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Company ISIN Number Name of the Instrument
INE529V08011
INE660N08037
INE660N08094
INE660N08045
INE660N08060
INE660N08078
INE660N08086
INE660N08102
INE660N08128
INE660N08052
INE660N08110
INE660N08029
S&J GRANULATE SOLUTIONS PRIVATE LIMITED
16.43% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
S. D. CORPORATION PRIVATE LIMITED
9.95% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. DATE OF MATURITY
S. D. CORPORATION PRIVATE LIMITED
9.25% UNSECURED REDEEMABLE RATED UNLISTED NON CONVERTIBLE DEBENTURE.
S. D. CORPORATION PRIVATE LIMITED
9.95% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. DATE OF MATURITY
S. D. CORPORATION PRIVATE LIMITED
9.75% UNSECURED REDEEMABLE RATED UNLISTED TAXABLE NON CONVERTIBLE DEBENTURE.
S. D. CORPORATION PRIVATE LIMITED
9.75% UNSECURED REDEEMABLE RATED UNLISTED TAXABLE NON CONVERTIBLE DEBENTURE.
S. D. CORPORATION PRIVATE LIMITED
9.25% UNSECURED REDEEMABLE RATED UNLISTED NON CONVERTIBLE DEBENTURE.
S. D. CORPORATION PRIVATE LIMITED
9.35% UNSECURED RATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES A.
S. D. CORPORATION PRIVATE LIMITED
ZERO COUPON UNSECURED RATED UNLISTED REDEEMABLE NON CONVERTIBLE
S. D. CORPORATION PRIVATE LIMITED
9.95% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. DATE OF MATURITY
S. D. CORPORATION PRIVATE LIMITED
9.35% UNSECURED RATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES B.
S. D. CORPORATION PRIVATE LIMITED
10% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. DATE OF MATURITY
INE786V07019
INE786V07027
INE786V07035
INE786V08017
INE786V08025
INE786V07043
INE786V07050
INE559N07017
INE226H07049
INE226H07023
INE226H07031
INE226H07056
INE226H07064
S.M.I.L.E. MICROFINANCE LIMITED
12.26% XIRR SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
S.M.I.L.E. MICROFINANCE LIMITED
11.40% XIRR SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
S.M.I.L.E. MICROFINANCE LIMITED
12.64% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1-
S.M.I.L.E. MICROFINANCE LIMITED
15.50% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1-
S.M.I.L.E. MICROFINANCE LIMITED
15.50% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1-
S.M.I.L.E. MICROFINANCE LIMITED
12.96% SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
S.M.I.L.E. MICROFINANCE LIMITED
12.96% SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
S.R.G. HOUSING FINANCE LIMITED
RESET RATE LINKSED SECURED RATED LISTED REDEEMABLE NON COVNERTIBLE
SADBHAV ENGINEERING LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
SADBHAV ENGINEERING LIMITED
ICICI BANK BASE RATE + SPREAD 2.25% SECURED NON CONVERTIBLE REDEEMABLE
SADBHAV ENGINEERING LIMITED
ICICI BANK BASE RATE + SPREAD 2.25% SECURED NON CONVERTIBLE REDEEMABLE
SADBHAV ENGINEERING LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 2.
SADBHAV ENGINEERING LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 3.
INE764L07033
INE764L07066
INE764L07017
INE764L07041
INE764L07090
INE764L07058
INE764L07025
INE764L07074
INE764L07082
INE764L07108
INE764L07132
INE764L07140
INE764L07116
SADBHAV INFRASTRUCTURE PROJECT LIMITED
RESET RATE SECURED REDEEMABLE TAXABLE NON CONVERTIBLE DEBENTURES. SERIES I.
SADBHAV INFRASTRUCTURE PROJECT LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
SADBHAV INFRASTRUCTURE PROJECT LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBEL DEBENTURES. SERIES 1.
SADBHAV INFRASTRUCTURE PROJECT LIMITED
RESET RATE SECURED REDEEMABLE TAXABLE NON CONVERTIBLE DEBENTURES. SERIES II.
SADBHAV INFRASTRUCTURE PROJECT LIMITED
2.60% SECURED REDEEMABLE TAXABLE NON CONVERTIBLE DEBENTURES. TRANCHE 1
SADBHAV INFRASTRUCTURE PROJECT LIMITED
RESET RATE SECURED REDEEMABLE TAXABLE NON CONVERTIBLE DEBENTURES. SERIES III.
SADBHAV INFRASTRUCTURE PROJECT LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBEL DEBENTURES. SERIES 2.
SADBHAV INFRASTRUCTURE PROJECT LIMITED
RESET RATE SECURED REDEEMABLE TAXABLE NON CONVERTIBLE DEBENTURES. SERIES B.
SADBHAV INFRASTRUCTURE PROJECT LIMITED
RESET RATE SECURED REDEEMABLE TAXABLE NON CONVERTIBLE DEBENTURES. SERIES C.
SADBHAV INFRASTRUCTURE PROJECT LIMITED
2.60% SECURED REDEEMABLE TAXABLE NON CONVERTIBLE DEBENTURES. TRANCHE 1
SADBHAV INFRASTRUCTURE PROJECT LIMITED
ZERO COUPON SECURED REDEEMABLE RATED TAXABLE NON CONVERTIBLE
SADBHAV INFRASTRUCTURE PROJECT LIMITED
ZERO COUPON SECURED REDEEMABLE RATED TAXABLE NON CONVERTIBLE
SADBHAV INFRASTRUCTURE PROJECT LIMITED
2.60% SECURED REDEEMABLE TAXABLE NON CONVERTIBLE DEBENTURES. TRANCHE 1
INE764L07157
INE764L07124
INE764L07165
INE084T07013
INE084T07021
INE334W07016
INE334W07024
INE926T07015
INE811P07058
SAHYOG HOMES LIMITED INE088M07027
INE785P07013
INE363H07016
INE218S07027
SADBHAV INFRASTRUCTURE PROJECT LIMITED
ZERO COUPON SECURED REDEEMABLE RATED TAXABLE NON CONVERTIBLE
SADBHAV INFRASTRUCTURE PROJECT LIMITED
2.60% SECURED REDEEMABLE TAXABLE NON CONVERTIBLE DEBENTURES. TRANCHE 1
SADBHAV INFRASTRUCTURE PROJECT LIMITED
ZERO COUPON SECURED REDEEMABLE RATED TAXABLE NON CONVERTIBLE
SAFAL DEVELOPERS PRIVATE LIMITED
24% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
SAFAL DEVELOPERS PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 2 &
SAHA ESTATE DEVELOPERS PRIVATE LIMITED
19.75% SECURED REDEEMABLE NON COVNERTIBLE DEBENTURES. LETTER OF
SAHA ESTATE DEVELOPERS PRIVATE LIMITED
19.75% SECURED REDEEMABLE NON COVNERTIBLE DEBENTURES. LETTER OF
SAHA INFRATECH PRIVATE LIMITED
17.57% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE 1.
SAHYADRI AGENCIES LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SAI ASHRAY DEVELOPERS PRIVATE LIMITED
15% SECURED GUARANTEED OPTIONALLY CONVERTIBLE
SAI REGENCY POWER CORPN PVT LTD
12% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE A.
SAI SHRADDHA VIVEK PROJECT DEVELOPERS PRIVATE LIMITED
18.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II.
INE218S07118
INE508L07018
INE347T07030
INE374I07011
INE374I07029
INE637O07043
INE637O07068
INE637O07092
INE637O07050
INE637O07076
INE637O07084
INE637O08017
INE472X07012
SAI SHRADDHA VIVEK PROJECT DEVELOPERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VI.
SAI SPURTHI POWER PRIVATE LIMITED
11% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SAI SRUSHTI BUILDERS PRIVATE LIMITED
19.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES III.
SAI WARDHA POWER GENERATION LIMITED
16% SECURED SENIOR UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SAI WARDHA POWER GENERATION LIMITED
16% SECURED SENIOR UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SAIJA FINANCE PRIVATE LIMITED
12.78% XIRR SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
SAIJA FINANCE PRIVATE LIMITED
14.30% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1-
SAIJA FINANCE PRIVATE LIMITED
14.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1-
SAIJA FINANCE PRIVATE LIMITED
13.5267% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1-
SAIJA FINANCE PRIVATE LIMITED
13.5267% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1-
SAIJA FINANCE PRIVATE LIMITED
13.5267% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1-
SAIJA FINANCE PRIVATE LIMITED
15% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
SAISONS TRADE & INDUSTRY PRIVATE LIMITED
13.05% SECURED SENIOR RATED TAXABLE TRANSFERBLE REDEEMABLE NON
SAKTHI FINANCE LIMITED INE302E07045
SAKTHI FINANCE LIMITED INE302E07052
SAKTHI FINANCE LIMITED INE302E07037
SAKTHI FINANCE LIMITED INE302E07094
SAKTHI FINANCE LIMITED INE302E07102
SAKTHI FINANCE LIMITED INE302E07060
SAKTHI FINANCE LIMITED INE302E07078
SAKTHI FINANCE LIMITED INE302E07086
SAKTHI FINANCE LIMITED INE302E07110
SAKTHI FINANCE LIMITED INE302E07128
SAKTHI FINANCE LIMITED INE302E07136
SAKTHI FINANCE LIMITED INE302E07144
SAKTHI FINANCE LIMITED INE302E07151
11.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES IV. SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES V. DATE OF MATURITY 11.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES III. 10.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. OPTION II. 11.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VI. 11.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VII. SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VIII. DATE OF MATURITY 10.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF 10.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. OPTION V. 11% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF 11% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SAKTHI FINANCE LIMITED INE302E07169
SAKTHI FINANCE LIMITED INE302E08019
INE401W08011
INE401W08029
INE405W08012
INE272V08018
INE272V08026
INE272V08034
SALEM TOLLWAYS LIMITED INE026K08011
INE346T07024
INE413U07012
INE413U07038
INE413U07046
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. OPTION VIII. 13.50% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SALARPURIA HOUSING PRIVATE LIMITED
1% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTUES. DATE OF MATURITY
SALARPURIA HOUSING PRIVATE LIMITED
1% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTUES. DATE OF MATURITY
SALARPURIA REAL ESTATES PRIVATE LIMITED
1% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTUES. DATE OF MATURITY
SALARPURIA REALTORS PRIVATE LIMITED
1% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SALARPURIA REALTORS PRIVATE LIMITED
1% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SALARPURIA REALTORS PRIVATE LIMITED
1% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES ZERO COUPON UNSECURED OPTIONALLY CONVERTIBLE DEBENTURES. SERIES
SALIENT FINANCIAL SOLUTIONS LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SAMASTA MICROFINANCE LIMITED
12.78% XIRR SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
SAMASTA MICROFINANCE LIMITED
12.51% XIRR SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 151-
SAMASTA MICROFINANCE LIMITED
11.40% XIRR SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
INE413U08010
INE413U07020
INE992V07013
INE621O07039
INE621O07021
INE621O07047
INE621O07054
INE551U07019
INE750H07105
INE750H07071
INE750H07089
INE663T07014
INE819T08010
SAMASTA MICROFINANCE LIMITED
16.90% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
SAMASTA MICROFINANCE LIMITED
15.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
SAMBANDH FINSERVE PRIVATE LIMITED
12.85% XIRR SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
SAMRUDDHI REALTY LIMITED
20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
SAMRUDDHI REALTY LIMITED
20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE 1
SAMRUDDHI REALTY LIMITED
20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 2.
SAMRUDDHI REALTY LIMITED
20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 3.
