
3614 INE092Y07016 N.A. Debentures Private Placement Taxable 100 250000000 30-06-2017 29-06-2022 10.75% Simple Twice a year including FMGC Non PSU Other Active
PRIVATE LIMITED 10.75 LOA 29JU22 FVRS100
Consumer Goods
BHANDARI AUTOMOBILES BHANDARI AUTOMOBILES PRIVATE LIMITED 5
3615 INE092Y08014 N.A. Debentures Private Placement Taxable 100 200000000 30-06-2017 29-06-2022 5% Simple Twice a year including FMGC Non PSU Other Active
PRIVATE LIMITED LOA 29JU22 FVRS100
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED
3618 INE093J070B2 SERIES I Debentures Private Placement Taxable 100000 115625000 09-05-2019 12-07-2022 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED SERIES I BR NCD 12JL22 FVRS1LAC
LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3624 INE093J070H9 SERIES II Debentures Private Placement Taxable 100000 92000000 06-06-2019 27-12-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 27DC22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3625 INE093J070I7 SERIES I ARG20SP35 Debentures Private Placement Taxable 100000 149500000 12-06-2019 15-08-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 15AG22 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3637 INE093J070U2 SERIES III ARG20SP81 Debentures Private Placement Taxable 100000 178250000 29-08-2019 21-03-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 21MR23 FVRS1LAC LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED
3644 INE093J071B0 SERIES II Debentures Private Placement Taxable 100000 115625000 09-05-2019 29-11-2022 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED SERIES II BR NCD 29NV22 FVRS1LAC
LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3650 INE093J071H7 SERIES III Debentures Private Placement Taxable 100000 92000000 06-06-2019 12-10-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 12OT25 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3651 INE093J071I5 SERIES II ARG20SP35 Debentures Private Placement Taxable 100000 149500000 12-06-2019 02-01-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 02JN23 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3656 INE093J071N5 ARG20SP53 SERIES I Debentures Private Placement Taxable 100000 78625000 15-07-2019 17-09-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 17SP22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3664 INE093J071V8 SERIES III ARG20SP84 Debentures Private Placement Taxable 100000 166750000 04-09-2019 10-01-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 10JN26 FVRS1LAC LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED
3670 INE093J072B8 SERIES III Debentures Private Placement Taxable 100000 115625000 09-05-2019 21-06-2026 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED SERIES III BR NCD 21JU26 FVRS1LAC
LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-IV NIFTY
3676 INE093J072H5 SERIES IV Debentures Private Placement Taxable 100000 92000000 06-06-2019 19-07-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 19JL26 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3677 INE093J072I3 SERIES III ARG20SP35 Debentures Private Placement Taxable 100000 149500000 12-06-2019 02-01-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 02JN23 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3682 INE093J072N3 ARG20SP53 SERIES II Debentures Private Placement Taxable 100000 78625000 15-07-2019 27-08-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 27AG26 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3688 INE093J072T0 SERIES III ARG20SP79 Debentures Private Placement Taxable 100000 175750000 27-08-2019 09-10-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 09OT26 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3692 INE093J072X2 SERIES III ARG20SP94 Debentures Private Placement Taxable 100000 120250000 20-09-2019 12-04-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 12AP23 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3694 INE093J072Z7 SERIES III ARG20SP103 Debentures Private Placement Taxable 100000 171125000 07-10-2019 29-04-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 29AP23 FVRS1LAC LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED
3695 INE093J073A8 SERIES I Debentures Private Placement Taxable 100000 189625000 08-05-2019 13-09-2025 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED SERIES I BR NCD 13SP25 FVRS1LAC
LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3701 INE093J073G5 III Debentures Private Placement Taxable 100000 166750000 31-05-2019 13-07-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 13JL26 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3702 INE093J073H3 ARG20SP33 SR I Debentures Private Placement Taxable 100000 78625000 07-06-2019 10-08-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 10AG22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3703 INE093J073I1 SERIES I ARG20SP356 Debentures Private Placement Taxable 100000 74750000 13-06-2019 16-08-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 16AG22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3711 INE093J073Q4 SERIES III ARG20SP69 Debentures Private Placement Taxable 100000 138000000 07-08-2019 13-12-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 13DC25 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3715 INE093J073U6 SERIES III ARG20SP82 Debentures Private Placement Taxable 100000 282125000 30-08-2019 12-10-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 12OT26 FVRS1LAC LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED
3721 INE093J074A6 SERIES II Debentures Private Placement Taxable 100000 189625000 08-05-2019 20-06-2026 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED SERIES II BR NCD 20JU26 FVRS1LAC
LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3728 INE093J074H1 ARG20SP33 SR II Debentures Private Placement Taxable 100000 78625000 07-06-2019 28-12-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 28DC22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3729 INE093J074I9 SERIES II ARG20SP356 Debentures Private Placement Taxable 100000 74750000 13-06-2019 26-07-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 26JL26 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3742 INE093J074V2 SERIES III ARG20SP85 Debentures Private Placement Taxable 100000 80500000 06-09-2019 29-03-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 29MR23 FVRS1LAC LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED
3747 INE093J075A3 SERIES III Debentures Private Placement Taxable 100000 189625000 08-05-2019 13-09-2025 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED SERIES III BR NCD 13SP25 FVRS1LAC
LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3748 INE093J075B1 III Debentures Private Placement Taxable 100000 143750000 10-05-2019 15-09-2025 On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 15SP25 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3754 INE093J075H8 ARG20SP33 SR III Debentures Private Placement Taxable 100000 78625000 07-06-2019 20-07-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 20JL26 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3755 INE093J075I6 SERIES III ARG20SP356 Debentures Private Placement Taxable 100000 74750000 13-06-2019 19-10-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 19OT25 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3769 INE093J075W7 SERIES III ARG20SP91 Debentures Private Placement Taxable 100000 106375000 17-09-2019 30-10-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 30OT26 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3771 INE093J075Y3 SERIES III ARG20SP100 Debentures Private Placement Taxable 100000 138750000 01-10-2019 06-02-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 06FB26 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3772 INE093J075Z0 SERIES III ARG20SP104 Debentures Private Placement Taxable 100000 143750000 09-10-2019 21-11-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 21NV26 FVRS1LAC LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED
3773 INE093J076A1 SERIES IV Debentures Private Placement Taxable 100000 189625000 08-05-2019 20-06-2026 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED SERIES IV BR NCD 20JU26 FVRS1LAC
LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-IV NIFTY
3780 INE093J076H6 ARG20SP33 SR IV Debentures Private Placement Taxable 100000 78625000 07-06-2019 13-10-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 13OT25 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3791 INE093J076S3 SERIES III ARG20SP77 Debentures Private Placement Taxable 100000 296000000 23-08-2019 05-10-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 05OT26 FVRS1LAC LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED
3799 INE093J077A9 SERIES V Debentures Private Placement Taxable 100000 189625000 08-05-2019 20-06-2026 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED SERIES V BR NCD 20JU26 FVRS1LAC
LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3807 INE093J077I2 SERIES II ARG20SP37 Debentures Private Placement Taxable 100000 189625000 14-06-2019 04-01-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 04JN23 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3810 INE093J077L6 SERIES II AGR20SP47 Debentures Private Placement Taxable 100000 152625000 04-07-2019 24-01-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 24JN23 FVRS100000 LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3811 INE093J077M4 ARG20SP51 SERIES I Debentures Private Placement Taxable 100000 97750000 11-07-2019 13-09-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 13SP22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3813 INE093J077O0 ARG20SP60 SERIES III Debentures Private Placement Taxable 100000 143750000 25-07-2019 06-09-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 06SP26 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3815 INE093J077Q5 SERIES III ARG20SP70 Debentures Private Placement Taxable 100000 217375000 08-08-2019 20-09-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 20SP26 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3819 INE093J077U7 SERIES III ARG20SP83 Debentures Private Placement Taxable 100000 245125000 03-09-2019 16-10-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 16OT26 FVRS1LAC LINKED
LINKED TO
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED ITC LTD
3820 INE093J077V5 SERIES I ARG20SP87 Debentures Private Placement Taxable 100000 18500000 11-09-2019 14-11-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED SERIES I BR NCD 14NV22 FVRS1LAC SHARE
PRICE
LINKED TO
INDIAN OIL
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I CORPORATI
3821 INE093J077W3 SERIES I ARG20SP92 Debentures Private Placement Taxable 100000 13875000 18-09-2019 21-11-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 21NV22 FVRS1LAC ON LIMITED
SHARE
PRICE
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED
3825 INE093J078A7 SERIES VI Debentures Private Placement Taxable 100000 189625000 08-05-2019 20-06-2026 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED SERIES VI BR NCD 20JU26 FVRS1LAC
LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3833 INE093J078I0 SERIES III ARG20SP37 Debentures Private Placement Taxable 100000 189625000 14-06-2019 27-07-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 27JL26 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3836 INE093J078L4 SERIES III ARG20SP47 Debentures Private Placement Taxable 100000 152625000 04-07-2019 16-08-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 16AG26 FVRS100000 LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3838 INE093J078N0 ARG20SP56 SERIES III Debentures Private Placement Taxable 100000 109250000 18-07-2019 23-11-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 23NV25 FVRS1LAC LINKED
LINKED TO
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I INFOSYS LTD
