Web Analytics
AA+
BANK OF BARODA
Face Value
1000000.00
Coupon Rate
8.50
Yield
XXXX
Call Date
28/07/2025
Type of Bond
Issuer
PUBLIC SECTOR UNDERTAKING (PSU)
Rated By
CARE AA+/Stable
ISIN : INE028A08224
Security Description
Instrument Type
BONDS
Mode Of Issue
PRIVATE PLACEMENT
Issue Date
28 Jul 2022
Issue Size
981.00
Allotment Date
28 Jul 2020
Redemption Date
28/07/2025
Coupon Type
FIXED INTEREST
Frequency
ANNUALLY
Tier

Cash Flow
Download
Investments
1149080.82
Units
- 10 +
Interest Earned
85000
Total Returns
1085000

Debt Quality
Security
SECURED
Seniority
ADDITIONAL TIER 1
Listed
LISTED

Issuer Information
BANK OF BARODA
Year Founded
Head Office
Ownership
PUBLIC SECTOR UNDERTAKING (PSU)
Type of Issuer
BANK
Business Sector
N/A
Current MD/CEO
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