SAMUNNATI FINANCIAL INTERMEDIATION & SERVICES PRIVATE LIMITED
NIFTY 50 INDEX LINKED SECURED RATED UNLISTED REDEEMABLE NON CONVERTIBLE
SAMVARDHANA MOTHERSON INTERNATIONAL LIMITED
ZERO COUPON SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. LETTER OF
SAMVARDHANA MOTHERSON INTERNATIONAL LIMITED
ZERO COUPON SECURED NON-CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF
SAMVARDHANA MOTHERSON INTERNATIONAL LIMITED
ZERO COUPON SECURED NON-CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF
SANDOR LIFE SCIENCES PRIVATE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SANDOR MEDICAIDS PRIVATE LIMITED
16.43% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
INE437T07013
INE471X08012
INE676Q07020
INE676Q07038
INE444M08012
INE635T07020
INE635T07038
INE635T07046
INE532O08010
INE532O08028
INE532O08036
INE532O08044
INE531O08012
SANJAY CONSTRUCTION AND FINANCE PVT LTD
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SANKHYA FINANCIAL SERVICES PRIVATE LIMITED
9.50% UNSECURED UNLISTED TAXABLE REDEEMABLE NON CONVERTIBLE
SANMAR ENGINEERING SERVICES LIMITED
8% SECURED REDEEMABLE OPTIONALLY CONVERTIBLE
SANMAR ENGINEERING SERVICES LIMITED
3% SECURED NON CONVERTIBLE DEBENTURES. DATE OF REDEMPTION 18/04/2023
SAPPHIRE INDUSTRIAL INFRASTRUCTURES PRIVATE LIMITED
14% UNSECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE
SARA ESTATES PRIVATE LIMITED
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B. DATE OF MATURITY
SARA ESTATES PRIVATE LIMITED
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES C. DATE OF MATURITY
SARA ESTATES PRIVATE LIMITED
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES D. DATE OF MATURITY
SARE JUBILEE SHELTERS PRIVATE LIMITED
15% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. LETTER OF
SARE JUBILEE SHELTERS PRIVATE LIMITED
15% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. LETTER OF
SARE JUBILEE SHELTERS PRIVATE LIMITED
15% UNSECURED FULLY CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF
SARE JUBILEE SHELTERS PRIVATE LIMITED
15% UNSECURED FULLY CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF
SARE REALTY PROJECTS PRIVATE LIMITED
15.50% UNSECURED COMPLUSORILY CONVERTIBLE DEBENTURES. TRANCHE
INE531O08020
INE531O07014
INE531O07022
INE531O08038
INE531O07030
INE531O08053
INE531O08046
INE531O07048
INE565O08010
INE565O08028
INE565O08036
INE565O08044
INE565O08051
SARE REALTY PROJECTS PRIVATE LIMITED
15.50% UNSECURED COMPLUSORILY CONVERTIBLE DEBENTURES. TRANCHE
SARE REALTY PROJECTS PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON CONERTIBLE DEBENTURES. LETTER OF ALLOTMENT.
SARE REALTY PROJECTS PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON CONERTIBLE PARTLY PAID DEBENTURES. LETTER OF
SARE REALTY PROJECTS PRIVATE LIMITED
15.50% UNSECURED COMPLUSORILY CONVERTIBLE DEBENTURES. SERIES A.
SARE REALTY PROJECTS PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON CONERTIBLE PARTLY PAID DEBENTURES. LETTER OF
SARE REALTY PROJECTS PRIVATE LIMITED
15% UNSECURED COMPLUSORILY CONVERTIBLE DEBENTURES. SERIES C.
SARE REALTY PROJECTS PRIVATE LIMITED
15.50% UNSECURED COMPLUSORILY CONVERTIBLE DEBENTURES. SERIES B.
SARE REALTY PROJECTS PRIVATE LIMITED
RESET RATE SECURED UNLISTED REDEEMABLE NON CONVERTIBLE PARTLY PAID DEBENTURES. SERIES
SARE SAMAAG REALTY PRIVATE LIMITED
15% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. SERIES 1.
SARE SAMAAG REALTY PRIVATE LIMITED
15% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. SERIES 2.
SARE SAMAAG REALTY PRIVATE LIMITED
15% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. SERIES 3.
SARE SAMAAG REALTY PRIVATE LIMITED
15% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. SERIES 4.
SARE SAMAAG REALTY PRIVATE LIMITED
15% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. SERIES 5.
INE565O08069
INE565O08077
INE706T07011
INE706T07029
INE963J07035
INE359S07011
INE359S07029
INE359S07037
INE359S07045
INE359S07052
INE359S07060
INE359S07078
INE359S07086
SARE SAMAAG REALTY PRIVATE LIMITED
15% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. SERIES 6.
SARE SAMAAG REALTY PRIVATE LIMITED
15% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. SERIES 7.
SARVESH BUILDERS (INDIA) PRIVATE LIMITED
16% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A, B
SARVESH BUILDERS (INDIA) PRIVATE LIMITED
16% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1-
SATELLITE DEVELOPERS LIMITED
ZERO COUPON SECURED OPTIONALLY CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF
SATELLITE VIJAY DEVELOPERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A. DATE OF MATURITY 28/02/2019SATELLITE VIJAY
DEVELOPERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B. DATE OF MATURITY 28/02/2019SATELLITE VIJAY
DEVELOPERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES C. DATE OF MATURITY 28/02/2019SATELLITE VIJAY
DEVELOPERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E.
SATELLITE VIJAY DEVELOPERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES D.
SATELLITE VIJAY DEVELOPERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES F.
SATELLITE VIJAY DEVELOPERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES G.
SATELLITE VIJAY DEVELOPERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES H.
INE359S07094
INE359S07102
INE359S07110
INE924M08062
INE924M08096
INE924M08104
INE924M08112
INE836B07238
INE836B07048
INE836B07196
INE836B07261
INE836B07246
INE836B07204
SATELLITE VIJAY DEVELOPERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
SATELLITE VIJAY DEVELOPERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES J.
SATELLITE VIJAY DEVELOPERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES K.
SATGURU CORPORATE SERVICES PRIVATE LIMITED
0.01% UNSECUED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
SATGURU CORPORATE SERVICES PRIVATE LIMITED
0.01% UNSECUED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES C.
SATGURU CORPORATE SERVICES PRIVATE LIMITED
0.01% UNSECUED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES F.
SATGURU CORPORATE SERVICES PRIVATE LIMITED
0.01% UNSECUED OPTIONALLY CONVERTIBLE DEBENTURES. SERIES A. DATE OF MATURITY
SATIN CREDITCARE NETWORK LIMITED
12.50% SECURED REDEEMABLE NON CONVERTIBLE DEDEBENTURES. F GROUP
SATIN CREDITCARE NETWORK LIMITED
RESET RATE SECURED NON CONVERTIBLE DEBENTURES. SERIES II. DATE OF MATURITY
SATIN CREDITCARE NETWORK LIMITED
14.65% SECURED REDEEMABLE NON CONVERTIBLE DEDEBENTURES. F GROUP
SATIN CREDITCARE NETWORK LIMITED
11% XIRR SECURED REDEEMABLE NON CONVERTIBLE DEDEBENTURES. F GROUP
SATIN CREDITCARE NETWORK LIMITED
12.50% SECURED REDEEMABLE NON CONVERTIBLE DEDEBENTURES. F GROUP
SATIN CREDITCARE NETWORK LIMITED
14% SECURED REDEEMABLE NON CONVERTIBLE DEDEBENTURES. F GROUP
INE836B07212
INE836B08079
INE836B08087
INE836B07253
INE836B07170
INE836B07303
INE836B07071
INE836B08012
INE836B07287
INE836B07139
INE836B08152
INE836B07097
INE836B08020
SATIN CREDITCARE NETWORK LIMITED
14.30% SECURED REDEEMABLE NON CONVERTIBLE DEDEBENTURES. F GROUP
SATIN CREDITCARE NETWORK LIMITED
14.30% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
SATIN CREDITCARE NETWORK LIMITED
13% UNSECURED REDEEMABLE NON CONVERTIBLE DEDEBENTURES. SERIES
SATIN CREDITCARE NETWORK LIMITED
12.50% SECURED REDEEMABLE NON CONVERTIBLE DEDEBENTURES. F GROUP
SATIN CREDITCARE NETWORK LIMITED
13.75% SECURED REDEEMABLE NON CONVERTIBLE DEDEBENTURES. F GROUP
SATIN CREDITCARE NETWORK LIMITED
13.50% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATRE OF
SATIN CREDITCARE NETWORK LIMITED
14.70% SECURED REDEEMABLE INR DENOMINATED NON CONVERTIBLE
SATIN CREDITCARE NETWORK LIMITED
18% XIRR UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SATIN CREDITCARE NETWORK LIMITED
12% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
SATIN CREDITCARE NETWORK LIMITED
14.37% SECURED REDEEMABLE NON CONVERTIBLE DEDEBENTURES. SERIES
SATIN CREDITCARE NETWORK LIMITED
12.25% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
SATIN CREDITCARE NETWORK LIMITED
14.70% SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF
SATIN CREDITCARE NETWORK LIMITED
16.90% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES F
INE836B07279
INE836B08038
INE836B07162
INE836B08046
INE836B08053
INE836B08061
INE836B08095
INE836B08103
INE836B07311
INE836B08111
INE836B08129
INE836B08137
INE836B07220
SATIN CREDITCARE NETWORK LIMITED
13.35% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
SATIN CREDITCARE NETWORK LIMITED
17.75% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES F
SATIN CREDITCARE NETWORK LIMITED
14.50% SECURED REDEEMABLE NON CONVERTIBLE DEDEBENTURES. SERIES F
SATIN CREDITCARE NETWORK LIMITED
SBI BASE RATE LINKED UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES F GROUP DEBT INSTRUMENT. SATIN CREDITCARE
NETWORK LIMITED14.15% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SATIN CREDITCARE NETWORK LIMITED
15.5% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1-
SATIN CREDITCARE NETWORK LIMITED
15.50% UNSECURED REDEEMABLE NON CONVERTIBLE DEDEBENTURES. F GROUP
SATIN CREDITCARE NETWORK LIMITED
15% UNSECURED REDEEMABLE NON CONVERTIBLE DEDEBENTURES. F GROUP
SATIN CREDITCARE NETWORK LIMITED
12.06% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATRE OF
SATIN CREDITCARE NETWORK LIMITED
15% UNSECURED REDEEMABLE NON CONVERTIBLE DEDEBENTURES. F GROUP
SATIN CREDITCARE NETWORK LIMITED
15% UNSECURED REDEEMABLE NON CONVERTIBLE DEDEBENTURES. F GROUP
SATIN CREDITCARE NETWORK LIMITED
15% UNSECURED REDEEMABLE NON CONVERTIBLE DEDEBENTURES. F GROUP
SATIN CREDITCARE NETWORK LIMITED
13.25% SECURED REDEEMABLE NON CONVERTIBLE DEDEBENTURES. F GROUP
INE404W08015
INE404W08023
INE037S07047
INE037S07021
INE018E08029
INE018E08037
INE018E08045
INE018E08094
INE018E08052
INE018E08060
INE018E08086
INE018E08078
INE912E08AC1
SAVITRIMATA REALTORS PRIVATE LIMITED
1% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTUES. SERIES 2014-15. DATE OF
SAVITRIMATA REALTORS PRIVATE LIMITED
1% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTUES. SERIES 2015-16. DATE OF
SAYA HOMES PRIVATE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
SAYA HOMES PRIVATE LIMITED
14% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
SBI CARDS & PAYMENT SERVICES PRIVATE LIMITED
9.95% Unsecured Non Convertible Debenture. Letter of Allotment . Date of Maturity : 22/01/2018
SBI CARDS & PAYMENT SERVICES PRIVATE LIMITED
9.85% Unsecured Non-Convertible Debenture. Letter of Allotment. Series- SBIC 03. Date of Maturity 28/03/2019
SBI CARDS & PAYMENT SERVICES PRIVATE LIMITED
9.5% Unsecured Non-Convertible Debenture. Subordinate Debt. Series- SBIC 04. Letter of Allotment.
SBI CARDS & PAYMENT SERVICES PRIVATE LIMITED
7.55% UNSECURED RATED UNLISTED REDEEMABLE TAXABLE NON CONVERTIBLE
SBI CARDS & PAYMENT SERVICES PRIVATE LIMITED
9% UNSECURED REDEEMABLE TAXABLE SUBORDINATED NON CONVERTIBLE
SBI CARDS & PAYMENT SERVICES PRIVATE LIMITED
9.65% UNSECURED REDEEMABLE TAXABLE SUBORDINATED NON CONVERTIBLE
SBI CARDS & PAYMENT SERVICES PRIVATE LIMITED
8.30% UNSECURED RATED REDEEMABLE TAXABLE SUBORDINATED NON CONVERTIBLE
SBI CARDS & PAYMENT SERVICES PRIVATE LIMITED
8.10% UNSECURED REDEEMABLE TAXABLE SUBORDINATED NON CONVERTIBLE
SBI GLOBAL FACTORS LIMITED
8.75% Unsecured Subordinated Redeemable Non-Convertible Debenture. Series -TIER II Bond. Date of
INE912E08AD9
INE729R08015
INE935H08019
INE935H08027
INE935H08035
INE286U07020
INE286U07012
INE496K07018
INE285J07017
INE285J08015
INE761T07016
INE475U07011
INE291T07014
SBI GLOBAL FACTORS LIMITED
9.22% Unsecured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 29/07/2021
SBK PROPERTIES PRIVATE LIMITED
ZERO COUPON UNSECURED REDEEMABLE NON CONVERTIBLE
SEAVIEW DEVELOPERS LIMITED
15% UNSECURED COMULSORILY CONVERTIBLE DEBENTURES. DATE OF
SEAVIEW DEVELOPERS LIMITED
15% UNSECURED COMULSORILY CONVERTIBLE DEBENTURES. DATE OF
SEAVIEW DEVELOPERS LIMITED
15% UNSECURED COMULSORILY CONVERTIBLE DEBENTURES. DATE OF
SEAWAYS SHIPPING AND LOGISTICS LIMITED
6% SECURED UNLISTED SENIOR REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SEAWAYS SHIPPING AND LOGISTICS LIMITED
13.50% SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
SECOND VIVEKANANDA BRIDGE TOLLWAY COMPANY PRIVATE LIMITED
10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I. LETTER OF ALLOTMENT. DATE OF MATURITY SECURITY AND
INTELLIGENCE SERVICES INDIA LTD.