3846 INE093J078V3 SERIES I ARG20SP88 Debentures Private Placement Taxable 100000 14325000 12-09-2019 15-11-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 15NV22 FVRS1LAC SHARE
PRICE
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3856 INE093J079F4 III Debentures Private Placement Taxable 100000 120250000 29-05-2019 11-07-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 11JL26 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3857 INE093J079G2 SERIES I Debentures Private Placement Taxable 100000 92000000 06-06-2019 09-08-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 09AG22 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3863 INE093J079M0 ARG20SP51 SERIES III Debentures Private Placement Taxable 100000 97750000 11-07-2019 16-11-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 16NV25 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3877 INE093J07A03 SERIES III Debentures Private Placement Taxable 100000 138000000 25-09-2018 17-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 17AP22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3878 INE093J07A11 SERIES I Debentures Private Placement Taxable 100000 372000000 22-09-2018 30-11-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 30NV21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3879 INE093J07A29 SERIES II Debentures Private Placement Taxable 100000 372000000 22-09-2018 30-11-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 30NV21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3880 INE093J07A37 SERIES III Debentures Private Placement Taxable 100000 372000000 22-09-2018 14-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 14AP22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-IV NIFTY
3881 INE093J07A45 SERIES IV Debentures Private Placement Taxable 100000 372000000 22-09-2018 30-11-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 30NV21 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3882 INE093J07A52 SERIES I Debentures Private Placement Taxable 100000 129000000 23-09-2018 01-12-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 01DC21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3883 INE093J07A60 SERIES II Debentures Private Placement Taxable 100000 129000000 23-09-2018 01-12-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 01DC21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3884 INE093J07A78 SERIES III Debentures Private Placement Taxable 100000 129000000 23-09-2018 15-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 15AP22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3913 INE093J07D67 SERIES III Debentures Private Placement Taxable 100000 60000000 26-10-2018 18-05-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 18MY22 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3929 INE093J07F24 SERIES I Debentures Private Placement Taxable 100000 228000000 22-11-2018 30-01-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 30JN22 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3930 INE093J07F32 SERIES II Debentures Private Placement Taxable 100000 228000000 22-11-2018 30-01-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 30JN22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3931 INE093J07F40 SERIES III Debentures Private Placement Taxable 100000 228000000 22-11-2018 14-06-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 14JU22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3932 INE093J07F57 SERIES I Debentures Private Placement Taxable 100000 126000000 26-11-2018 03-02-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 03FB22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3933 INE093J07F65 SERIES II Debentures Private Placement Taxable 100000 126000000 26-11-2018 03-02-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 03FB22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3934 INE093J07F73 SERIES III Debentures Private Placement Taxable 100000 126000000 26-11-2018 18-06-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 18JU22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3937 INE093J07G07 SERIES III Debentures Private Placement Taxable 100000 192000000 29-11-2018 21-06-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 21JU22 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3942 INE093J07G56 SERIES I Debentures Private Placement Taxable 100000 132000000 05-12-2018 12-02-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 12FB22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3943 INE093J07G64 SERIES II Debentures Private Placement Taxable 100000 132000000 05-12-2018 12-02-2022 On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 12FB22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3944 INE093J07G72 SERIES III Debentures Private Placement Taxable 100000 132000000 05-12-2018 27-06-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 27JU22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-IV NIFTY
3945 INE093J07G80 SERIES IV Debentures Private Placement Taxable 100000 132000000 05-12-2018 12-02-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 12FB22 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3946 INE093J07G98 SERIES I Debentures Private Placement Taxable 100000 198000000 04-12-2018 11-02-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 11FB22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3947 INE093J07H06 SERIES II Debentures Private Placement Taxable 100000 198000000 04-12-2018 11-02-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 11FB22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3948 INE093J07H14 Debentures Private Placement Taxfree 100000 198000000 04-12-2018 26-06-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 26JU22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3949 INE093J07H22 SERIES I Debentures Private Placement Taxable 100000 150000000 12-12-2018 19-02-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 19FB22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3950 INE093J07H30 SERIES II Debentures Private Placement Taxable 100000 150000000 12-12-2018 19-02-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 19FB22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3951 INE093J07H48 SERIES III Debentures Private Placement Taxable 100000 150000000 12-12-2018 04-07-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 04JL22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3952 INE093J07H55 SERIES I Debentures Private Placement Taxable 100000 10000000 11-12-2018 18-02-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 18FB22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3953 INE093J07H63 SERIES I Debentures Private Placement Taxable 100000 96000000 10-12-2018 17-02-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 17FB22 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3954 INE093J07H71 SERIES II Debentures Private Placement Taxable 100000 96000000 10-12-2018 17-02-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 17FB22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3955 INE093J07H89 SERIES III Debentures Private Placement Taxable 100000 96000000 10-12-2018 02-07-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 02JL22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3956 INE093J07H97 SERIES I Debentures Private Placement Taxable 100000 72000000 13-12-2018 20-02-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 20FB22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3957 INE093J07I05 SERIES II Debentures Private Placement Taxable 100000 72000000 13-12-2018 20-02-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 20FB22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3958 INE093J07I13 SERIES III Debentures Private Placement Taxable 100000 72000000 13-12-2018 05-07-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 05JL22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3959 INE093J07I21 SERIES I Debentures Private Placement Taxable 100000 144000000 18-12-2018 25-02-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 25FB22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3960 INE093J07I39 SERIES II Debentures Private Placement Taxable 100000 144000000 18-12-2018 25-02-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 25FB22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3961 INE093J07I47 SERIES III Debentures Private Placement Taxable 100000 144000000 18-12-2018 10-07-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 10JL22 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3962 INE093J07I54 SERIES I Debentures Private Placement Taxable 100000 162000000 19-12-2018 26-02-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 26FB22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3963 INE093J07I62 SERIES II Debentures Private Placement Taxable 100000 162000000 19-12-2018 26-02-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 26FB22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3964 INE093J07I70 SERIES III Debentures Private Placement Taxable 100000 162000000 19-12-2018 11-07-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 11JL22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3965 INE093J07I88 SERIES I Debentures Private Placement Taxable 100000 126000000 20-12-2018 27-02-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 27FB22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3966 INE093J07I96 SERIES II Debentures Private Placement Taxable 100000 126000000 20-12-2018 27-02-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 27FB22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3967 INE093J07J04 SERIES III Debentures Private Placement Taxable 100000 126000000 20-12-2018 12-07-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 12JL22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3968 INE093J07J12 SERIES I Debentures Private Placement Taxable 100000 204000000 26-12-2018 05-03-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 05MR22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3969 INE093J07J20 SERIES II Debentures Private Placement Taxable 100000 204000000 26-12-2018 05-03-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 05MR22 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3970 INE093J07J38 SERIES III Debentures Private Placement Taxable 100000 204000000 26-12-2018 18-07-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 18JL22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3971 INE093J07J46 SERIES I Debentures Private Placement Taxable 100000 156000000 27-12-2018 06-03-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 06MR22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3972 INE093J07J53 SERIES II Debentures Private Placement Taxable 100000 156000000 27-12-2018 06-03-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 06MR22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3973 INE093J07J61 SERIES III Debentures Private Placement Taxable 100000 156000000 27-12-2018 19-07-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 19JL22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-IV NIFTY
3974 INE093J07J79 SERIES IV Debentures Private Placement Taxable 100000 156000000 27-12-2018 19-07-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 19JL22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-V NIFTY
