Web Analytics
AA
NAVI FINSERV LIMITED
Face Value
1000.00
Coupon Rate
9.20
Yield
XXXX
Maturity Date
08 Dec 2023
Type of Bond
N/A
Issuer
PRIVATE SECTOR
Rated By
CARE AA/
ISIN : INE342T07189
Security Description
Instrument Type
Debentures
Mode Of Issue
PUBLIC ISSUE
Issue Date
08 Jul 2022
Issue Size
346.03
Allotment Date
08 Jun 2022
Redemption Date
08 Dec 2023
Coupon Type
FIXED INTEREST
Frequency
MONTHLY
Tier
N/A

Cash Flow
Download
Investments
1093.87
Units
- 10 +
Interest Earned
92
Total Returns
1092

Debt Quality
Security
SECURED
Seniority
N/A
Listed
LISTED

Issuer Information
NAVI FINSERV LIMITED
Year Founded
0
Head Office
N/A
Ownership
PRIVATE SECTOR
Type of Issuer
PRIVATE SECTOR
Business Sector
Others
Current MD/CEO
N/A
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