12.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. 2 SERIES.
SECURITY AND INTELLIGENCE SERVICES INDIA LTD.
UNSECURED COMPULSORILY CONVERTIBEL DEBENTURES. DATE OF
SEI ADHAVAN POWER PRIVATE LIMITED
9.50% SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SEI ADITI POWER PRIVATE LIMITED
9.50% SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SEI ADITYASHAKTI PRIVATE LIMITED
9.50% SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
INE460U07013
INE474U07014
INE760T07018
INE292T07012
INE904X07014
INE596W08018
INE717T07018
INE473U07016
INE961M08015
INE926J08022
INE926J08014
SESA STERLITE LIMITED INE205A07014
SESA STERLITE LIMITED INE205A07022
SEI BHEEM PRIVATE LIMITED
9.50% SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SEI DIAMOND PRIVATE LIMITED
13.5% SECURED NOT GUARANTEED SENIOR TAXABLE NON CUMULATIVE UNRATED
SEI KATHIRAVAN POWER PRIVATE LIMITED
9.50% SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SEI PHOEBUS PRIVATE LIMITED
9.50% SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SEI SRIRAM POWER PRIVATE LIMITED
9.50% SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SEI SUN POWER PRIVATE LIMITED
SBI BASE RATE + 500 BASIS POINT UNSECURED REDEEMABLE NON CONVERTIBLE
SEI SURYASHAKTI POWER PRIVATE LIMITED
9.50% SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SEI VENUS PRIVATE LIMITED
13.5% SECURED NOT GUARANTEED SENIOR TAXABLE NON CUMULATIVE UNRATED
SEPSET CONSTRUCTIONS LIMITED
RESET RATE UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SERCO BPO PRIVATE LIMITED
13% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SERCO BPO PRIVATE LIMITED
13% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 01 9.36% SECURED REDEEMBALE NON CONVERTIBLE DEBENTURES. LETTER OF 9.36% SECURED REDEEMBALE NON CONVERTIBLE DEBENTURES. LETTER OF
INE024J07028
INE627P08015
INE627P08023
INE265U07016
INE265U07040
INE265U07057
INE265U07065
INE265U07024
INE265U07032
INE265U07073
INE265U07081
INE265U07099
INE265U07115
SEW INFRASTRUCTURE LIMITED
11.40% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 08/07/2021
SGGD PROJECTS DEVELOPMENT PRIVATE LIMITED
UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
SGGD PROJECTS DEVELOPMENT PRIVATE LIMITED
UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B.
SHAH HOUSECON PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
SHAH HOUSECON PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES C.
SHAH HOUSECON PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES D.
SHAH HOUSECON PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E.
SHAH HOUSECON PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
SHAH HOUSECON PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B.
SHAH HOUSECON PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES F.
SHAH HOUSECON PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES G.
SHAH HOUSECON PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES H.
SHAH HOUSECON PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
INE776W08016
INE776W08024
INE776W08032
INE061O07020
INE177O07024
INE109R07012
INE109R07020
INE905V07015
INE934H08012
INE934H08020
INE934H08038
INE934H08046
INE934H08053
SHAKUMBHARI SOLAR POWER PROJECTS PRIVATE LIMITED
17% UNSECURED COMPULSORILY CONVERTIBEL DEBENTURES. SERIES A.
SHAKUMBHARI SOLAR POWER PROJECTS PRIVATE LIMITED
17% UNSECURED COMPULSORILY CONVERTIBEL DEBENTURES. SERIES B.
SHAKUMBHARI SOLAR POWER PROJECTS PRIVATE LIMITED
13% UNSECURED REDEEMABLE NON CONVERTIBEL DEBENTURES. LETTER OF
SHAMBHAVI REALTY PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 30/06/2019
SHANDERS PROPERTIES PRIVATE LIMITED
17.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B. DATE OF MATURITY SHANDERS REAL ESTATE
DEVELOPERS PVT LTD12% SECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF
SHANDERS REAL ESTATE DEVELOPERS PVT LTD
12% SECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SHANTA MANGESH DEVELOPERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SHANTINIKETAN PROPERTIES LIMITED
15% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SHANTINIKETAN PROPERTIES LIMITED
15% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SHANTINIKETAN PROPERTIES LIMITED
15% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SHANTINIKETAN PROPERTIES LIMITED
15% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SHANTINIKETAN PROPERTIES LIMITED
15% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
INE934H08061
INE170M08021
INE170M08013
INE170M08039
INE170M08047
INE170M08054
INE192M08017
INE192M08025
INE192M08033
INE192M08041
INE192M08058
INE192M08066
INE192M08074
SHANTINIKETAN PROPERTIES LIMITED
15% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SHAPOORJI PALLONJI ENERGY (GUJARAT) PRIVATE LIMITED
9.87% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B.
SHAPOORJI PALLONJI ENERGY (GUJARAT) PRIVATE LIMITED
9.90% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
SHAPOORJI PALLONJI ENERGY (GUJARAT) PRIVATE LIMITED
9.75% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
SHAPOORJI PALLONJI ENERGY (GUJARAT) PRIVATE LIMITED
9.75% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B.
SHAPOORJI PALLONJI ENERGY (GUJARAT) PRIVATE LIMITED
9.75% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES C.
SHAPOORJI PALLONJI INFRASTRUCTURE CAPITAL COMPANY PRIVATE LIMITED
11% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
SHAPOORJI PALLONJI INFRASTRUCTURE CAPITAL COMPANY PRIVATE LIMITED
11% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B.
SHAPOORJI PALLONJI INFRASTRUCTURE CAPITAL COMPANY PRIVATE LIMITED
11% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES C.
SHAPOORJI PALLONJI INFRASTRUCTURE CAPITAL COMPANY PRIVATE LIMITED
11% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES D.
SHAPOORJI PALLONJI INFRASTRUCTURE CAPITAL COMPANY PRIVATE LIMITED
9.95% UNSECURED RATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
SHAPOORJI PALLONJI INFRASTRUCTURE CAPITAL COMPANY PRIVATE LIMITED
9.95% UNSECURED RATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B.
SHAPOORJI PALLONJI INFRASTRUCTURE CAPITAL COMPANY PRIVATE LIMITED
9.95% UNSECURED RATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES C.
INE192M08082
INE861I08023
SHARDA SOLVENT LIMITED INE861I08031
INE973K08014
INE973K07032
INE601U07012
INE601U07020
INE601U07038
INE618W07012
INE554Q07029
INE841M07078
INE841M07060
INE841M07086
SHAPOORJI PALLONJI INFRASTRUCTURE CAPITAL COMPANY PRIVATE LIMITED
9.95% UNSECURED RATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES D.
SHARDA SOLVENT LIMITED
10.81% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SEREIS B. RESET RATE UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SHARE MICROFIN LIMITED
13.75% Unsecured Redeemable Non-Convertible Debentures.Series - III.Date of Maturity : 31/03/2018
SHARE MICROFIN LIMITED
12% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. DATE OF
SHEBA PROPERTIES LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SHEBA PROPERTIES LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SHEBA PROPERTIES LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SHELTREX KARJAT PRIVATE LIMITED
12% SECURED GUARANTEED SENIOR TAXABLE NON CUMULATIVE RATED
SHETH CREATORS AND CONSTRUCTORS PRIVATE LIMITED
14.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SHETH DEVELOPERS PRIVATE LIMITED
17% SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SHETH DEVELOPERS PRIVATE LIMITED
14.50% SECURED REDEEMABLE NON-CONVERTIBLE PARTLY PAID DEBENTURES. LETTER OF
SHETH DEVELOPERS PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON-CONVERTIBLE PARTLY PAID DEBENTURES. LETTER OF
INE841M07094
INE934V07015
INE169M08031
INE169M08080
INE239Y07013
INE510K08014
INE551P07027
SHIPRA ESTATE LIMITED INE320U07019
INE239X07015
INE659T07012
INE659T07020
INE936S07016
INE936S07024
SHETH DEVELOPERS PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON-CONVERTIBLE PARTLY PAID DEBENTURES. LETTER OF
SHIELD HEALTH CARE PRIVATE LIMITED
22% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
SHIGA ENERGY PRIVATE LIMITED
SBI BASE RATE LINKED UNSECURED REDEEMABLE NON CONVERTIBLE PARTLY PAID DEBENTURES. LETTER
SHIGA ENERGY PRIVATE LIMITED
SBI BASE RATE LINKED UNSECURED REDEEMABLE NON CONVERTIBLE PARTLY PAID DEBENTURES. LETTER
SHIKSHA FINANCIAL SERVICES INDIA (P) LIMITED
13.25% SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES C.
SHILPI CABLE TECHNOLOGIES LIMITED
13.05% UNSECURED RATED TAXABLE REDEEMABLE NON CONVERTIBLE
SHINING STAR SOLUTIONS AND SERVICES PRIVATE LIMITED
6% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. DATE OF 17% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A TO
SHIVAKAR INFRA PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SHIVSHAKTI REALHOME PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II.
SHIVSHAKTI REALHOME PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B.
SHRADDHA SHELTERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES A. DATE OF MATURITY 28/05/2018SHRADDHA SHELTERS
PRIVATE LIMITED18% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES B. DATE OF MATURITY 28/05/2018
INE936S07032
INE936S07040
INE936S07057
INE936S07065
INE936S07073
INE936S07081
INE936S07099
INE936S07107
INE936S07115
INE875F07013
INE875F07021
INE875F07039
INE385U07012
SHRADDHA SHELTERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES C. DATE OF MATURITY 28/05/2018SHRADDHA SHELTERS
PRIVATE LIMITED18% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES D.
SHRADDHA SHELTERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES E.
SHRADDHA SHELTERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES F.
SHRADDHA SHELTERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES G.
SHRADDHA SHELTERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES H.
SHRADDHA SHELTERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES I.
SHRADDHA SHELTERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES J.
SHRADDHA SHELTERS PRIVATE LIMITED
18% SECURED SENIOR UNLISTED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES K.
SHREE MAHESHWAR HYDEL POWER CORPORATION LIMITED
9.75% Unsecured Optionally Fully Convertible Debentures.Letter of Allotment.Final Redemption
SHREE MAHESHWAR HYDEL POWER CORPORATION LIMITED
10.75% Secured Optionally Fully Convertible Debentures.Option - I .Letter of Allotment.Final
SHREE MAHESHWAR HYDEL POWER CORPORATION LIMITED
10.75% Secured Optionally Fully Convertible Debentures.Option -II .Letter of Allotment.Final
SHREE NAMAN RESIDENCY PRIVATE LIMITED
14.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
INE164H07018
INE278B07027
INE087H07060
INE087H07078
INE301V07017
INE301V07025
INE301V07033
INE261P07023
INE139V07011
INE670U07017
INE670U07025
INE043V07015
INE545V08017
SHREE RAM URBAN INFRASTRUCTURE LTD
RESET RATE SECURED NON-CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF
SHREE RAMA NEWSPRINT LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SHREE RENUKA SUGARS LIMITED
11.70% SECURED RATED LISTED NON-CONVERTIBLE DEBENTURE. DATE OF MATURITY 31/03/2024
SHREE RENUKA SUGARS LIMITED
11.30% SECURED RATED LISTED NON-CONVERTIBLE DEBENTURE. DATE OF MATURITY 31/03/2024
SHREE SIDDHIVINAYAK REALHOMES PRIVATE LIMITED
19% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A,C.
SHREE SIDDHIVINAYAK REALHOMES PRIVATE LIMITED
16% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B.
SHREE SIDDHIVINAYAK REALHOMES PRIVATE LIMITED
16% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SHREE SUKHAKARTA DEVELOPERS PVT LTD
14% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. LETTER OF
SHREE VARDHMAN BUILDPROP PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SHREE VARDHMAN INFRAHEIGHTS PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
SHREE VARDHMAN INFRAHEIGHTS PRIVATE LIMITED
RESET RATE SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE
SHREEDHAM CONSTRUCTIONS PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SHREEDHAR MILK FOODS LIMITED
15.75% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
INE525W08025
INE525W08017
INE525W08033
INE851B07021
INE974S07017
INE512T08011
INE722A07166
INE722A07174
INE722A07463
INE722A07497
INE722A07703
INE722A07588
INE722A07679
SHREYAS SOLARFARMS LIMITED
10.7% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SHREYAS SOLARFARMS LIMITED
10.7% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SHREYAS SOLARFARMS LIMITED
10.7% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SHRI LAKSHMI COTSYN LIMITED
14% SECURED NON CONVERTIBLE DEBENTURES. DATE OF MATURITY : 07/01/2018
SHRILINE PROPERTIES PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURTIY 30/06/2018SHRIPROP DWELLERS
PRIVATE LIMITEDZERO COUPON UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 3.