3975 INE093J07J87 SERIES V Debentures Private Placement Taxable 100000 156000000 27-12-2018 27-06-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 27JU22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3976 INE093J07J95 SERIES I Debentures Private Placement Taxable 100000 230000000 31-12-2018 10-03-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 10MR22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3977 INE093J07K01 SERIES II Debentures Private Placement Taxable 100000 230000000 31-12-2018 10-03-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 10MR22 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3978 INE093J07K19 SERIES III Debentures Private Placement Taxable 100000 230000000 31-12-2018 23-07-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 23JL22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3979 INE093J07K27 SERIES I Debentures Private Placement Taxable 100000 230000000 29-12-2018 08-03-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 08MR22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3980 INE093J07K35 SERIES II Debentures Private Placement Taxable 100000 230000000 29-12-2018 08-03-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 08MR22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3981 INE093J07K43 SERIES III Debentures Private Placement Taxable 100000 230000000 29-12-2018 21-07-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 21JLR22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
3984 INE093J07K76 SERIES III Debentures Private Placement Taxable 100000 184000000 04-01-2019 27-07-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 27JL22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3988 INE093J07L18 SERIES I Debentures Private Placement Taxable 100000 115000000 10-01-2019 20-03-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 20MR22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3989 INE093J07L26 SERIES II Debentures Private Placement Taxable 100000 115000000 10-01-2019 20-03-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 20MR22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3990 INE093J07L34 SERIES III Debentures Private Placement Taxable 100000 115000000 10-01-2019 02-08-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 02AG22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-IV NIFTY
3991 INE093J07L42 SERIES IV Debentures Private Placement Taxable 100000 115000000 10-01-2019 11-07-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 11JL22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3992 INE093J07L59 SERIES I Debentures Private Placement Taxable 100000 149500000 09-01-2019 19-03-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 19MR22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3993 INE093J07L67 SERIES II Debentures Private Placement Taxable 100000 149500000 09-01-2019 19-03-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 19MR22 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3994 INE093J07L75 SERIES III Debentures Private Placement Taxable 100000 149500000 09-01-2019 01-08-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 01AG22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-V NIFTY
3996 INE093J07L91 SERIES V Debentures Private Placement Taxable 100000 149500000 09-01-2019 10-07-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 10JL22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
3997 INE093J07M09 SERIES I Debentures Private Placement Taxable 100000 120750000 16-01-2019 26-03-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 26MR22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
3998 INE093J07M17 SERIES II Debentures Private Placement Taxable 100000 120750000 16-01-2019 26-03-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 26MR22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
3999 INE093J07M25 SERIES III Debentures Private Placement Taxable 100000 120750000 16-01-2019 08-08-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 08AG22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4000 INE093J07M33 SERIES I Debentures Private Placement Taxable 100000 92000000 17-01-2019 27-03-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 27MR22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4001 INE093J07M41 SERIES II Debentures Private Placement Taxable 100000 92000000 17-01-2019 27-03-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 27MR22 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4002 INE093J07M58 SERIES III Debentures Private Placement Taxable 100000 92000000 17-01-2019 09-08-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 09AG22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-IV NIFTY
4003 INE093J07M66 SERIES IV Debentures Private Placement Taxable 100000 92000000 17-01-2019 18-07-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 18JL22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4004 INE093J07M74 SERIES I Debentures Private Placement Taxable 100000 149500000 24-01-2019 03-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 03AP22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4005 INE093J07M82 SERIES II Debentures Private Placement Taxable 100000 149500000 24-01-2019 03-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 03AP22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4006 INE093J07M90 SERIES III Debentures Private Placement Taxable 100000 149500000 24-01-2019 16-08-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 16AG22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4007 INE093J07N08 SERIES I Debentures Private Placement Taxable 100000 247250000 25-01-2019 04-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 04AP22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4008 INE093J07N16 SERIES II Debentures Private Placement Taxable 100000 247250000 25-01-2019 04-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 04AP22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4009 INE093J07N24 SERIES III Debentures Private Placement Taxable 100000 247250000 25-01-2019 17-08-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 17AG22 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4010 INE093J07N32 ARG19SP78 SERIES I Debentures Private Placement Taxable 100000 166750000 30-01-2019 09-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 09AP22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4013 INE093J07N65 ARG19SP79 SERIES I Debentures Private Placement Taxable 100000 201250000 31-01-2019 10-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 10AP22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4014 INE093J07N73 SERIES II Debentures Private Placement Taxable 100000 201250000 31-01-2019 10-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 10AP22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4015 INE093J07N81 SERIES III Debentures Private Placement Taxable 100000 201250000 31-01-2019 23-08-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 23AG22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4016 INE093J07N99 SERIES I Debentures Private Placement Taxable 100000 172500000 01-02-2019 11-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 11AP22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4017 INE093J07O07 SERIES II Debentures Private Placement Taxable 100000 172500000 01-02-2019 11-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 11AP22 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4018 INE093J07O15 SERIES III Debentures Private Placement Taxable 100000 172500000 01-02-2019 24-08-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 24AG22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4019 INE093J07O23 SERIES I Debentures Private Placement Taxable 100000 218500000 04-02-2019 14-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 14AP22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4020 INE093J07O31 SERIES II Debentures Private Placement Taxable 100000 218500000 04-02-2019 14-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 14AP22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4021 INE093J07O49 SERIES III Debentures Private Placement Taxable 100000 218500000 04-02-2019 27-08-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 27AG22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-IV NIFTY
4022 INE093J07O56 SERIES IV Debentures Private Placement Taxable 100000 218500000 04-02-2019 14-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 14AP22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4029 INE093J07P22 SERIES III Debentures Private Placement Taxable 100000 86250000 07-02-2019 30-08-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 30AG22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4033 INE093J07P63 SERIES III Debentures Private Placement Taxable 100000 212750000 14-02-2019 06-09-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 06SP22 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED NIFTY Compounding
4051 INE093J07R46 SERIES III Debentures Private Placement Taxable 100000 155250000 28-02-2019 20-09-2022 On Maturity Finance Non PSU Other Active
FINANCE LIMITED SERIES III BR NCD 20SP22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4066 INE093J07S94 SERIES III Debentures Private Placement Taxable 100000 253000000 14-03-2019 04-10-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 04OT22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III LINKED TO
4069 INE093J07T28 SERIES III Debentures Private Placement Taxable 100000 155250000 15-03-2019 05-10-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 05OT22 FVRS1LAC NIFTY INDEX
RELIANCE
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED
4078 INE093J07U17 SERIES I Debentures Private Placement Taxable 100000 23125000 26-03-2019 03-06-2022 EQUITY Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED SERIES I BR NCD 03JU22 FVRS1LAC
LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4097 INE093J07VP9 SERIES I Debentures Private Placement Taxable 100000 230375000 20-04-2018 28-06-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 28JU21 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4098 INE093J07VQ7 SERIES II Debentures Private Placement Taxable 100000 230375000 20-04-2018 28-06-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 28JU21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4099 INE093J07VR5 SERIES III Debentures Private Placement Taxable 100000 230375000 20-04-2018 28-06-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 28JU21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-IV NIFTY
4100 INE093J07VS3 SERIES IV Debentures Private Placement Taxable 100000 230375000 20-04-2018 28-06-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 28JU21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-V NIFTY
4101 INE093J07VT1 SERIES V Debentures Private Placement Taxable 100000 230375000 20-04-2018 28-06-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 28JU21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4102 INE093J07VU9 SERIES I Debentures Private Placement Taxable 100000 186850000 26-04-2018 04-07-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 04JL21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4103 INE093J07VV7 SERIES II Debentures Private Placement Taxable 100000 186850000 26-04-2018 04-07-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 04JL21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4104 INE093J07VW5 SERIES I Debentures Private Placement Taxable 100000 189625000 07-05-2018 15-07-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 15JL21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4105 INE093J07VX3 SERIES II Debentures Private Placement Taxable 100000 189625000 07-05-2018 15-07-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 15JL21 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4106 INE093J07VY1 SERIES III Debentures Private Placement Taxable 100000 189625000 07-05-2018 15-07-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 15JL21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-IV NIFTY
4107 INE093J07VZ8 SERIES IV Debentures Private Placement Taxable 100000 189625000 07-05-2018 15-07-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 15JL21 FVRS1LAC LINKED
RELIANCE
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED
4110 INE093J07W23 SERIES VII Debentures Private Placement Taxable 100000 143375000 30-03-2019 07-06-2022 EQUITY Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED SERIES VII BR NCD 07JU22 FVRS1LAC
LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4118 INE093J07WA9 SERIES I Debentures Private Placement Taxable 100000 203500000 11-05-2018 19-07-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 19JL21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4119 INE093J07WB7 SERIES II Debentures Private Placement Taxable 100000 203500000 11-05-2018 19-07-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 19JL21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4120 INE093J07WC5 SERIES III Debentures Private Placement Taxable 100000 203500000 11-05-2018 19-07-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 19JL21 FVRS1LAC LINKED
INE093J07WD3 ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4121 SERIES I Debentures Private Placement Taxable 100000 277500000 17-05-2018 25-07-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 25JL21 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4122 INE093J07WE1 SERIES II Debentures Private Placement Taxable 100000 277500000 17-05-2018 25-07-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 25JL21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4123 INE093J07WF8 SERIES III Debentures Private Placement Taxable 100000 277500000 17-05-2018 25-07-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 25JL21 FVRS1LAC LINKED
INE093J07WG6 ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-IV NIFTY
4124 SERIES IV Debentures Private Placement Taxable 100000 277500000 17-05-2018 25-07-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 25JL21 FVRS1LAC LINKED
INE093J07WH4 ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4125 SERIES I Debentures Private Placement Taxable 100000 189625000 21-05-2018 29-07-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 29JL21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4126 INE093J07WI2 SERIES II Debentures Private Placement Taxable 100000 189625000 21-05-2018 29-07-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 29JL21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4127 INE093J07WJ0 SERIES I Debentures Private Placement Taxable 100000 222000000 28-05-2018 05-08-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 05AG21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4128 INE093J07WK8 SERIES II Debentures Private Placement Taxable 100000 222000000 28-05-2018 05-08-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 05AG21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4129 INE093J07WL6 SERIES III Debentures Private Placement Taxable 100000 222000000 28-05-2018 05-08-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 05AG21 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE093J07WM4 ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-IV NIFTY
4130 SERIES IV Debentures Private Placement Taxable 100000 222000000 28-05-2018 05-08-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 05AG21 FVRS1LAC LINKED
INE093J07WN2 ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4131 SERIES I Debentures Private Placement Taxable 100000 159800000 01-06-2018 09-08-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 09AG21 FVRS1LAC LINKED
INE093J07WO0 ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4132 SERIES II Debentures Private Placement Taxable 100000 159800000 01-06-2018 09-08-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 09AG21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4133 INE093J07WP7 SERIES I Debentures Private Placement Taxable 100000 206800000 07-06-2018 15-08-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 15AG21 FVRS1LAC LINKED
INE093J07WQ5 ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4134 SERIES II Debentures Private Placement Taxable 100000 206800000 07-06-2018 15-08-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 15AG21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4135 INE093J07WR3 SERIES III Debentures Private Placement Taxable 100000 206800000 07-06-2018 15-08-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 15AG21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-IV NIFTY
4136 INE093J07WS1 SERIES IV Debentures Private Placement Taxable 100000 206800000 07-06-2018 15-08-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 15AG21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-V NIFTY
4137 INE093J07WT9 SERIES V Debentures Private Placement Taxable 100000 206800000 07-06-2018 15-08-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 15AG21 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INE093J07WU7 ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4138 SERIES I Debentures Private Placement Taxable 100000 206800000 14-06-2018 22-08-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 22AG21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4139 INE093J07WV5 SERIES II Debentures Private Placement Taxable 100000 206800000 14-06-2018 22-08-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 22AG21 FVRS1LAC LINKED
INE093J07WW3 ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4140 I Debentures Private Placement Taxable 100000 206800000 20-06-2018 28-08-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 28AG21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4141 INE093J07WX1 II Debentures Private Placement Taxable 100000 206800000 20-06-2018 28-08-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 28AG21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4142 INE093J07WY9 III Debentures Private Placement Taxable 100000 206800000 20-06-2018 28-08-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 28AG21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4143 INE093J07WZ6 SERIES I Debentures Private Placement 100000 169200000 02-07-2018 09-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 09SP21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4147 INE093J07X30 SERIES III Debentures Private Placement Taxable 100000 134125000 18-04-2019 08-11-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 08NV22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4149 INE093J07X55 I Debentures Private Placement Taxable 100000 222000000 22-04-2019 28-08-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 28AG25 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4150 INE093J07X63 III Debentures Private Placement Taxable 100000 222000000 22-04-2019 04-06-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 04JU26 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4151 INE093J07X71 III Debentures Private Placement Taxable 100000 222000000 22-04-2019 28-08-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 28AG25 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4152 INE093J07X89 SERIES I Debentures Private Placement Taxable 100000 222000000 20-04-2019 26-08-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 26AG25 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4153 INE093J07X97 SERIES II Debentures Private Placement Taxable 100000 222000000 20-04-2019 02-06-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 02JU26 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4154 INE093J07XA7 SERIES II Debentures Private Placement Taxable 100000 169200000 02-07-2018 09-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 09SP21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4155 INE093J07XB5 SERIES I Debentures Private Placement Taxable 100000 253800000 05-07-2018 12-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 12SP21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4156 INE093J07XC3 SERIES II Debentures Private Placement Taxable 100000 253800000 05-07-2018 12-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 12SP21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4157 INE093J07XD1 SERIES III Debentures Private Placement Taxable 100000 253800000 05-07-2018 12-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 12SP21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4158 INE093J07XE9 SERIES I Debentures Private Placement Taxable 100000 216200000 09-07-2018 16-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 16SP21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4159 INE093J07XF6 SERIES II Debentures Private Placement Taxable 100000 216200000 09-07-2018 16-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 16SP21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4160 INE093J07XG4 SERIES III Debentures Private Placement Taxable 100000 216200000 09-07-2018 16-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 16SP21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-IV NIFTY
4161 INE093J07XH2 SERIES IV Debentures Private Placement Taxable 100000 216200000 09-07-2018 16-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 16SP21 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4162 INE093J07XI0 SERIES I Debentures Private Placement Taxable 100000 206800000 11-07-2018 18-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 18SP21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4163 INE093J07XJ8 SERIES II Debentures Private Placement Taxable 100000 206800000 11-07-2018 18-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 18SP21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4164 INE093J07XK6 SERIES I Debentures Private Placement Taxable 100000 159800000 13-07-2018 20-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 20SP21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4165 INE093J07XL4 SERIES II Debentures Private Placement Taxable 100000 159800000 13-07-2018 20-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 20SP21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4166 INE093J07XM2 SERIES I Debentures Private Placement Taxable 100000 206800000 17-07-2018 24-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 24SP21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4167 INE093J07XN0 SERIES II Debentures Private Placement Taxable 100000 206800000 17-07-2018 24-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 24SP21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4168 INE093J07XO8 SERIES I Debentures Private Placement Taxable 100000 178600000 19-07-2018 26-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 26SP21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4169 INE093J07XP5 SERIES II Debentures Private Placement Taxable 100000 1786 19-07-2018 26-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 26SP21 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4170 INE093J07XQ3 SERIES III Debentures Private Placement Taxable 100000 178600000 19-07-2018 26-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 26SP21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-IV NIFTY
4171 INE093J07XR1 SERIES IV Debentures Private Placement Taxable 100000 178600000 19-07-2018 26-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 26SP21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4172 INE093J07XS9 SERIES I Debentures Private Placement Taxable 100000 216200000 20-07-2018 27-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 27SP21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4173 INE093J07XT7 SERIES II Debentures Private Placement Taxable 100000 216200000 20-07-2018 27-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 27SP21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4174 INE093J07XU5 SERIES III Debentures Private Placement Taxable 100000 216200000 20-07-2018 27-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 27SP21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-IV NIFTY
4175 INE093J07XV3 SERIES IV Debentures Private Placement Taxable 100000 216200000 20-07-2018 27-09-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 27SP21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4176 INE093J07XW1 SERIES I Debentures Private Placement Taxable 100000 2350000000 25-07-2018 02-10-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 02OT21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4177 INE093J07XX9 SERIES II Debentures Private Placement Taxable 100000 2350000000 25-07-2018 02-10-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 02OT21 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4178 INE093J07XY7 SERIES III Debentures Private Placement Taxable 100000 2350000000 25-07-2018 02-10-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 02OT21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-IV NIFTY
