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A-
YES BANK LIMITED
Face Value
1000000.00
Coupon Rate
9.20
Yield
XXXX
Maturity Date
30 Jun 2025
Type of Bond
Issuer
NON PSU
Rated By
CRISIL A-/Positive
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ISIN : INE528G08287
Security Description
Instrument Type
BONDS
Mode Of Issue
PRIVATE PLACEMENT
Issue Date
29 Jun 2022
Issue Size
554.20
Allotment Date
29 Jun 2015
Redemption Date
30 Jun 2025
Coupon Type
FIXED INTEREST
Frequency
ANNUALLY
Tier
Cash Flow
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Investments
1096141.10
Units
-
10
+
Interest Earned
92000
Total Returns
1092000
Debt Quality
Security
SECURED
Seniority
SUBORDINATE TIER 2
Listed
LISTED
Issuer Information
YES BANK LIMITED
Year Founded
Head Office
Ownership
NON PSU
Type of Issuer
BANK
Business Sector
N/A
Current MD/CEO
Offer Documents
Prospectus/Private Placement Memorandum
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