SHRIRAM - CITY UNION FINANCE LIMITED
10.50% Secured Non-Convertible Debenture. Date of Maturity 23/11/2017
SHRIRAM - CITY UNION FINANCE LIMITED
10.60% Secured Non-Convertible Debenture. Date of Maturity 13/12/2017
SHRIRAM - CITY UNION FINANCE LIMITED
10.75% FOR CATEGORY I & II AND 11.25% FOR CATEGORY III & IV SECURED REDEEMABLE
SHRIRAM - CITY UNION FINANCE LIMITED
SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES V. DATE OF MATURITY
SHRIRAM - CITY UNION FINANCE LIMITED
8.8455% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VII
SHRIRAM - CITY UNION FINANCE LIMITED
9.10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II
SHRIRAM - CITY UNION FINANCE LIMITED
9.07% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II
INE722A07687
INE722A07752
INE722A07471
INE722A07505
INE722A07513
INE722A08024
INE722A08040
INE722A08057
INE722A08073
INE722A07547
INE722A07570
INE722A07711
INE722A08081
SHRIRAM - CITY UNION FINANCE LIMITED
8.95% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II
SHRIRAM - CITY UNION FINANCE LIMITED
7.95% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VII
SHRIRAM - CITY UNION FINANCE LIMITED
10.75% FOR CATEGORY I & II AND 11.50% FOR CATEGORY III & IV SECURED REDEEMABLE
SHRIRAM - CITY UNION FINANCE LIMITED
SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES VI. DATE OF MATURITY
SHRIRAM - CITY UNION FINANCE LIMITED
10.75% FOR CATEGORY I & II AND 11.25% FOR CATEGORY III & IV SECURED REDEEMABLE
SHRIRAM - CITY UNION FINANCE LIMITED
11.85% Unsecured Non Convertible subordinated debt in the nature of Debentures.Letter of
SHRIRAM - CITY UNION FINANCE LIMITED
11.85% Unsecured Non Convertible subordinated debt in the nature of Debentures.Letter of
SHRIRAM - CITY UNION FINANCE LIMITED
11.85% Unsecured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 15/03/2019
SHRIRAM - CITY UNION FINANCE LIMITED
11.85% Unsecured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 26/03/2019
SHRIRAM - CITY UNION FINANCE LIMITED
10.85% FOR CATEGORY I AND 11.75% FOR CATEGORY II & III SECURED REDEEMABLE
SHRIRAM - CITY UNION FINANCE LIMITED
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VI. DATE OF MATURITY
SHRIRAM - CITY UNION FINANCE LIMITED
8.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VII
SHRIRAM - CITY UNION FINANCE LIMITED
11.15% Unsecured Non-Convertible Subordinated debt in the nature of Debenture. Letter of Allotment. Date of
INE722A08099
INE722A07729
INE722A07737
INE722A07612
INE722A07620
INE722A07745
INE722A07182
INE468M07278
INE468M07310
INE468M07328
INE468M07237
INE468M07260
INE468M08052
SHRIRAM - CITY UNION FINANCE LIMITED
11.15% Unsecured Non-Convertible Subordinated debt in the nature of Debenture. Letter of Allotment. Date of
SHRIRAM - CITY UNION FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VII
SHRIRAM - CITY UNION FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VII
SHRIRAM - CITY UNION FINANCE LIMITED
9.3% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II TRANCHE 27. DATE OF MATURITY 17/06/2020SHRIRAM - CITY UNION
FINANCE LIMITED9.3% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II TRANCHE 28. DATE OF MATURITY 22/06/2020SHRIRAM - CITY UNION
FINANCE LIMITEDZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VII
SHRIRAM CITY UNION FINANCE LIMITED
10.75% Secured Non-Convertible Debenture. Date of Maturity 04/02/2021
SHRIRAM EQUIPMENT FINANCE CO LTD
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SHRIRAM EQUIPMENT FINANCE CO LTD
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SHRIRAM EQUIPMENT FINANCE CO LTD
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SHRIRAM EQUIPMENT FINANCE CO LTD
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SHRIRAM EQUIPMENT FINANCE CO LTD
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SHRIRAM EQUIPMENT FINANCE CO LTD
12.15% Unsecured Non-Convertible Debenture. Letter of Allotment. SEFCL SD CR 005. Date of Maturity
INE468M08029
INE468M08045
INE468M08060
INE468M08078
INE468M08086
INE468M08094
INE468M08102
INE468M07229
INE468M07344
INE432R07042
INE432R07067
INE432R07158
INE432R07166
SHRIRAM EQUIPMENT FINANCE CO LTD
12.20% Unsecured Non-Convertible Debenture. Letter of Allotment. SEFCL SD CR 003. Date of Maturity
SHRIRAM EQUIPMENT FINANCE CO LTD
12.20% Unsecured Non-Convertible Debenture. Letter of Allotment. SEFCL SD CR 004. Date of Maturity
SHRIRAM EQUIPMENT FINANCE CO LTD
10.75% UNSECURED NON-CONVERTIBLE DEBENTURE (SUB DEBT).SEFCL AA 001.
SHRIRAM EQUIPMENT FINANCE CO LTD
10.20% UNSECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE (SUB DEBT).
SHRIRAM EQUIPMENT FINANCE CO LTD
10.15% UNSECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE (SUB DEBT).
SHRIRAM EQUIPMENT FINANCE CO LTD
10.15% UNSECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE (SUB DEBT).
SHRIRAM EQUIPMENT FINANCE CO LTD
10.60% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES .SERIES
SHRIRAM EQUIPMENT FINANCE CO LTD
9.90% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SHRIRAM EQUIPMENT FINANCE CO LTD
9.90% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SHRIRAM HOUSING FINANCE LIMITED
KMBL BENCHMARK LINKED SECURED REDEEMABLE NON CONVERTIBLE
SHRIRAM HOUSING FINANCE LIMITED
9.30% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES IV
SHRIRAM HOUSING FINANCE LIMITED
8.7584% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES IX
SHRIRAM HOUSING FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES IX
INE432R07133
INE432R07091
INE432R07174
INE432R07182
INE432R07190
INE432R07075
INE432R07109
INE432R07026
INE432R07034
INE432R07083
INE432R07117
INE432R07125
INE432R07018
SHRIRAM HOUSING FINANCE LIMITED
9.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VIII
SHRIRAM HOUSING FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES V
SHRIRAM HOUSING FINANCE LIMITED
8.97% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES IX
SHRIRAM HOUSING FINANCE LIMITED
8.97% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES X.
SHRIRAM HOUSING FINANCE LIMITED
8.45% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES III
SHRIRAM HOUSING FINANCE LIMITED
9.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES IV
SHRIRAM HOUSING FINANCE LIMITED
9% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VI TRANCHE 01. DATE OF
SHRIRAM HOUSING FINANCE LIMITED
10.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE
SHRIRAM HOUSING FINANCE LIMITED
10.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE
SHRIRAM HOUSING FINANCE LIMITED
9.35% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES IV
SHRIRAM HOUSING FINANCE LIMITED
9% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VII TRANCHE 01. DATE OF
SHRIRAM HOUSING FINANCE LIMITED
9% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VII TRANCHE 02. DATE OF
SHRIRAM HOUSING FINANCE LIMITED
10.30% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE
INE227R08010
INE721A07EC8
INE721A07EG9
INE721A07EI5
INE721A07EL9
INE721A07IK2
INE721A07IW7
INE721A07EZ9
INE721A07JA1
INE721A07EX4
INE721A07FB7
INE721A07IL0
INE721A07JI4
SHRIRAM INDUSTRIAL HOLDINGS LIMITED
ZERO COUPON UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 28/06/2019SHRIRAM TRANSPORT
FINANCE COMPANY LIMITED
10.2% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.2% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. STFC
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.2% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. STFC
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.55% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.20% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.3% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES T
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO COUPON SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES T
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.69% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES T
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.55% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.27% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
INE721A07JH6
INE721A07FF8
INE721A07KQ5
INE721A07FG6
INE721A07JG8
INE721A07JM6
INE721A07JK0
INE721A07IM8
INE721A07JQ7
INE721A07JJ2
INE721A07LA7
INE721A08BR0
INE721A07IN6
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO COUPON SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.75% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES T
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.6960% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.65% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES T
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO COUPON SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO COUPON SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.55% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO COUPON SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.7229% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.60% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES R
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.55% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
INE721A07FQ5
INE721A07FS1
INE721A08AS0
INE721A07LB5
INE721A07JF0
INE721A08BJ7
INE721A07FV5
INE721A07FW3
INE721A07FY9
INE721A08588
INE721A07LC3
INE721A07GA7
INE721A07JR5
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.55% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES T
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.60% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES T
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
11.45% Unsecured Non-Convertible Debenture. Letter of Allotment. Series- K 4. Date of Maturity 29/06/2018
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.7355% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO COUPON SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.60% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. (SUB DEBT)
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.8% p.a. (ADDITIONAL INCENTIVE @ 1.35% p.a. TO INDIVIDUALS NCD HOLDERS ON ANY
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.4% p.a. (ADDITIONAL INCENTIVE @ 1.23% p.a. TO INDIVIDUALS NCD HOLDERS ON ANY
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
SECURED NON CONVERTIBLE DEBENTURES. SERIES V. DATE OF MATURITY
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
12.00% Unsecured Redeemable Non Convertible debentures. Date of Maturity: 04/08/2018
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.7495% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.70% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES T
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
INE721A07KT9
INE721A08BL3
INE721A08BM1
INE721A07GG4
INE721A07GI0
INE721A07KU7
INE721A08CP2
INE721A07GS9
INE721A07GV3
INE721A08CA4
INE721A08CB2
INE721A08596
INE721A08604
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.7380% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.60% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. (SUB DEBT)
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.60% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. (SUB DEBT)
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.80% SECURED REDEEMBALE NON CONVERTIBLE DEBENTURES SERIES P
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.80% SECURED REDEEMBALE NON CONVERTIBLE DEBENTURES SERIES P
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.7283% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.25% UNSECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES (SUB DEBT).
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.75% p.a. (NCD HOLDERS WHO ARE INDIVIDUALS ON ANY RECORD DATE SHALL RECEIVE
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES V. DATE OF MATURITY
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.5% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURE (SUB DEBT).
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.5% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURE (SUB DEBT).
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
13.00% Unsecured Redeemable Non Convertible debentures. Date of Maturity: 05/11/2018
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
13.00% Unsecured Redeemable Non Convertible debentures. Date of Maturity: 07/11/2018
INE721A07GB5
INE721A07MI8
INE721A07GY7
INE721A07JU9
INE721A08CL1
INE721A08653
INE721A07MP3
INE721A08CR8
INE721A07JP9
INE721A07JV7
INE721A07LM2
INE721A08CS6
INE721A07JT1
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.70% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES T
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
7.85% SECURED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.75% SECURED NON CONVERTIBLE DEBENTURES. SERIES AUG S 002-I. DATE OF
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.90% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURE (SUB DEBT).
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
13.00% Unsecured Redeemable Non Convertible debentures.Date of Maturity: 29/12/2018
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
7.60% SECURED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.67% UNSECURED NON-CONVERTIBLE DEBENTURES SERIES V 12-01. DATE OF MATURITY
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.1145% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.30% UNSECURED NON CONVERTIBLE DEBENTURES. SERIES V 12-02. DATE OF MATURITY
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
INE721A07MF4
INE721A07KH4
INE721A07MH0
INE721A07MJ6
INE721A07ML2
INE721A07KM4
INE721A07HI8
INE721A07HK4
INE721A07HN8
INE721A07MV1
INE721A07HP3
INE721A07LG4
INE721A07KV5
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO COUPON SECURED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
7.95% SECURED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
7.95% SECURED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
7.92% SECURED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD 16-17 D-02 OPTION I. DATE
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10% p.a. (NCD HOLDERS WHO ARE INDIVIDUALS ON ANY RECORD DATE SHALL RECEIVE
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.57% p.a. (NCD HOLDERS WHO ARE INDIVIDUALS ON ANY RECORD DATE SHALL RECEIVE
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VII. DATE OF MATURITY
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
RESET RATE SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
KOTAK BANK BASE RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.80% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
INE721A07KY9
INE721A07HQ1
INE721A07KN2
INE721A07MR9
INE721A07LF6
INE721A07HR9
INE721A07HV1
INE721A07LJ8
INE721A07HZ2
INE721A07KR3
INE721A07KS1
INE721A07LK6
INE721A07LN0
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.80% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
KOTAK BANK BASE RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD 16-17 D-02 OPTION II.