4179 INE093J07XZ4 SERIES IV Debentures Private Placement Taxable 100000 2350000000 25-07-2018 02-10-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 02OT21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4180 INE093J07Y05 SERIES III Debentures Private Placement Taxable 100000 222000000 20-04-2019 02-06-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 02JU26 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED NIFTY INDEX
4181 INE093J07Y13 ARG20SP07 SERIES I Debentures Private Placement Taxable 100000 166500000 24-04-2019 27-06-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED SERIES I BR NCD 27JU22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED NIFTY INDEX
4182 INE093J07Y21 ARG20SP08 SERIES II Debentures Private Placement Taxable 100000 166500000 24-04-2019 27-06-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED SERIES II BR NCD 27JU22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED NIFTY INDEX
4183 INE093J07Y39 ARG20SP07 SERIES III Debentures Private Placement Taxable 100000 166500000 24-04-2019 14-11-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED SERIES III BR NCD 14NV22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I NIFTY INDEX
4187 INE093J07Y70 SERIES I Debentures Private Placement Taxable 100000 208125000 30-04-2019 03-07-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 03JL22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR II NIFTY INDEX
4188 INE093J07Y88 SERIES II Debentures Private Placement Taxable 100000 208125000 30-04-2019 03-07-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 03JL22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY INDEX
4189 INE093J07Y96 SERIES III Debentures Private Placement Taxable 100000 208125000 30-04-2019 20-11-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 20NV22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4190 INE093J07YA5 SERIES I Debentures Private Placement Taxable 100000 175750000 02-08-2018 10-10-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 10OT21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4191 INE093J07YB3 SERIES II Debentures Private Placement Taxable 100000 175750000 02-08-2018 10-10-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED NCD 10OT21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4194 INE093J07YE7 SERIES III Debentures Private Placement Taxable 100000 290000000 16-08-2018 24-10-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 24OT21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4202 INE093J07YM0 SERIES III Debentures Private Placement Taxable 100000 288000000 06-09-2018 29-03-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 29MR22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4205 INE093J07YP3 SERIES III Debentures Private Placement Taxable 100000 288000000 10-09-2018 02-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 02AP22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4209 INE093J07YT5 SERIES I Debentures Private Placement Taxable 100000 165000000 12-09-2018 20-11-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 20NV21 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4210 INE093J07YU3 SERIES II Debentures Private Placement Taxable 100000 165000000 12-09-2018 20-11-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 20NV21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4215 INE093J07YZ2 SERIES III Debentures Private Placement Taxable 100000 156000000 15-09-2018 07-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 07AR22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED NIFTY INDEX
4216 INE093J07Z04 ARG20SP10 SERIES I Debentures Private Placement Taxable 100000 198875000 02-05-2019 05-07-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED ARG20SP10 SR I BR NCD 05JL22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED NIFTY INDEX
4217 INE093J07Z12 ARG20SP10 SERIES II Debentures Private Placement Taxable 100000 198875000 02-05-2019 05-07-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED ARG20SP10 SR II BR NCD 05JL22 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY INDEX
4218 INE093J07Z20 ARG20SP10 SERIES III Debentures Private Placement Taxable 100000 198875000 02-05-2019 22-11-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 22NV22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I NIFTY INDEX
4219 INE093J07Z38 SERIES I ARG20SP11 Debentures Private Placement Taxable 100000 111000000 03-05-2019 06-07-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 06JL22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR II NIFTY INDEX
4220 INE093J07Z46 SERIES II ARG20SP11 Debentures Private Placement Taxable 100000 111000000 03-05-2019 06-07-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 06JL22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY INDEX
4221 INE093J07Z53 SERIES III ARG20SP11 Debentures Private Placement Taxable 100000 111000000 03-05-2019 23-11-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 23NV22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4224 INE093J07Z87 ARG20SP12 SERIES III Debentures Private Placement Taxable 100000 166500000 04-05-2019 09-09-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 09SP25 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4228 INE093J07ZC8 SERIES III Debentures Private Placement Taxable 100000 126000000 18-09-2018 10-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 10AP22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4234 INE093J07ZI5 SERIES III Debentures Private Placement Taxable 100000 204000000 17-09-2018 09-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 09AR22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4235 INE093J07ZJ3 SERIES I Debentures Private Placement Taxable 100000 234000000 19-09-2018 27-11-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 27NV21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4236 INE093J07ZK1 SERIES II Debentures Private Placement Taxable 100000 234000000 19-09-2018 27-11-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 27NV21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4237 INE093J07ZL9 SERIES III Debentures Private Placement Taxable 100000 234000000 19-09-2018 11-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 11AP22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4238 INE093J07ZM7 SERIES I Debentures Private Placement Taxable 100000 174000000 20-09-2018 28-11-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 28NV21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4239 INE093J07ZN5 Debentures Private Placement Taxable 100000 174000000 20-09-2018 28-11-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 28NV21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4240 INE093J07ZO3 SERIES III Debentures Private Placement Taxable 100000 174000000 20-09-2018 12-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 12AP22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4244 INE093J07ZS4 SERIES I Debentures Private Placement Taxable 100000 162000000 26-09-2018 04-12-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 04DC21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4245 INE093J07ZT2 SERIES II Debentures Private Placement Taxable 100000 162000000 26-09-2018 04-12-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 04DC21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4246 INE093J07ZU0 SERIES III Debentures Private Placement Taxable 100000 162000000 26-09-2018 18-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 18AP22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4247 INE093J07ZV8 SERIES I Debentures Private Placement Taxable 100000 174000000 24-09-2018 02-12-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 02DC21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4248 INE093J07ZW6 SERIES II Debentures Private Placement Taxable 100000 174000000 24-09-2018 02-12-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 02DC21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4249 INE093J07ZX4 SERIES III Debentures Private Placement Taxable 100000 174000000 24-09-2018 16-04-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 16AP22 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4250 INE093J07ZY2 SERIES I Debentures Private Placement Taxable 100000 138000000 25-09-2018 03-12-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 03DC21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4251 INE093J07ZZ9 SERIES II Debentures Private Placement Taxable 100000 138000000 25-09-2018 03-12-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 03DC21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4252 INE093J08021 SERIES I Debentures Private Placement Taxable 100000 150000000 28-06-2016 12-07-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 12JL21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4253 INE093J08039 SERIES II Debentures Private Placement Taxable 100000 150000000 28-06-2016 12-07-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 12JL21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4254 INE093J08047 SERIES III Debentures Private Placement Taxable 100000 150000000 28-06-2016 12-07-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 12JL21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4255 INE093J08054 SERIES I Debentures Private Placement Taxable 100000 250000000 19-07-2016 13-10-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 13OT21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4257 INE093J08070 SERIES I Debentures Private Placement Taxable 100000 250000000 22-08-2016 21-10-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 21OT21 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4258 INE093J08088 SERIES I Debentures Private Placement Taxable 100000 40000000 15-09-2016 29-10-2021 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 29OT21 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4260 INE093J08104 SERIES I Debentures Private Placement Taxable 100000 150000000 26-10-2016 18-01-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 18JN22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4261 INE093J08112 SERIES II Debentures Private Placement Taxable 100000 150000000 26-10-2016 18-01-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 18JN22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-III NIFTY
4262 INE093J08120 SERIES III Debentures Private Placement Taxable 100000 150000000 26-10-2016 18-01-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 18JN22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4263 INE093J08138 SERIES I Debentures Private Placement Taxable 100000 20000000 30-11-2016 13-01-2022 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 13JN22 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-I NIFTY
4264 INE093J08146 SERIES I Debentures Private Placement Taxable 100000 140000000 13-08-2018 26-09-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 26SP23 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR-II NIFTY
4265 INE093J08153 SERIES II Debentures Private Placement Taxable 100000 140000000 13-08-2018 05-11-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 05NV23 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
NIFTY 50
INDEX
LINKED,
ANAND RATHI GLOBAL SERIES ARG20SUBNCD01-I ANAND RATHI GLOBAL FINANCE LIMITED SR I AR39MVIX
4271 INE093J08278 Debentures Private Placement Taxable 100000 320000000 19-03-2020 09-09-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 09SP25 FVRS1LAC AND
AR39MROLL
INDEX
LINKED
NIFTY 50
INDEX
LINKED,
ANAND RATHI GLOBAL SERIES ARG20SUBNCD01- ANAND RATHI GLOBAL FINANCE LIMITED SR II AR39MVIX
4272 INE093J08286 Debentures Private Placement Taxable 100000 320000000 19-03-2020 09-09-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED II BR NCD 09SP25 FVRS1LAC AND
AR39MROLL
INDEX
LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
NIFTY 50
ANAND RATHI GLOBAL SERIES I ARG21SUBNCD02 ANAND RATHI GLOBAL FINANCE LIMITED SR I
4274 INE093J08302 Debentures Private Placement Taxable 100000 160000000 15-06-2020 14-06-2025 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 14JU25 FVRS1LAC
LINKED
ANAND RATHI GLOBAL SERIES ANAND RATHI GLOBAL FINANCE LIMITED SR NIFTY 50
4275 INE093J08310 Debentures Private Placement Taxable 100000 160000000 15-06-2020 14-06-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED ARG21SUBNCD02¿¿II. CD02 II BR NCD 14JU25 FVRS1LAC LINK
ANAND RATHI GLOBAL SERIES ANAND RATHI GLOBAL FINANCE LIMITED SR NIFTY 50
4276 INE093J08328 Debentures Private Placement Taxable 100000 2450000000 29-06-2020 28-06-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED ARG21SUBNCD03¿¿I CD03 I BR NCD 28JU25 FVRS1LAC LINK
ANAND RATHI GLOBAL SERIES ANAND RATHI GLOBAL FINANCE LIMITED SR NIFTY 50
4277 INE093J08336 Debentures Private Placement Taxable 100000 245000000 29-06-2020 28-06-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED ARG21SUBNCD03¿¿II CD03 II BR NCD 28JU25 FVRS1LAC LINK
ANAND RATHI GLOBAL SERIES ANAND RATHI GLOBAL FINANCE LIMITED SR I NIFTY 50
4278 INE093J08344 Debentures Private Placement Taxable 100000 160000000 03-07-2020 02-07-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED ARG21SUBNCD04¿¿I BR NCD 02JL25 FVRS1LAC LINK
ANAND RATHI GLOBAL SERIES ANAND RATHI GLOBAL FINANCE LIMITED SR II NIFTY 50
4279 INE093J08351 Debentures Private Placement Taxable 100000 160000000 03-07-2020 02-07-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED ARG21SUBNCD04¿¿II BR NCD 02JL25 FVRS1LAC LINK
ANAND RATHI GLOBAL SERIES ARG21SUBNCD05 I ANAND RATHI GLOBAL FINANCE LIMITED SR NIFTY 50
4280 INE093J08369 Debentures Private Placement Taxable 100000 75000000 20-07-2020 19-07-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED CD05 I BR NCD 19JL25 FVRS1LAC LINK
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL SERIES ANAND RATHI GLOBAL FINANCE LIMITED SR NIFTY 50
4281 INE093J08377 Debentures Private Placement Taxable 100000 75000000 20-07-2020 19-07-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED ARG21SUBNCD05¿¿ II CD05 II BR NCD 19JL25 FVRS1LAC LINK
NIFTY 50
ANAND RATHI GLOBAL SERIES I ARG21SUBNCD06 ANAND RATHI GLOBAL FINANCE LIMITED SR I
4282 INE093J08385 Debentures Private Placement Taxable 100000 155000000 27-07-2020 26-07-2025 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 26JL25 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL SERIES I ARG21SUBNCD07 ANAND RATHI GLOBAL FINANCE LIMITED SR I
4283 INE093J08393 Debentures Private Placement Taxable 100000 120000000 30-07-2020 29-07-2025 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 29JL25 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL SERIES II ANAND RATHI GLOBAL FINANCE LIMITED SR II
4284 INE093J08401 Debentures Private Placement Taxable 100000 120000000 30-07-2020 29-07-2025 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED ARG21SUBNCD07 BR NCD 29JL25 FVRS1LAC
LINKED
ANAND RATHI GLOBAL SERIES ANAND RATHI GLOBAL FINANCE LIMITED SR NIFTY 50
4285 INE093J08419 Debentures Private Placement Taxable 100000 290000000 03-08-2020 02-08-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED ARG21SUBNCD08¿¿I CD08 I BR NCD 02AG25 FVRS1LAC LINK
ANAND RATHI GLOBAL SERIES ARG21SUBNCD08 ANAND RATHI GLOBAL FINANCE LIMITED SR NIFTY 50
4286 INE093J08427 Debentures Private Placement Taxable 100000 290000000 03-08-2020 02-08-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED II CD08 II BR NCD 02AG25 FVRS1LAC LINK
ANAND RATHI GLOBAL SERIES ARG21SUBNCD09 I ANAND RATHI GLOBAL FINANCE LIMITED SR NIFTY 50
4287 INE093J08435 Debentures Private Placement Taxable 100000 40000000 06-08-2020 05-08-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED CD09 I BR NCD 05AG25 FVRS1LAC LINK
ANAND RATHI GLOBAL SERIES ARG21SUBNCD09 ANAND RATHI GLOBAL FINANCE LIMITED SR NIFTY 50
4288 INE093J08443 Debentures Private Placement Taxable 100000 40000000 06-08-2020 05-08-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED II CD09 II BR NCD 05AG25 FVRS1LAC LINK
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL SERIES ARG21SUBNCD10 I ANAND RATHI GLOBAL FINANCE LIMITED SR NIFTY 50
4289 INE093J08450 Debentures Private Placement Taxable 100000 80000000 13-08-2020 01-10-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED CD10 I BR NCD 01OT25 FVRS1LAC LINK
ANAND RATHI GLOBAL SERIES ARG21SUBNCD11 I ANAND RATHI GLOBAL FINANCE LIMITED SR NIFTY 50
4290 INE093J08468 Debentures Private Placement Taxable 100000 80000000 20-08-2020 08-10-2025 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED CD11 I BR NCD 08OT25 FVRS1LAC LINK
NIFTY 50
ANAND RATHI GLOBAL SERIES ARG21SUBNCD012 ANAND RATHI GLOBAL FINANCE LIMITED SR
4291 INE093J08476 Debentures Private Placement Taxable 100000 70000000 28-08-2020 16-10-2025 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED I CD12 I BR NCD 16OT25 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL SERIES ARG21SUBNCD12 ANAND RATHI GLOBAL FINANCE LIMITED SR
4292 INE093J08484 Debentures Private Placement Taxable 100000 70000000 28-08-2020 16-10-2025 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED II CD12 II BR NCD 16OT25 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL SERIES ARG21SUBNCD13 ANAND RATHI GLOBAL FINANCE LIMITED SR
4293 INE093J08492 Debentures Private Placement Taxable 100000 80000000 02-09-2020 21-10-2025 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED I CD13 I BR NCD 21OT25 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL SERIES ARG21SUBNCD15 I ANAND RATHI GLOBAL FINANCE LIMITED SR
4295 INE093J08518 Debentures Private Placement Taxable 100000 55000000 17-09-2020 05-11-2025 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED CD15 I BR NCD 05NV25 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL SERIES ARG21SUBNCD17 I ANAND RATHI GLOBAL FINANCE LIMITED SR
4296 INE093J08534 Debentures Private Placement Taxable 100000 105000000 05-10-2020 23-11-2025 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED CD17 I BR NCD 23NV25 FVRS1LAC
LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4297 INE093JA7013 SERIES III ARG20SP106 Debentures Private Placement Taxable 100000 106375000 11-10-2019 03-05-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 03MY23 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4301 INE093JA7054 SERIES III ARG20SP107 Debentures Private Placement Taxable 100000 97750000 14-10-2019 19-02-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 19FB26 FVRS1LAC LINKED
LINKED TO
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I
4311 INE093JA7153 SERIES I ARG20SP112 Debentures Private Placement Taxable 100000 13875000 23-10-2019 26-12-2022 BHARTI Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 26DC22 FVRS1LAC
AIRTEL
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4314 INE093JA7187 SERIES III ARG20SP113 Debentures Private Placement Taxable 100000 161875000 24-10-2019 16-05-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 16MY23 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4318 INE093JA7229 SERIES III ARG20SP114 Debentures Private Placement Taxable 100000 120750000 30-10-2019 07-03-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 07MR26 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4321 INE093JA7252 SERIES III ARG20SP115 Debentures Private Placement Taxable 100000 184000000 31-10-2019 13-12-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 13DC26 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4324 INE093JA7286 SERIES III ARG20SP116 Debentures Private Placement Taxable 100000 115000000 01-11-2019 14-12-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 14DC26 FVRS1LAC LINKED
NIFTY AND
DEBT
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I
4330 INE093JA7344 SERIES I ARG20SP119 Debentures Private Placement Taxable 100000 63050000 06-11-2019 06-09-2023 MUTUAL Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 06SP23 FVRS1LAC
FUND
LINKED
NIFTY&DEBT
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR II MUTUAL
4331 INE093JA7351 SERIES II ARG20SP119 Debentures Private Placement Taxable 100000 63050000 06-11-2019 06-09-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 06SP23 FVRS1LAC FUND
LINKED
NIFTY&DEBT
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III MUTUAL
4332 INE093JA7369 SERIES III ARG20SP119 Debentures Private Placement Taxable 100000 63050000 06-11-2019 06-09-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 06SP23 FVRS1LAC FUND
LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4335 INE093JA7393 SERIES III ARG20SP120 Debentures Private Placement Taxable 100000 180375000 07-11-2019 10-01-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 10JN23 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4340 INE093JA7443 SERIES III ARG20SP121 Debentures Private Placement Taxable 100000 143750000 08-11-2019 11-01-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 11JN23 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4348 INE093JA7526 SERIES III ARG20SP124 Debentures Private Placement Taxable 100000 97125000 14-11-2019 27-12-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 27DC26 FVRS1LAC LINKED
NIFTY AND
DEBT
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I
4349 INE093JA7534 SR I ARG20SP125 Debentures Private Placement Taxable 100000 48500000 15-11-2019 15-09-2023 MUTUAL Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 15SP23 FVRS1LAC
FUND
LINKED
NIFTY AND
DEBT
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR II
4350 INE093JA7542 SERIES II ARG20SP125 Debentures Private Placement Taxable 100000 48500000 15-11-2019 15-09-2023 MUTUAL Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 15SP23 FVRS1LAC
FUND
LINKED
EQUITY
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I
4355 INE093JA7591 SERIES I ARG20SP128 Debentures Private Placement Taxable 100000 13875000 20-11-2019 23-01-2023 LINKED TO Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 23JN23 FVRS1LAC
SUNPHARMA
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4360 INE093JA7641 SERIES III ARG20SP130 Debentures Private Placement Taxable 100000 69375000 25-11-2019 28-01-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 28JN23 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4363 INE093JA7674 SERIES III ARG20SP131 Debentures Private Placement Taxable 100000 103500000 26-11-2019 29-01-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 29JN23 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4369 INE093JA7732 SERIES III - ARG20SP134 Debentures Private Placement Taxable 100000 134125000 29-11-2019 01-02-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 01FB23 FVRS1LAC LINKED
NIFTY AND
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I DEBT
4374 INE093JA7781 SERIES I ARG20SP137 Debentures Private Placement Taxable 100000 87300000 04-12-2019 04-10-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 04OT23 FVRS1LAC MUTUAL
FUND LIN
NIFTY AND
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR II DEBT
4375 INE093JA7799 SERIES II ARG20SP137 Debentures Private Placement Taxable 100000 87300000 04-12-2019 04-10-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 04OT23 FVRS1LAC MUTUAL
FUND LIN
NIFTY AND
DEBT
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III
4376 INE093JA7807 SERIES III ARG20SP137 Debentures Private Placement Taxable 100000 87300000 04-12-2019 04-10-2023 MUTUAL Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 04OT23 FVRS1LAC
FUND
LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4381 INE093JA7856 SERIES III ARG20SP139 Debentures Private Placement Taxable 100000 155250000 06-12-2019 13-04-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 13AP26 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4386 INE093JA7906 SERIES III ARG20SP140 Debentures Private Placement Taxable 100000 189625000 09-12-2019 01-07-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 01JL23 FVRS1LAC LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR VII
4396 INE093JA7A02 SERIES VII ARG21SP94 Debentures Private Placement Taxable 100000 246750000 30-12-2020 05-09-2027 INDEX On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 05SP27 FVRS1LAC
LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY 50
4399 INE093JA7A44 SERIES ARG21SP95-III Debentures Private Placement Taxable 100000 334875000 01-01-2021 05-05-2024 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 05MY24 FVRS1LAC LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I
4403 INE093JA7A85 SERIES I-ARG21SP96 Debentures Private Placement Taxable 100000 36000000 02-01-2021 28-09-2025 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 28SP25 FVRS1LAC
LINKED
NIFTY AND
DEBT
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I
4406 INE093JA7AB1 SERIES I ARG20SP146 Debentures Private Placement Taxable 100000 53350000 17-12-2019 17-10-2023 MUTUAL Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 17OT23 FVRS1LAC
FUND
LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III EQUITY
4413 INE093JA7AI6 SERIES II ARG20SP150 Debentures Private Placement Taxable 100000 212750000 21-12-2019 13-07-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 13JL23 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4417 INE093JA7AM8 SERIES III ARG20SP152 Debentures Private Placement Taxable 100000 1054500000 24-12-2019 05-02-2027 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 05FB27 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4423 INE093JA7AS5 SERIES III ARG20SP153 Debentures Private Placement Taxable 100000 1054500000 26-12-2019 18-07-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 18JL23 FVRS1LAC LINKED
INE093JA7AW7 ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR VII NIFTY
4427 SERIES VII ARG20SP153 Debentures Private Placement Taxable 100000 1054500000 26-12-2019 07-02-2027 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 07FB27 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY 50
4432 INE093JA7B19 SERIES ARG21SP97-III Debentures Private Placement Taxable 100000 92000000 06-01-2021 12-09-2027 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 12SP27 FVRS1LAC INDEX
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
RELIANCE
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I
4435 INE093JA7B43 SERIES ARG21SP98¿¿I Debentures Private Placement Taxable 100000 11500000 12-01-2021 16-05-2024 LTD EQUITY Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 16MY24 FVRS1LAC
LINK
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I
4436 INE093JA7B50 SERIES-I- ARG21SP99 Debentures Private Placement Taxable 100000 356500000 13-01-2021 27-05-2024 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 27MY24 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR II
4437 INE093JA7B68 SERIES-II-ARG21SP99 Debentures Private Placement Taxable 100000 356500000 13-01-2021 27-05-2024 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 27MY24 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III
4438 INE093JA7B76 SERIES-III-ARG21SP99 Debentures Private Placement Taxable 100000 356500000 13-01-2021 27-05-2024 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 27MY24 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR IV
4439 INE093JA7B84 SERIES IV-ARG21SP99 Debentures Private Placement Taxable 100000 356500000 13-01-2021 27-05-2024 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 27MY24 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR V
4440 INE093JA7B92 SERIES V- ARG21SP99 Debentures Private Placement Taxable 100000 356500000 13-01-2021 03-03-2026 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 03MR26 FVRS1LAC
LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4445 INE093JA7BE3 SERIES III ARG20SP154 Debentures Private Placement Taxable 100000 1100750000 27-12-2019 11-03-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 11MR23 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR VII NIFTY
4449 INE093JA7BI4 SERIES VII ARG20SP154 Debentures Private Placement Taxable 100000 1100750000 27-12-2019 24-07-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 24JL23 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR XII NIFTY
4454 INE093JA7BN4 SERIES XII ARG20SP154 Debentures Private Placement Taxable 100000 1100750000 27-12-2019 18-02-2027 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 18FB27 FVRS1LAC LINKED
NIFTY AND
DEBT
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I
4458 INE093JA7BR5 SERIES I ARG20SO155 Debentures Private Placement Taxable 100000 135800000 30-12-2019 30-10-2023 MUTUAL Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 30OT23 FVRS1LAC
FUND
LINKED
NIFTY AND
DEBT
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR II
4459 INE093JA7BS3 SERIES II ARG20SP155 Debentures Private Placement Taxable 100000 135800000 30-12-2019 30-10-2023 MUTUAL Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 30OT23 FVRS1LAC
FUND
LINKED
NIFTY AND
DEBT
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR IV
4461 INE093JA7BU9 SERIES IV ARG20SP155 Debentures Private Placement Taxable 100000 135800000 30-12-2019 30-10-2023 MUTUAL Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 30OT23 FVRS1LAC
FUND
LINKED
INE093JA7BW5 ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I NIFTY
4463 SERIES I ARG20SP157 Debentures Private Placement Taxable 100000 64750000 09-01-2020 21-02-2027 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 21FB27 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4465 INE093JA7BY1 SERIES III ARG20SP157 Debentures Private Placement Taxable 100000 64750000 09-01-2020 01-08-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 01AG23 FVRS1LAC LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR VI
4467 INE093JA7C00 SERIES VI- ARG21SP99 Debentures Private Placement Taxable 100000 356500000 13-01-2021 03-03-2026 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 03MR26 FVRS1LAC
LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR VII NIFTY 50
4468 INE093JA7C18 Debentures Private Placement Taxable 100000 356500000 13-01-2021 03-03-2026 On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 03MR26 FVRS1LAC INDEX
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR
4469 INE093JA7C26 SERIES VIII- ARG21SP99 Debentures Private Placement Taxable 100000 356500000 13-01-2021 09-10-2027 LINKED Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED VIII BR NCD 09OT27 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR IX
4470 INE093JA7C34 SERIES IX-ARG21SP99 Debentures Private Placement Taxable 100000 356500000 13-01-2021 09-10-2027 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 09OT27 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR X
4471 INE093JA7C42 SERIES X-ARG21SP99 Debentures Private Placement Taxable 100000 356500000 13-01-2021 09-10-2027 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 09OT27 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I
4472 INE093JA7C75 Debentures Private Placement Taxable 100000 345000000 20-01-2021 03-06-2024 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 03JU24 FVRS1LAC
LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR II
4473 INE093JA7C83 Debentures Private Placement Taxable 100000 345000000 20-01-2021 10-03-2026 INDEX On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 10MR26 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III
4474 INE093JA7C91 Debentures Private Placement Taxable 100000 345000000 20-01-2021 10-03-2026 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 10MR26 FVRS1LAC
LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4484 INE093JA7CJ0 SERIES III ARG20SP163 Debentures Private Placement Taxable 100000 199500000 29-01-2020 21-08-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 21AG23 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4489 INE093JA7CO0 SERIES III ARG20SP164 Debentures Private Placement Taxable 100000 184000000 30-01-2020 07-06-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 07JU26 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4494 INE093JA7CT9 SERIES III ARG20SP165 Debentures Private Placement Taxable 100000 385250000 03-02-2020 08-04-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 08AP23 FVRS1LAC LINKED
INE093JA7CW3 ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR VI NIFTY
4497 SERIES VI ARG20SP165 Debentures Private Placement Taxable 100000 385250000 03-02-2020 08-04-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 08AP23 FVRS1LAC LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR VII NIFTY
4498 INE093JA7CX1 SERIES VII ARG20SP165 Debentures Private Placement Taxable 100000 385250000 03-02-2020 11-06-2026 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 11JU26 FVRS1LAC LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR IV
4501 INE093JA7D09 Debentures Private Placement Taxable 100000 345000000 20-01-2021 16-10-2027 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 16OT27 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR V
4502 INE093JA7D17 Debentures Private Placement Taxable 100000 345000000 20-01-2021 16-10-2027 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 16OT27 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR VI
4503 INE093JA7D25 Debentures Private Placement 100000 345000000 20-01-2021 16-10-2027 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 16OT27 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I
4504 INE093JA7D33 Debentures Private Placement Taxable 100000 396750000 27-01-2021 10-06-2024 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 10JU24 FVRS1LAC
LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR II
4505 INE093JA7D41 Debentures Private Placement Taxable 100000 396750000 27-01-2021 10-06-2024 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 10JU24 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III
4506 INE093JA7D58 Debentures Private Placement Taxable 100000 396750000 27-01-2021 10-06-2024 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 10JU24 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR IV
4507 INE093JA7D66 Debentures Private Placement Taxable 100000 396750000 27-01-2021 17-03-2026 INDEX On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 17MR26 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR V
4508 INE093JA7D74 Debentures Private Placement Taxable 100000 396750000 27-01-2021 17-03-2026 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 17MR26 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR VI
4509 INE093JA7D82 Debentures Private Placement Taxable 100000 396750000 27-01-2021 17-03-2026 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 17MR26 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR VII
4510 INE093JA7D90 Debentures Private Placement Taxable 100000 396750000 27-01-2021 23-10-2027 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 23OT27 FVRS1LAC
LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4512 INE093JA7DB5 SERIES III ARG20SP167 Debentures Private Placement Taxable 100000 414000000 05-02-2020 28-08-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 28AG23 FVRS1LAC LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
NIFTY
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I LINKED AND
4516 INE093JA7DF6 SERIES I ARG20SP168 Debentures Private Placement Taxable 100000 223100000 07-02-2020 08-12-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 08DC23 FVRS1LAC MUTULAL
LINKED
NIFTY
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR II LINKED AND
4517 INE093JA7DG4 SERIES II ARG20SP168 Debentures Private Placement Taxable 100000 223100000 07-02-2020 08-12-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 08DC23 FVRS1LAC MUTULAL