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
7.7125% SECURED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
KOTAK BANK BASE RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
KOTAK BANK BASE RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.75% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
INE721A07LL4
INE721A08760
INE721A08778
INE721A07LO8
INE721A07IS5
INE721A08786
INE721A07JC7
INE721A08CT4
INE721A08836
INE721A07JE3
INE721A08851
INE721A07LP5
INE721A07LS9
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.35% Unsecured Redeemable Non Convertible debentures. Date of Maturity: 31/10/2019
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.35% Unsecured Redeemable Non Convertible debentures. Date of Maturity: 22/11/2019
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
7.92% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.95% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.25% Unsecured Redeemable Non Convertible debentures. Date of Maturity: 31/12/2019
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.35% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.65% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES SUB
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.25% Unsecured Redeemable Non-convertible Debentures (Sub - Debt). Date of Maturity - 29/01/2020
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.15% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.25% Unsecured Redeemable Non-convertible Debentures (Sub - Debt). Date of Maturity - 15/02/2020
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD 16-17 D-22 OPTION I. DATE
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
INE721A07LQ3
INE721A08885
INE721A08893
INE721A08901
INE721A07KX1
INE721A08927
INE721A08950
INE721A08CG1
INE721A08CH9
INE721A08AD2
INE721A07ME7
INE721A08AE0
INE721A07MG2
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.90% Unsecured Redeemable Non-convertible Debentures (Sub - Debt). Date of Maturity - 19/04/2020
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
11.00% Unsecured Redeemable Non-convertible Debentures (Sub - Debt). Date of Maturity - 19/04/2020
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
11.00% Unsecured Redeemable Non-convertible Debentures (Sub - Debt). Date of Maturity - 20/04/2020
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.8228% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.75% Unsecured Redeemable Non-convertible Debentures (Sub - Debt). Date of Maturity - 03/05/2020
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.5% Unsecured Redeemable Non-convertible Debentures (Sub - Debt). Date of Maturity - 10/05/2020
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.40% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURE (SUB DEBT).
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.40% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURE (SUB DEBT).
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.75% Unsecured Redeemable Non-convertible Debentures (Sub - Debt). Date of Maturity - 28/05/2020
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
7.95% SECURED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.60% Unsecured Redeemable Non-convertible Debentures (Sub - Debt). Date of Maturity - 04/06/2020
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO COUPON SECURED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
INE721A07MK4
INE721A07MM0
INE721A07MN8
INE721A07MO6
INE721A07MS7
INE721A07MT5
INE721A07GE9
INE721A07GH2
INE721A07GT7
INE721A07GW1
INE721A07MW9
INE721A07JS3
INE721A07JW5
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8% SECURED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO COUPON SECURED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
7.84% SECURED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO RATE SECURED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
7.80% SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO COUPON SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.75% SECURED REDEEMBALE NON CONVERTIBLE DEBENTURES SERIES P
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.60% SECURED REDEEMBALE NON CONVERTIBLE DEBENTURES SERIES AUG
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.75% p.a. (NCD HOLDERS WHO ARE INDIVIDUALS ON ANY RECORD DATE SHALL RECEIVE
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VI. DATE OF MATURITY
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
7.6414% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES SCB
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.80% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
INE721A07HG2
INE721A07KA9
INE721A08AL5
INE721A07KC5
INE721A07KF8
INE721A07KL6
INE721A07KJ0
INE721A07KK8
INE721A07HJ6
INE721A07HL2
INE721A07HO6
INE721A07MU3
INE721A07KZ6
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.50% SECURED NON-CONVERTIBLE DEBENTURES. SERIES P SCA 011. DATE OF
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
11.50% Unsecured Non-Convertible Debenture. Letter of Allotment.Date of Maturity 31/03/2021
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.05% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.30% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.05% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.15% p.a. (NCD HOLDERS WHO ARE INDIVIDUALS ON ANY RECORD DATE SHALL RECEIVE
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.71% p.a. (NCD HOLDERS WHO ARE INDIVIDUALS ON ANY RECORD DATE SHALL RECEIVE
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VIII. DATE OF MATURITY
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO COUPON SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
INE721A07LE9
INE721A07LH2
INE721A07LI0
INE721A07MY5
INE721A07IA3
INE721A07IB1
INE721A07JB9
INE721A07LR1
INE721A08BC2
INE721A07MQ1
INE721A08BE8
INE721A07MX7
INE721A08BK5
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.45% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.60% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES C12B
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
7.60% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.85% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.85% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
BENCHMARK BASE RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.10% SECURED REDEEMABLE NON CONVERTIBLE PARTLY PAID DEBENTURES. SERIES SCB
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.75% Unsecured Non-Convertible Debenture. Letter of Allotment. (sub debt series L 01). Date of Maturity
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
ZERO COUPON SECURED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.85% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES SERIES L02.
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
7.73% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.65% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. (SUB DEBT)
INE721A08BN9
INE721A08BO7
INE721A08BU4
INE721A08BS8
INE721A08BT6
INE721A08BV2
INE721A08BZ3
INE721A08CC0
INE721A08CE6
INE721A08CF3
INE721A08CJ5
INE721A08CI7
INE721A07KG6
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.65% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. (SUB DEBT)
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.65% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. (SUB DEBT)
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.65% UNSECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES R
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.65% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES R
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.65% UNSECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES R
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.65% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES (SUB DEBT).
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.65% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURE (SUB DEBT).
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.65% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURE (SUB DEBT).
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.65% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURE (SUB DEBT).
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.65% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURE (SUB DEBT).
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.25% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURE (SUB DEBT).
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.25% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURE (SUB DEBT).
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.05% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
INE721A07KI2
INE721A08CM9
INE721A08CN7
INE721A07FT9
INE721A08CO5
INE721A07FZ6
INE721A07KP7
INE721A07GD1
INE721A07GC3
INE721A07GF6
INE721A08CU2
INE721A07GO8
INE721A07GN0
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.05% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.15% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURE (SUB DEBT).
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.10% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURE (SUB DEBT).
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.60% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES T
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.25% UNSECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES (SUB DEBT).
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.60% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES T
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.05% SECURED REDEEMABLE NON CONVERTIBLE PARTLY PAID DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.50% SECURED REDEEMBALE NON CONVERTIBLE DEBENTURES SERIES P
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.5% SECURED REDEEMBALE NON CONVERTIBLE DEBENTURES SERIES
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.50% SECURED REDEEMBALE NON CONVERTIBLE DEBENTURES SERIES AUG
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.10% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES SUB
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.75% SECURED REDEEMBALE NON CONVERTIBLE DEBENTURES SERIES AUG
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.75% SECURED REDEEMBALE NON CONVERTIBLE DEBENTURES SERIES AUG
INE721A08CQ0
INE721A07GQ3
INE721A07GZ4
INE721A07HA5
INE721A07HE7
INE721A07HF4
INE721A08CV0
INE721A07HY5
INE721A07IC9
INE721A07IG0
INE721A07II6
INE721A07IO4
INE721A07IR7
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
11% UNSECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES (SUB DEBT).
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.75% SECURED REDEEMBALE NON CONVERTIBLE DEBENTURES SERIES AUG
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.75% SECURED NON CONVERTIBLE DEBENTURES. SERIES AUG S 002-II. DATE OF
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.75% SECURED NON-CONVERTIBLE DEBENTURES. SERIES AUG S 003. DATE OF
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.60% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.60% SECURED NON-CONVERTIBLE DEBENTURES. SERIES P SCA 012. DATE OF
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.50% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES SUB
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.25% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.25% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10.10% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.90% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
INE721A07IT3
INE721A08AH3
INE721A08AI1
INE721A07JX3
INE721A07KB7
INE721A07KD3
INE721A07KE1
INE721A07LD1
INE721A08CW8
INE721A08CX6
INE721A08CK3
INE721A08AK7
INE472C07016
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.80% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
11% Unsecured Non-Convertible Debenture. Date of Maturity 30/08/2025
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
11% Unsecured Non-Convertible Debenture. Date of Maturity 09/09/2025
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.30% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.30% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.22% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
9.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.87% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PPD
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.50% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES SUB
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
8.50% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES SUB
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
10% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURE (SUB DEBT).
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED
11.05% Unsecured Non-Convertible Debenture. Date of Maturity 15/10/2028
SHRISTI INFRASTRUCTURE DEVELOPMENT CORP LTD
10% SECURED REDEEMABLE NON CONVETIBLE DEBENTURES. DATE OF MATURITY
INE810R07015
INE967Q08021
INE967Q08013
SICAL LOGISTICS LIMITED INE075B07027
INE183X07023
INE183X07031
INE183X07049
INE183X07056
INE183X07064
INE447V07018
INE903U07020
INE903U07012
INE214W07010
SHRIVISION TOWERS PRIVATE LIMITED
12% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES I.
SHUBHAM HOUSING DEVELOPMENT FINANCE COMPANY LIMITED
12.30% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1-
SHUBHAM HOUSING DEVELOPMENT FINANCE COMPANY PRIVATE LIMITED
13% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 001-11% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. DATE OF
SICAL MULTIMODAL AND RAIL TRANSPORT LIMITED
11.% SECURED GUARANTEED SENIOR TAXABLE NON CUMULATIVE RATED
SICAL MULTIMODAL AND RAIL TRANSPORT LIMITED
11.% SECURED GUARANTEED SENIOR TAXABLE NON CUMULATIVE RATED
SICAL MULTIMODAL AND RAIL TRANSPORT LIMITED
11.% SECURED GUARANTEED SENIOR TAXABLE NON CUMULATIVE RATED
SICAL MULTIMODAL AND RAIL TRANSPORT LIMITED
11.% SECURED GUARANTEED SENIOR TAXABLE NON CUMULATIVE RATED
SICAL MULTIMODAL AND RAIL TRANSPORT LIMITED
11.% SECURED GUARANTEED SENIOR TAXABLE NON CUMULATIVE RATED
SIDDHI RAJ HOUSING PROJECTS PRIVATE LIMITED
13.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SIGNATUREGLOBAL (INDIA) PRIVATE LIMITED
18.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
SIGNATUREGLOBAL (INDIA) PRIVATE LIMITED
19% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B.
SILICA CERAMICA PRIVATE LIMITED
RATING LINKED SECURED REDEEMABLE TAXABLE NON CONVERTIBLE DEBENTURES. DATE OF
INE082O07018
INE082O07026
INE059B07146
INE059B07112
INE059B07120
INE059B07054
INE059B07062
INE059B07070
INE059B07088
INE059B07096
INE059B07104
INE059B07013
INE059B07021
SILKROAD SUGAR PRIVATE LIMITED
10.05% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SILKROAD SUGAR PRIVATE LIMITED
10.05% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SIMPLEX INFRASTRUCTURES LIMITED
11.25% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. LETTER OF
SIMPLEX INFRASTRUCTURES LTD
11.85% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. LETTER OF
SIMPLEX INFRASTRUCTURES LTD
11.85% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. LETTER OF
SIMPLEX INFRASTRUCTURES LTD
11.25% SECURED NON CONVERTIBLE DEBENTURES. SERIES IV. LETTER OF ALLOTMENT.
SIMPLEX INFRASTRUCTURES LTD
11.25% SECURED NON CONVERTIBLE DEBENTURES. SERIES IV. LETTER OF ALLOTMENT.
SIMPLEX INFRASTRUCTURES LTD
11.25% SECURED NON CONVERTIBLE DEBENTURES. SERIES IV. LETTER OF ALLOTMENT.
SIMPLEX INFRASTRUCTURES LTD
11.25% SECURED NON CONVERTIBLE DEBENTURES. SERIES IV. LETTER OF ALLOTMENT.
SIMPLEX INFRASTRUCTURES LTD
11.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES V.
SIMPLEX INFRASTRUCTURES LTD
11.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES V.
SIMPLEX INFRASTRUCTURES LTD
11% Secured Redeemable Non Convertible Debentures. Letter of Allotment. Date of Maturity 29/06/2022
SIMPLEX INFRASTRUCTURES LTD
10.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
INE059B07039
INE059B07047
INE059B07138
INE429L07017
INE429L08015
INE186N07019
INE186N08017
INE429C07065
INE429C07040
INE429C07057
INE972T07027
INE972T07035
INE972T07019
SIMPLEX INFRASTRUCTURES LTD
10.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SIMPLEX INFRASTRUCTURES LTD
10.40% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SIMPLEX INFRASTRUCTURES LTD (EARLIER SIMPLEX CONCRETE PILES (INDIA) LTD.)
11.25% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.LETTER OF ALLOTMENT.SERIES VII - A. SINEW DEVELOPERS
PRIVATE LIMITED22.95% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
SINEW DEVELOPERS PRIVATE LIMITED
22.95% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B.
SINGHIVI INVESTMENT & FINANCE PRIVATE LIMITED
RESET RATE SECURED NON-CONVERTIBLE DEBENTURE. LETTER OF ALLOTMENT. SERIES- 1. DATE OF MATURITY SINGHIVI INVESTMENT &
FINANCE PRIVATE LIMITED
14.04% Unsecured Redeemable, Non-Convertible Debentures Letter of allotment.Date of Maturity 01-
SINTEX INDUSTRIES LIMITED
9.41% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SINTEX INDUSTRIES LIMITED
10.70% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES- I
SINTEX INDUSTRIES LIMITED
10.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II.
SINTEX PREFAB AND INFRA LIMITED
11.50% SECURED LISTED REDEEMABLE NON COVNERTIBLE DEBENTURES. LETTER OF
SINTEX PREFAB AND INFRA LIMITED
9.41% SECURED LISTED REDEEMABLE NON COVNERTIBLE DEBENTURES. LETTER OF
SINTEX PREFAB AND INFRA LIMITED
10.70% SECURED LISTED REDEEMABLE NON COVNERTIBLE DEBENTURES. LETTER OF
INE972T07043
SINTEX-BAPL LIMITED INE631U07019
INE159D08015
INE159D08023
INE159D08031
INE750W08029
INE750W08011
INE847R07017
INE180K07067
INE180K07075
INE180K07083
INE116V07159
INE116V07167
SINTEX PREFAB AND INFRA LIMITED
10.70% SECURED LISTED REDEEMABLE NON COVNERTIBLE DEBENTURES. LETTER OF 9.36% SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SISTEMA SHYAM TELESERVICES LIMITED
8% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 14/05/2018SISTEMA SHYAM
TELESERVICES LIMITED8% UNSECURED REDEEMBALE NON CONVERTIBLE DEBENTURES. DATE OF
SISTEMA SHYAM TELESERVICES LIMITED
8% UNSECURED REDEEMBALE NON CONVERTIBLE DEBENTURES. DATE OF
SKEIRON RENEWABLE ENERGY PRIVATE LIMITED
0.00001% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SKEIRON RENEWABLE ENERGY PRIVATE LIMITED
0.00001% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SKIL SHIPYARD HOLDINGS PRIVATE LIMITED
14% SECURED NON CONVERTIBLE DEBENTURES. SERIES I. DATE OF MATURITY
SKS MICROFINANCE LIMITED
11.48% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 2.
SKS MICROFINANCE LIMITED
11.95% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 3.
SKS MICROFINANCE LIMITED
11.95% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 4.
SKYLARK REALTORS PRIVATE LIMITED
13% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
SKYLARK REALTORS PRIVATE LIMITED
13% SECURED SENIOR REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II.
INE116V07175
INE116V07183
INE116V07191
INE116V07209
INE116V07217
INE116V07225
INE116V07068
INE116V07092
INE116V07084
INE116V07076
INE116V07118
INE116V07126
INE116V07134
SKYLARK REALTORS PRIVATE LIMITED
13% SECURED SENIOR REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES III.
SKYLARK REALTORS PRIVATE LIMITED
13% SECURED SENIOR REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES IV.
SKYLARK REALTORS PRIVATE LIMITED
13% SECURED SENIOR REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES V.
SKYLARK REALTORS PRIVATE LIMITED
13% SECURED SENIOR REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VI.
SKYLARK REALTORS PRIVATE LIMITED
13% SECURED SENIOR REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VII.
SKYLARK REALTORS PRIVATE LIMITED
13% SECURED SENIOR UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VIII.
SKYLARK REALTORS PRIVATE LIMITED
16.53% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
SKYLARK REALTORS PRIVATE LIMITED
16.53% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E.
SKYLARK REALTORS PRIVATE LIMITED
16.53% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES D.
SKYLARK REALTORS PRIVATE LIMITED
16.53% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES C.
SKYLARK REALTORS PRIVATE LIMITED
16.53% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES F.
SKYLARK REALTORS PRIVATE LIMITED
16.53% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES G.
SKYLARK REALTORS PRIVATE LIMITED
16.53% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES H.
INE116V07142
INE116V07233
INE380W08017
INE380W08025
INE283Y07011
INE433N07023
INE433N07031
INE423Y07013
INE556F09460
INE556F09502
INE556F09478
INE556F09510
INE556F09536
SKYLARK REALTORS PRIVATE LIMITED
16.53% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
SKYLARK REALTORS PRIVATE LIMITED
13% SECURED SENIOR UNLISTED REDEEMABLE NON COVERTIBLE DEBENTURES. SERIES A.
SKYSCAPE DEVELOPERS PRIVATE LIMITED
9.35% RATED COLLATERALISED UNLISTED REDEEMABLE NON CONVERTIBLE
SKYSCAPE DEVELOPERS PRIVATE LIMITED
9.35% RATED COLLATERALISED UNLISTED REDEEMABLE NON CONVERTIBLE
SL RESIDENTIAL LAYOUT PRIVATE LIMITED
13% SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SMAAASH ENTERTAINMENT PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SMAAASH ENTERTAINMENT PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SMALL BUSINESS FINCREDIT INDIA PRIVATE LIMITED
9.4% SECURED RATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
8.20% UNSECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
8.27% UNSECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
8.20% UNSECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
8.27% UNSECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
8.25% UNSECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF
INE556F09619
INE556F09601
INE556F09551
INE556F09569
INE556F09577
INE556F09585
INE556F09593
INE556F08IW4
INE580S07012
INE579S07014
INE581S07010
INE972L07016
INE578S07016
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
8.28% UNSECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
8.04% UNSECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
7.98% UNSECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
7.98% UNSECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
8.05% UNSECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
8.05% UNSECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
8.06% UNSECURED REDEEMABLE NON-CONVERTIBLE BONDS IN THE NATURE OF
SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA
7.09% UNSECURED REDEEMABLE NON COVNERTIBLE BONDS. SERIES II OF 2017-18.
SNEHA ABASAN PRIVATE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SNEHA ENCLAVE PRIVATE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SNEHA GARDENS PRIVATE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SNEHA KINETIC POWER PROJECTS PRIVATE LIMITED
9.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SNEHA NIKETAN PRIVATE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SOBHA LIMITED INE671H07244
SOBHA LIMITED INE671H07285
SOBHA LIMITED INE671H07293
SOBHA LIMITED INE671H07186
SOBHA LIMITED INE671H07210
SOBHA LIMITED INE671H07160
SOBHA LIMITED INE671H07194
SOBHA LIMITED INE671H07236
SOBHA LIMITED INE671H07251
SOBHA LIMITED INE671H07277
SOBHA LIMITED INE671H07301
INE043T08017
INE600W08018
11.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES IX. 11.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES XIII. 11.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES XIV. 12% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES III. 12% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VI. 12.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I. 12% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES IV. 12% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VIII. 11.40% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES X. 11.40% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES XII. 11.40% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES XV.
SOLAIRE POWER PRIVATE LIMITED
10% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SOLAIRE SURYA URJA PRIVATE LIMITED
10% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
INE090T08018
INE305P08018
INE707M08012
INE512P08019
INE493R08018
INE493R08026
INE493R08034
INE493R08042
INE493R08059
INE509M07030
INE509M07089
INE509M07014
INE509M07154
SOLAIRE URJA PRIVATE LIMITED
10% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SOLAR SEMICONDUCTOR POWER COMPANY (INDIA) PRIVATE LIMITED
ZERO COUPON UNSECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF
SOLITAIRE ENERGIES LIMITED
14% UNSECURED UNLISTED UNRATED REDEEMABLE NON CONVERTIBLE
SOLITAIRE INDUSTRIAL INFRASTRUCTURE PVT. LTD.
14% UNSECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE
SOLITAIRE POWERTECH PRIVATE LIMITED
9% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SOLITAIRE POWERTECH PRIVATE LIMITED
9% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SOLITAIRE POWERTECH PRIVATE LIMITED
9% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SOLITAIRE POWERTECH PRIVATE LIMITED
9% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SOLITAIRE POWERTECH PRIVATE LIMITED
9% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SONATA FINANCE PRIVATE LIMITED
14.75% SECURED NON-CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF
SONATA FINANCE PRIVATE LIMITED
14% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES F
SONATA FINANCE PRIVATE LIMITED
RESET RATE SECURED NON-CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF
SONATA FINANCE PRIVATE LIMITED
12.165% SECURED RATED LISTED REDEEMABLE NON-CONVERTIBLE TAXABLE DEBENTURES.SERIES 1-
INE509M07105
INE509M07097
INE509M07147
INE509M07121
INE509M08012
INE509M07139
INE509M07162
INE544V08010
INE375S07025
INE375S07017
INE082Q08011
INE082Q08037
INE923L07050
SONATA FINANCE PRIVATE LIMITED
14.70% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF SONATA FINANCE
PRIVATE LIMITED14.75% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. DATE OF
SONATA FINANCE PRIVATE LIMITED
12.77% (NET OF WITHHOLDING TAXES) SECURED REDEEMABLE NON-CONVERTIBLE
SONATA FINANCE PRIVATE LIMITED
14% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES F
SONATA FINANCE PRIVATE LIMITED
16.25% UNSECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES F
SONATA FINANCE PRIVATE LIMITED
14% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES 1-
SONATA FINANCE PRIVATE LIMITED
12.77% SECURED RATED LISTED REDEEMABLE NON-CONVERTIBLE TAXABLE DEBENTURES.SERIES 1-
SORT INDIA ENVIRO SOLUTIONS LIMITED
16.68% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
SOUTHERN HEALTH FOODS PRIVATE LIMITED
23% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
SOUTHERN HEALTH FOODS PRIVATE LIMITED
22% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
SOUTHERN POWER DISTRIBUTION COMPANY OF ANDHRA PRADESH LIMITED
9.95% UNSECURED NON-CONVERTIBLE BONDS. SERIES I/2014. LETTER OF ALLOTMENT. DATE OF
SOUTHERN POWER DISTRIBUTION COMPANY OF ANDHRA PRADESH LIMITED
10% UNSECURED NON-CONVERTIBLE BONDS. SERIES 3/2014. LETTER OF ALLOTMENT. DATE OF
SP JAMMU UDHAMPUR HIGHWAY LIMITED
8.9% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 5.
INE923L07068
INE923L07076
INE923L07084
INE923L07092
INE923L07100
INE923L07118
INE923L07126
INE923L07134
INE923L07142
INE923L07159
INE923L07167
INE923L07175
INE923L07183
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.1% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 6.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.1% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 7.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.1% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 8.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.1% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 9.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.1% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 10.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 11.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 12.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 13.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 14.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 15.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 16.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 17.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 18.
INE923L07191
INE923L07209
INE923L07217
INE923L07225
INE923L07233
INE923L07241
INE923L07258
INE923L07266
INE923L07274
INE923L07282
INE923L07290
INE923L07308
INE923L07316
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 19.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 20.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 21.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 22.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 23.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 24.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 25.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 26.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 27.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 28.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 29.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 30.
SP JAMMU UDHAMPUR HIGHWAY LIMITED
9.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 31.
INE572J07026
INE572J08016
INE572J07042
INE572J07034
INE041R07025
INE041R07033
INE041R07041
INE041R07058
INE041R07066
INE041R07074
INE041R07082
INE041R07090
INE041R07017
SPANDANA SPHOORTY FINANCIAL LIMITED
12.30% SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SPANDANA SPHOORTY FINANCIAL LIMITED
RESET RATE UNSECURED RLISTED EDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SPANDANA SPHOORTY FINANCIAL LIMITED
13.50% SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE PARTLY PAID DEBENTURES. DATE OF
SPANDANA SPHOORTY FINANCIAL LIMITED
14% SECURED RATED LISTED REDEEMABLE NON CONVRTIBEL DEBENTURES. DATE OF MATURITY
SPARK BUILDERS AND INFRA PROJECTS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES H.
SPARK BUILDERS AND INFRA PROJECTS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES D1. DATE OF MATURITY 31/01/2018SPARK BUILDERS AND
INFRA PROJECTS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES D2.
SPARK BUILDERS AND INFRA PROJECTS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E4.
SPARK BUILDERS AND INFRA PROJECTS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES D3 &
SPARK BUILDERS AND INFRA PROJECTS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES D5
SPARK BUILDERS AND INFRA PROJECTS PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
SPARK BUILDERS AND INFRA PROJECTS PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II.
SPARK BUILDERS AND INFRAPROJECTS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
INE034P08014
INE473Y07018
SPEEDAGE TRADE LIMITED INE085X07012
INE398T07017
INE398T07033
INE398T07041
INE398T07058
INE758V07018
INE758V07026
INE758V07034
INE758V07042
INE758V07059
INE376C07019
SPARK ENVIRONMENTAL TECHNOLOGY LIMITED
12% UNSECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF
SPARKLE TERMINAL & TOWAGE SERVICES PRIVATE LIMITED
8.60% SECURED UNLISTED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 15% SECURED COLLATERALIZED NON CONVERTIBLE DEBENTURES. LETTER OF
SPENTA ENCLAVE PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES III.