LINKED
NIFTY
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III LINKED AND
4518 INE093JA7DH2 SERIES III ARG20SP168 Debentures Private Placement Taxable 100000 223100000 07-02-2020 08-12-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 08DC23 FVRS1LAC MUTULAL
LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III NIFTY
4521 INE093JA7DK6 SERIES III ARG20SP169 Debentures Private Placement Taxable 100000 95000000 11-02-2020 26-03-2027 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 26MR27 FVRS1LAC LINKED
NIFTY50
INDEX,
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I AR39MVIX,
4524 INE093JA7DN0 SERIES I ARG20SP170 Debentures Private Placement Taxable 100000 172500000 12-02-2020 04-09-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 04SP23 FVRS1LAC AR39MRoll
INDEX
LINKED
NIFTY50
INDEX,
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR II AR39MVIX,
4525 INE093JA7DO8 SERIES II ARG20SP170 Debentures Private Placement Taxable 100000 172500000 12-02-2020 04-09-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 04SP23 FVRS1LAC AR39MRoll
INDEX
LINKED
NIFTY 50
INDEX
LINKED,
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I AR39MVIX
4526 INE093JA7DP5 SERIES I ARG20SP171 Debentures Private Placement Taxable 100000 195500000 13-02-2020 18-04-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 18AP23 FVRS1LAC AND
AR39MROLL
INDEX
LINKED
NIFTY 50
INDEX
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR II LINKED,
4527 INE093JA7DQ3 SERIES II ARG20SP171 Debentures Private Placement Taxable 100000 195500000 13-02-2020 05-09-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 05SP23 FVRS1LAC AR39MVIX
AND
AR39MROLL
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INDEX
LINKED
NIFTY 50
INDEX
LINKED,
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III AR39MVIX
4528 INE093JA7DR1 SERIES III ARG20SP171 Debentures Private Placement Taxable 100000 195500000 13-02-2020 05-09-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 05SP23 FVRS1LAC AND
AR39MROLL
INDEX
LINKED
HINDUSTAN
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I UNILEVER
4529 INE093JA7DS9 SERIES I ARG20SP172 Debentures Private Placement Taxable 100000 11500000 14-02-2020 06-09-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 06SP23 FVRS1LAC LTD EQUITY
LINKED
NIFTY 50
INDEX,
AR39MVIX
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I
4530 INE093JA7DT7 SERIES I ARG20SP173 Debentures Private Placement Taxable 100000 19000000 17-02-2020 09-09-2023 AND Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 09SP23 FVRS1LAC
AR39MROLL
INDEX
LINKED
NIFTY 50
INDEX,
AR39MVIX
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I
4531 INE093JA7DU5 SERIES I ARG20SP174 Debentures Private Placement Taxable 100000 92000000 20-02-2020 12-09-2023 AND Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 12SP23 FVRS1LAC
AR39MROLL
INDEX
LINKED
NIFTY 50
INDEX,
AR39MVIX
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I
4532 INE093JA7DV3 SERIES I ARG20SP175 Debentures Private Placement Taxable 100000 184000000 28-02-2020 06-07-2026 AND Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 06JL26 FVS1LAC
AR39MROLL
INDEX
LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
NIFTY 50
INDEX
LINKED,
INE093JA7DW1 ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR II AR39MVIX
4533 SERIES II ARG20SP175 Debentures Private Placement Taxable 100000 184000000 28-02-2020 12-04-2027 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 12AP27 FVRS1LAC AND
AR39MROLL
INDEX
LINKED
NIFTY 50
INDEX
LINKED,
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III AR39MVIX
4534 INE093JA7DX9 SERIES III ARG20SP175 Debentures Private Placement Taxable 100000 184000000 28-02-2020 12-04-2027 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 12AP27 FVRS1LAC AND
AR39MROLL
INDEX
LINKED
NIFTY50
INDEX,
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR IV AR39MVIX,
4535 INE093JA7DY7 SERIES IV ARG20SP175 Debentures Private Placement Taxable 100000 184000000 28-02-2020 12-04-2027 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 12AP27 FVRS1LAC AR39MRoll
INDEX
LINKED
NIFTY50
INDEX,
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR V AR39MVIX,
4536 INE093JA7DZ4 SERIES V ARG20SP175 Debentures Private Placement Taxable 100000 184000000 28-02-2020 12-04-2027 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 12AP27 FVRS1LAC AR39MRoll
INDEX
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR
4537 INE093JA7E08 Debentures Private Placement Taxable 100000 396750000 27-01-2021 23-10-2027 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED VIII BR NCD 23OT27 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR IX
4538 INE093JA7E16 Debentures Private Placement 100000 396750000 27-01-2021 23-10-2027 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 23OT27 FVRS1LAC
LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I
4539 INE093JA7E24 Debentures Private Placement Taxable 100000 379500000 30-01-2021 13-06-2024 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 13JU24 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR II
4540 INE093JA7E32 Debentures Private Placement Taxable 100000 379500000 30-01-2021 13-06-2024 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 13JU24 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III
4541 INE093JA7E40 Debentures Private Placement Taxable 100000 379500000 30-01-2021 13-06-2024 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 13JU24 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR IV
4542 INE093JA7E57 Debentures Private Placement Taxable 100000 379500000 30-01-2021 20-03-2026 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 20MR26 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR V
4543 INE093JA7E65 Debentures Private Placement Taxable 100000 379500000 30-01-2021 20-03-2026 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 20MR26 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR VI
4544 INE093JA7E73 Debentures Private Placement Taxable 100000 379500000 30-01-2021 26-10-2027 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 26OT27 FVRS1LAC
LINKED
NIFTY 50
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR VII
4545 INE093JA7E81 Debentures Private Placement Taxable 100000 379500000 30-01-2021 26-10-2027 INDEX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 26OT27 FVRS1LAC
LINKED
NIFTY 50
INDEX,
AR39MVIX
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I
4546 INE093JA7EA5 SERIES I ARG20SP176 Debentures Private Placement Taxable 100000 465750000 03-03-2020 16-04-2027 AND Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 16AP27 FVRS1LAC
AR39MROLL
INDEX
LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
NIFTY 50
INDEX,
AR39MVIX
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR II
4547 INE093JA7EB3 SERIES II ARG20SP176 Debentures Private Placement Taxable 100000 465750000 03-03-2020 24-09-2023 AND Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 24SP23 FVRS1LAC
AR39MROLL
INDEX
LINKED
NIFTY 50
INDEX,
AR39MVIX
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III
4548 INE093JA7EC1 SERIES III ARG20SP176 Debentures Private Placement Taxable 100000 465750000 03-03-2020 07-05-2023 AND Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 07MY23 FVRS1LAC
AR39MROLL
INDEX
LINKED
NIFTY 50
INDEX,
AR39MVIX
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR V
4549 INE093JA7ED9 SERIES V ARG20SP176 Debentures Private Placement Taxable 100000 465750000 03-03-2020 16-04-2027 AND Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 16AP27 FVRS1LAC
AR39MROLL
INDEX
LINKED
NIFTY 50
INDEX,
AR39MVIX
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR IV
4550 INE093JA7EE7 SERIES IV ARG20SP176 Debentures Private Placement Taxable 100000 465750000 03-03-2020 24-09-2023 AND Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 24SP23 FVRS1LAC
AR39MROLL
INDEX
LINKED
NIFTY 50
INDEX,
AR39MVIX
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR VI
4551 INE093JA7EF4 SERIES VI ARG20SP176 Debentures Private Placement Taxable 100000 465750000 03-03-2020 24-09-2023 AND Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 24SP23 FVRS1LAC
AR39MROLL
INDEX
LINKED
NIFTY 50
INDEX,
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR VII
4552 INE093JA7EG2 SERIES VII ARG20SP176 Debentures Private Placement Taxable 100000 465750000 03-03-2020 24-09-2023 AR39MVIX Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 24SP23 FVRS1LAC
AND
AR39MROLL
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
INDEX
LINKED
NIFTY 50
INDEX,
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR AR39MVIX
4553 INE093JA7EH0 SERIES VIII ARG20SP176 Debentures Private Placement Taxable 100000 465750000 03-03-2020 16-04-2027 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED VIII BR NCD 16AP27 FVRS1LAC AND
AR39MROLL
INDEX
NIFTY 50
INDEX,
AR39MVIX
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR IX
4554 INE093JA7EI8 SERIES IX ARG20SP176 Debentures Private Placement Taxable 100000 465750000 03-03-2020 16-04-2027 AND Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 16AP27 FVRS1LAC
AR39MROLL
INDEX
LINKED
NIFTY
LINKED AND
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I
4555 INE093JA7EJ6 SERIES I ARG20SP177 Debentures Private Placement Taxable 100000 155200000 05-03-2020 04-01-2024 BHARAT Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 04JN24 FVRS1LAC
BOND ETF
LINKED
NIFTY 50
INDEX
LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I AR39MVIX
4556 INE093JA7EK4 SERIES I ARG20SP178 Debentures Private Placement Taxable 100000 52250000 12-03-2020 03-10-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 03OT23 FVRS1LAC AND
AR39MROLL
INDEX
LINKED
NIFTY 50
INDEX
LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR II AR39MVIX
4557 INE093JA7EL2 SERIES II ARG20SP178 Debentures Private Placement Taxable 100000 52250000 12-03-2020 03-10-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 03OT23 FVRS1LAC AND
AR39MROLL
INDEX
LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Series Security Description Type of Instrument Mode of Issue Category of Issue Face Value(in Rs.) Issue Size(in Rs.) Redemption/Conversion Interest Credit Rating Instrument Status
Allotment (%) Ownership Nature
Payment
NIFTY 50
INDEX
LINKED
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III AR39MVIX
4558 INE093JA7EM0 SERIES III ARG20SP178 Debentures Private Placement Taxable 100000 52250000 12-03-2020 03-10-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 03OT23 FVRS1LAC AND
AR39MROLL
INDEX
LINKED
NIFTY 50
INDEX
LINKED,
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR I AR39MVIX
4559 INE093JA7EN8 SERIES I ARG20SP179 Debentures Private Placement Taxable 100000 322000000 13-03-2020 04-10-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 04OT23 FVRS1LAC AND
AR39MROLL
INDEX
LINKED
NIFTY 50
INDEX
LINKED,
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR II AR39MVIX
4560 INE093JA7EO6 SERIES II ARG20SP179 Debentures Private Placement Taxable 100000 322000000 13-03-2020 04-10-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 04OT23 FVRS1LAC AND
AR39MROLL
INDEX
LINKED
NIFTY 50
INDEX
LINKED,
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR III AR39MVIX
4561 INE093JA7EP3 SERIES III ARG20SP179 Debentures Private Placement Taxable 100000 322000000 13-03-2020 17-05-2023 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 17MY23 FVRS1LAC AND
AR39MROLL
INDEX
LINKED
NIFTY 50
INDEX
LINKED,
ANAND RATHI GLOBAL ANAND RATHI GLOBAL FINANCE LIMITED SR IV AR39MVIX
4562 INE093JA7EQ1 SERIES IV ARG20SP179 Debentures Private Placement Taxable 100000 322000000 13-03-2020 26-04-2027 Simple On Maturity Finance Non PSU Other Active
FINANCE LIMITED BR NCD 26AP27 FVRS1LAC AND
AR39MROLL
INDEX
LINKED
NSDL - Bonds & Debentures
List of Securities
Date of Frequency of
Date of Coupon Rate Coupon Type Business Sector Type of Issuer- Type of Issuer-
Sr. No. ISIN Name of Issuer Serie