SPENTA ENCLAVE PRIVATE LIMITED
16.50% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE
SPENTA ENCLAVE PRIVATE LIMITED
15.50% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE
SPENTA ENCLAVE PRIVATE LIMITED
RESET RATE SECURED UNRATED UNLISTED OPTIONALLY CONVERTIBLE DEBENTURES. SERIES A.
SPENTA SUN CITY PRIVATE LIMITED
16% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
SPENTA SUN CITY PRIVATE LIMITED
16% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B.
SPENTA SUN CITY PRIVATE LIMITED
16% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B.
SPENTA SUN CITY PRIVATE LIMITED
16% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
SPENTA SUN CITY PRIVATE LIMITED
16% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A
SPENTEX INDUSTRIES LIMITED
9.00% Secured Non Convertible Debentures. Letter of Allotment. Final date of Redemption: 31/03/2013
INE395Q08017
INE310R07057
INE310R07032
INE310R07040
INE310R07024
INE069R07141
INE069R07075
INE069R07133
INE069R07042
INE069R07109
INE069R07091
INE069R07083
INE069R07125
SPINEL ENERGY & INFRASTRUCTURE LIMITED
9% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SPR CONSTRUCTION PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES III.
SPR CONSTRUCTION PRIVATE LIMITED
14% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
SPR CONSTRUCTION PRIVATE LIMITED
14% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II.
SPR CONSTRUCTION PRIVATE LIMITED
14% SECURED OPTIONALLY CONVERTIBLE DEBENTURES. SERIES OCD/2016. DATE OF
SPRIT TEXTILES PRIVATE LIMITED
8% SECURED UNLISTED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SPRIT TEXTILES PRIVATE LIMITED
12.25% SECURED REDEEMABLE NON CONVERTIBLE TAXABLE DEBENTURES. SERIES
SPRIT TEXTILES PRIVATE LIMITED
ZERO COUPON RATED SECURED UNLISTED RATED REDEEMABLE NON CONVERTIBLE
SPRIT TEXTILES PRIVATE LIMITED
12.50% SECURED REDEEMABLE NON CONVERTIBLE TAXABLE DEBENTURES. SERIES
SPRIT TEXTILES PRIVATE LIMITED
11.10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SPRIT TEXTILES PRIVATE LIMITED
11.10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SPRIT TEXTILES PRIVATE LIMITED
11.10% SECURED REDEEMABLE NON CONVERTIBLE TAXABLE DEBENTURES. SERIES
SPRIT TEXTILES PRIVATE LIMITED
RESET RATE SECURED UNLISTED RATED REDEEMABLE NON CONVERTIBLE
INE069R07117
INE881J07ED9
INE881J07EE7
INE881J07DO8
INE881J07DQ3
INE881J07DR1
INE881J07DS9
INE881J07DT7
INE881J07DU5
INE881J07DY7
INE881J07EF4
INE881J07EG2
INE881J07EH0
SPRIT TEXTILES PRIVATE LIMITED
ZERO COUPON SECURED UNLISTED RATED REDEEMABLE NON CONVERTIBLE
SREI EQUIPMENT FINANCE LIMITED
SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES I CATEGORY I & II . LETTER
SREI EQUIPMENT FINANCE LIMITED
SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES I CATEGORY III . LETTER OF
SREI EQUIPMENT FINANCE LIMITED
9.75% SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES II.
SREI EQUIPMENT FINANCE LIMITED
9.75% SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES I.
SREI EQUIPMENT FINANCE LIMITED
SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES III. LETTER OF ALLOTMENT.
SREI EQUIPMENT FINANCE LIMITED
9.75% SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES IV.
SREI EQUIPMENT FINANCE LIMITED
10.20% SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES V.
SREI EQUIPMENT FINANCE LIMITED
SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES VI. LETTER OF ALLOTMENT.
SREI EQUIPMENT FINANCE LIMITED
RESET RATE SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES SEFL
SREI EQUIPMENT FINANCE LIMITED
8.90% SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES II
SREI EQUIPMENT FINANCE LIMITED
9.12% SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES II
SREI EQUIPMENT FINANCE LIMITED
9.25% SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES III
INE881J07EC1
INE881J07EI8
INE881J07EJ6
INE881J08433
INE881J08508
INE881J07DV3
INE881J07DW1
INE881J08292
INE881J08276
INE881J08334
INE881J08383
INE881J07DZ4
INE881J07EK4
SREI EQUIPMENT FINANCE LIMITED
9.50% SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES III
SREI EQUIPMENT FINANCE LIMITED
SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES IV CATEGORY I & II . LETTER
SREI EQUIPMENT FINANCE LIMITED
SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES IV CATEGORY III . LETTER OF
SREI EQUIPMENT FINANCE LIMITED
10% UNSECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES SEFL
SREI EQUIPMENT FINANCE LIMITED
9.95% UNSECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES SEFL
SREI EQUIPMENT FINANCE LIMITED
9.75% SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES VII.
SREI EQUIPMENT FINANCE LIMITED
10.25% SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES VIII.
SREI EQUIPMENT FINANCE LIMITED
11% UNSECURED REDEEMABLE SUBORDINATED NON CONVERTIBLE
SREI EQUIPMENT FINANCE LIMITED
11.10% UNSECURED REDEEMABLE SUBORDINATED (TIER II) NON-CONVERTIBLE
SREI EQUIPMENT FINANCE LIMITED
10.30% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
SREI EQUIPMENT FINANCE LIMITED
10.15% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
SREI EQUIPMENT FINANCE LIMITED
9.95% SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES SEFL
SREI EQUIPMENT FINANCE LIMITED
9.11% SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES V
INE881J07EL2
INE881J07EM0
INE881J07EN8
INE881J07EO6
INE881J07EP3
INE881J07DX9
INE881J08532
INE881J08300
INE881J08573
INE881J08581
INE881J08599
INE881J08177
INE881J08417
SREI EQUIPMENT FINANCE LIMITED
9.35% SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES V
SREI EQUIPMENT FINANCE LIMITED
9.50% SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES VI
SREI EQUIPMENT FINANCE LIMITED
9.75% SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES VI
SREI EQUIPMENT FINANCE LIMITED
SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES VII CATEGORY I & II . LETTER
SREI EQUIPMENT FINANCE LIMITED
SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES VII CATEGORY III . LETTER OF
SREI EQUIPMENT FINANCE LIMITED
10.25% SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES IX.
SREI EQUIPMENT FINANCE LIMITED
10.18% UNSECURED REDEEMABEL NON CONVERTIBLE SUBORDINATED
SREI EQUIPMENT FINANCE LIMITED
10.75% UNSECURED REDEEMABLE SUBORDINATED NON CONVERTIBLE
SREI EQUIPMENT FINANCE LIMITED
9.25% UNSECURED REDEEMABEL NON CONVERTIBLE SUBORDINATED
SREI EQUIPMENT FINANCE LIMITED
9.30% UNSECURED REDEEMABEL NON CONVERTIBLE SUBORDINATED
SREI EQUIPMENT FINANCE LIMITED
UNSECURED REDEEMABEL NON CONVERTIBLE SUBORDINATED DEBENTURES. SERIES III.
SREI EQUIPMENT FINANCE LIMITED
11.25% UNSECURED SUBORDINATED REDEEMABLE (TIER II) NON-CONVERTIBLE
SREI EQUIPMENT FINANCE LIMITED
10.70% UNSECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES SEFL
INE881J08342
INE881J07EA5
INE881J08540
INE881J08490
INE881J07EQ1
INE881J07ER9
INE881J08524
INE881J07DG4
INE881J07DH2
INE881J07ES7
INE881J08607
INE881J08615
INE881J08623
SREI EQUIPMENT FINANCE LIMITED
10.40% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
SREI EQUIPMENT FINANCE LIMITED
9% SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES SEFL NCD 2016-K . LETTER OF
SREI EQUIPMENT FINANCE LIMITED
10.45% UNSECURED REDEEMABEL NON CONVERTIBLE SUBORDINATED
SREI EQUIPMENT FINANCE LIMITED
9.80% UNSECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES SEFL
SREI EQUIPMENT FINANCE LIMITED
9.45% SECURED RATED LISTED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES SEFL
SREI EQUIPMENT FINANCE LIMITED
9.32% SECURED RATED LISTED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES SEFL
SREI EQUIPMENT FINANCE LIMITED
10.40% UNSECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES SEFL
SREI EQUIPMENT FINANCE LIMITED
10.92% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SREI EQUIPMENT FINANCE LIMITED
10.90% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SREI EQUIPMENT FINANCE LIMITED
9.32% SECURED RATED LISTED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES SEFL
SREI EQUIPMENT FINANCE LIMITED
9.35% UNSECURED REDEEMABEL NON CONVERTIBLE SUBORDINATED
SREI EQUIPMENT FINANCE LIMITED
9.40% UNSECURED REDEEMABEL NON CONVERTIBLE SUBORDINATED
SREI EQUIPMENT FINANCE LIMITED
UNSECURED REDEEMABEL NON CONVERTIBLE SUBORDINATED DEBENTURES. SERIES VI.
INE881J07ET5
INE881J07EU3
INE881J08284
INE881J08318
INE881J08326
INE881J08359
INE881J08367
INE881J08375
INE881J08391
INE881J08409
INE881J08425
INE881J08441
INE881J08458
SREI EQUIPMENT FINANCE LIMITED
8.50% SECURED RATED LISTED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES SEFL
SREI EQUIPMENT FINANCE LIMITED
8.99% SECURED RATED LISTED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES SEFL
SREI EQUIPMENT FINANCE LIMITED
11% UNSECURED REDEEMABLE SUBORDINATED (TIER II) NON-CONVERTIBLE
SREI EQUIPMENT FINANCE LIMITED
10.75% UNSECURED REDEEMABLE SUBORDINATED NON CONVERTIBLE
SREI EQUIPMENT FINANCE LIMITED
10.50% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
SREI EQUIPMENT FINANCE LIMITED
10.50% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
SREI EQUIPMENT FINANCE LIMITED
10.60% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
SREI EQUIPMENT FINANCE LIMITED
10.60% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
SREI EQUIPMENT FINANCE LIMITED
10.60% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
SREI EQUIPMENT FINANCE LIMITED
10.70% UNSECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES SEFL
SREI EQUIPMENT FINANCE LIMITED
10.00% UNSECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES SEFL
SREI EQUIPMENT FINANCE LIMITED
10.75% UNSECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES SEFL
SREI EQUIPMENT FINANCE LIMITED
10.25% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES SEFL
INE881J08466
INE881J08474
INE881J08482
INE881J08516
INE881J07EB3
INE881J08565
INE881J08631
INE881J08649
INE881J08656
INE881J08201
INE881J08185
INE881J08128
INE881J08193
SREI EQUIPMENT FINANCE LIMITED
9.50% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES SEFL
SREI EQUIPMENT FINANCE LIMITED
10.75% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES SEFL
SREI EQUIPMENT FINANCE LIMITED
10.75% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
SREI EQUIPMENT FINANCE LIMITED
9.85% UNSECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES SEFL
SREI EQUIPMENT FINANCE LIMITED
9% SECURED REDEEMABEL NON CONVERTIBLE DEBENTURES. SERIES SEFL NCD 2016-L . LETTER OF
SREI EQUIPMENT FINANCE LIMITED
9% UNSECURED REDEEMABEL NON CONVERTIBLE SUBORDINATED
SREI EQUIPMENT FINANCE LIMITED
9.50% UNSECURED REDEEMABEL NON CONVERTIBLE SUBORDINATED
SREI EQUIPMENT FINANCE LIMITED
9.55% UNSECURED REDEEMABEL NON CONVERTIBLE SUBORDINATED
SREI EQUIPMENT FINANCE LIMITED
UNSECURED REDEEMABEL NON CONVERTIBLE SUBORDINATED DEBENTURES. SERIES IX.
SREI EQUIPMENT FINANCE PRIVATE LIMITED
11.10% UNSECURED REDEEMABLE SUBORDINATED (TIER II) NON-CONVERTIBLE
SREI EQUIPMENT FINANCE PRIVATE LIMITED
11.6% UNSECURED SUBORDINATED REDEEMABLE (TIER II) NON-CONVERTIBLE
SREI EQUIPMENT FINANCE PRIVATE LIMITED
12.00% Unsecured Non-Convertible Debenture.Date of Maturity 27/09/2018
SREI EQUIPMENT FINANCE PRIVATE LIMITED
11.5% UNSECURED REDEEMABLE (TIER II) NON-CONVERTIBLE DEBENTURE. DATE OF
INE881J08227
INE881J08243
INE881J08268
INE881J08011
INE881J08037
INE881J08045
INE881J08235
INE881J08250
INE881J08169
INE881J08219
INE881J08136
INE881J08110
INE872A08CE7
SREI EQUIPMENT FINANCE PRIVATE LIMITED
10.75% UNSECURED REDEEMABLE SUBORDINATED (TIER II) NON-CONVERTIBLE
SREI EQUIPMENT FINANCE PRIVATE LIMITED
10.75% UNSECURED REDEEMABLE SUBORDINATED (TIER II) NON-CONVERTIBLE
SREI EQUIPMENT FINANCE PRIVATE LIMITED
11% UNSECURED REDEEMABLE SUBORDINATED (TIER II) NON-CONVERTIBLE
SREI EQUIPMENT FINANCE PRIVATE LIMITED
10.00% Unsecured Non- Convertible Debenture. Date of Maturity: 23/12/2019
SREI EQUIPMENT FINANCE PRIVATE LIMITED
10.00% Unsecured Non- Convertible Debenture. Date of Maturity: 19/03/2020
SREI EQUIPMENT FINANCE PRIVATE LIMITED
10.00% Unsecured Non- Convertible Debenture. Date of Maturity: 31/03/2020
SREI EQUIPMENT FINANCE PRIVATE LIMITED
10.85% UNSECURED REDEEMABLE SUBORDINATED (TIER II) NON-CONVERTIBLE
SREI EQUIPMENT FINANCE PRIVATE LIMITED
11% UNSECURED REDEEMABLE SUBORDINATED (TIER II) NON-CONVERTIBLE
SREI EQUIPMENT FINANCE PRIVATE LIMITED
11.50% Unsecured Subordinated Redeemable (Tier II) Non-Convertible Debenture. Date of Maturity
SREI EQUIPMENT FINANCE PRIVATE LIMITED
11.25% UNSECURED REDEEMABLE SUBORDINATED (TIER II) NON-CONVERTIBLE
SREI EQUIPMENT FINANCE PRIVATE LIMITED
Reset rate Unsecured Non-Convertible Perpetual Debenture.
SREI EQUIPMENT FINANCE PRIVATE LTD
11.50% Unsecured Subordinated Non-Convertible Debenture.Date of Maturity 31/03/2018
SREI INFRASTRUCTURE FINANCE LIMITED
11.50% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
INE872A07QT7
INE872A07TX3
INE872A07TJ2
INE872A07TK0
INE872A07TL8
INE872A08CG2
INE872A07RA5
INE872A08CI8
INE872A07RD9
INE872A08CK4
INE872A08CM0
INE872A07UD3
INE872A07UE1
SREI INFRASTRUCTURE FINANCE LIMITED
11.3% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SREI INFRASTRUCTURE FINANCE LIMITED
SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES I. LETTER OF ALLOTMENT.
SREI INFRASTRUCTURE FINANCE LIMITED
10.50% (HOLDERS WHO FALL IN CATEGORY III ON ANY RECORD DATE SHALL RECEIVE AN
SREI INFRASTRUCTURE FINANCE LIMITED
11% (HOLDERS WHO FALL IN CATEGORY III ON ANY RECORD DATE SHALL RECEIVE AN ADDITIONAL
SREI INFRASTRUCTURE FINANCE LIMITED
SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES V. LETTER OF ALLOTMENT.
SREI INFRASTRUCTURE FINANCE LIMITED
11.50% UNSECURED REDEEMABLE NON CONVERTIBLE SUBIRDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
11.35% Secured Non-Convertible Debenture.letter of allotment.Date of Maturity: 02/01/2018
SREI INFRASTRUCTURE FINANCE LIMITED
11.5% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
11.40% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE.LETTER OF
SREI INFRASTRUCTURE FINANCE LIMITED
11.5% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
11.5% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES I. LETTER OF ALLOTMENT.
SREI INFRASTRUCTURE FINANCE LIMITED
8.50% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES II. LETTER OF
INE872A08CN8
INE872A08CR9
INE872A08CS7
INE872A08CU3
INE872A07RK4
INE872A07RH0
INE872A08CV1
INE872A08CX7
INE872A07RV1
INE872A07RW9
INE872A07RX7
INE872A07RY5
INE872A07RZ2
SREI INFRASTRUCTURE FINANCE LIMITED
11.5% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
11.50% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
11.50% UNSECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE.SERIES A
SREI INFRASTRUCTURE FINANCE LIMITED
11.5% UNSECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. LETTER OF
SREI INFRASTRUCTURE FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES-
SREI INFRASTRUCTURE FINANCE LIMITED
11% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES-
SREI INFRASTRUCTURE FINANCE LIMITED
11.10% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
11.10% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
10.35% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES-
SREI INFRASTRUCTURE FINANCE LIMITED
10.50% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES-
SREI INFRASTRUCTURE FINANCE LIMITED
11.16% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES-
SREI INFRASTRUCTURE FINANCE LIMITED
10.85% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES-
SREI INFRASTRUCTURE FINANCE LIMITED
11.00% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES-
INE872A07SA3
INE872A07TQ7
INE872A07TR5
INE872A07TS3
INE872A07SC9
INE872A07SE5
INE872A07SN6
INE872A07SO4
INE872A07SP1
INE872A07SQ9
INE872A07SR7
INE872A07SS5
INE872A08CZ2
SREI INFRASTRUCTURE FINANCE LIMITED
11.75% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES-
SREI INFRASTRUCTURE FINANCE LIMITED
10% (HOLDERS WHO FALL IN CATEGORY III ON ANY RECORD DATE SHALL RECEIVE AN ADDITIONAL
SREI INFRASTRUCTURE FINANCE LIMITED
10.50% (HOLDERS WHO FALL IN CATEGORY III ON ANY RECORD DATE SHALL RECEIVE AN ADDITIONAL
SREI INFRASTRUCTURE FINANCE LIMITED
SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES III. LETTER OF ALLOTMENT.
SREI INFRASTRUCTURE FINANCE LIMITED
11% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. OPTION
SREI INFRASTRUCTURE FINANCE LIMITED
11% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. LETTER OF
SREI INFRASTRUCTURE FINANCE LIMITED
11.50% (FOR CATEGORY I,II) SECURED REDEEMABLE NON-CONVERTIBLE
SREI INFRASTRUCTURE FINANCE LIMITED
11.75% (FOR CATEGORY III) SECURED REDEEMABLE NON-CONVERTIBLE
SREI INFRASTRUCTURE FINANCE LIMITED
10.94% (FOR CATEGORY II) SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES VI.
SREI INFRASTRUCTURE FINANCE LIMITED
11.16% (FOR CATEGORY III) SECURED REDEEMABLE NON-CONVERTIBLE
SREI INFRASTRUCTURE FINANCE LIMITED
RESET RATE (FOR CATEGORY II) SECURED REDEEMABLE NON-CONVERTIBLE
SREI INFRASTRUCTURE FINANCE LIMITED
RESET RATE (FOR CATEGORY III) SECURED REDEEMABLE NON-CONVERTIBLE
SREI INFRASTRUCTURE FINANCE LIMITED
10.60% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN
INE872A08DD7
INE872A08DF2
INE872A08DE5
INE872A07SW7
INE872A07SX5
INE872A07SY3
INE872A07SZ0
INE872A07TC7
INE872A07TD5
INE872A07TF0
INE872A07QR1
INE872A07TY1
INE872A07TW5
SREI INFRASTRUCTURE FINANCE LIMITED
10.60% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
10.60% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
10.60% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
11.40% (FOR CATEGORY III) SECURED REDEEMABLE NON-CONVERTIBLE
SREI INFRASTRUCTURE FINANCE LIMITED
11.50% (FOR CATEGORY I & II) SECURED REDEEMABLE NON-CONVERTIBLE
SREI INFRASTRUCTURE FINANCE LIMITED
12% (FOR CATEGORY III) SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. NCD V.
SREI INFRASTRUCTURE FINANCE LIMITED
SECURED (FOR CATEGORY III) REDEEMABLE NON-CONVERTIBLE
SREI INFRASTRUCTURE FINANCE LIMITED
10.95% (FOR CATEGORY 1 & 2) SECURED REDEEMABLE NON-CONVERTIBLE
SREI INFRASTRUCTURE FINANCE LIMITED
11.50% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. OPTION II.
SREI INFRASTRUCTURE FINANCE LIMITED
11.35% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. LETTER OF
SREI INFRASTRUCTURE FINANCE LIMITED
11.55% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SREI INFRASTRUCTURE FINANCE LIMITED
9.35% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES II. LETTER OF
SREI INFRASTRUCTURE FINANCE LIMITED
9.75% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES III. LETTER OF
INE872A07TZ8
INE872A07QU5
INE872A07QV3
INE872A07QW1
INE872A07QX9
INE872A07QY7
INE872A07QZ4
INE872A07RL2
INE872A07TM6
INE872A07TN4
INE872A07TO2
INE872A07SB1
INE872A07RB3
SREI INFRASTRUCTURE FINANCE LIMITED
SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES IV. LETTER OF ALLOTMENT.
SREI INFRASTRUCTURE FINANCE LIMITED
9.84% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
SREI INFRASTRUCTURE FINANCE LIMITED
9.92% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II.
SREI INFRASTRUCTURE FINANCE LIMITED
10.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES III
SREI INFRASTRUCTURE FINANCE LIMITED
10.3% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES III
SREI INFRASTRUCTURE FINANCE LIMITED
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES IV CATEGORY I & II. DATE
SREI INFRASTRUCTURE FINANCE LIMITED
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES IV CATEGORY III. DATE OF
SREI INFRASTRUCTURE FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES-
SREI INFRASTRUCTURE FINANCE LIMITED
10.72% (HOLDERS WHO FALL IN CATEGORY III ON ANY RECORD DATE SHALL RECEIVE AN
SREI INFRASTRUCTURE FINANCE LIMITED
11.25% (HOLDERS WHO FALL IN CATEGORY III ON ANY RECORD DATE SHALL RECEIVE AN
SREI INFRASTRUCTURE FINANCE LIMITED
SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES VIII. LETTER OF ALLOTMENT.
SREI INFRASTRUCTURE FINANCE LIMITED
SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES-V.DATE OF MATURITY:
SREI INFRASTRUCTURE FINANCE LIMITED
11.45% Secured Non-Convertible Debenture.letter of allotment.Date of Maturity: 02/01/2020
INE872A07UF8
INE872A07UG6
INE872A07UH4
INE872A08BE9
INE872A08DA3
INE872A08DG0
INE872A07TU9
INE872A07TV7
INE872A07TT1
INE872A08BT7
INE872A07PL6
INE872A07UA9
INE872A07UB7
SREI INFRASTRUCTURE FINANCE LIMITED
8.88% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES III. LETTER OF
SREI INFRASTRUCTURE FINANCE LIMITED
9.25% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES IV. LETTER OF
SREI INFRASTRUCTURE FINANCE LIMITED
SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES V. LETTER OF ALLOTMENT.
SREI INFRASTRUCTURE FINANCE LIMITED
10.20% Unsecured Subordinated Redeemable Non Convertible debenture Date of Maturity: 23/03/2020
SREI INFRASTRUCTURE FINANCE LIMITED
10.75% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
10.75% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
10.75% (HOLDERS WHO FALL IN CATEGORY III ON ANY RECORD DATE SHALL RECEIVE AN ADDITIONAL
SREI INFRASTRUCTURE FINANCE LIMITED
SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES VI. LETTER OF ALLOTMENT.
SREI INFRASTRUCTURE FINANCE LIMITED
10.25% (HOLDERS WHO FALL IN CATEGORY III ON ANY RECORD DATE SHALL RECEIVE AN ADDITIONAL
SREI INFRASTRUCTURE FINANCE LIMITED
10.50% Unsecured, Subordinated, listed Non-Convertible Debenture. Date of Maturity 10/11/2020
SREI INFRASTRUCTURE FINANCE LIMITED
11.90% Secured Non-Convertible Debenture.letter of allotment.Date of Maturity: 09/09/2021
SREI INFRASTRUCTURE FINANCE LIMITED
9.60% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES V. LETTER OF
SREI INFRASTRUCTURE FINANCE LIMITED
10% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES VI. LETTER OF
INE872A07UC5
INE872A07PQ5
INE872A08BX9
INE872A08BZ4
INE872A08CA5
INE872A07UI2
INE872A07UJ0
INE872A07UK8
INE872A07PY9
INE872A07PV5
INE872A08CB3
INE872A08CD9
INE872A07QD1
SREI INFRASTRUCTURE FINANCE LIMITED
SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES VII. LETTER OF ALLOTMENT.
SREI INFRASTRUCTURE FINANCE LIMITED
11.90% Secured Non-Convertible Debenture.letter of allotment.Date of Maturity: 29/10/2021
SREI INFRASTRUCTURE FINANCE LIMITED
11.90% Unsecured Non-Convertible Subordinated debt in the nature of Debenture Letter of Allotment. Date of
SREI INFRASTRUCTURE FINANCE LIMITED
11.90% Unsecured Non-Convertible Subordinated Debt in the nature of Debenture. Letter of Allotment. Date of
SREI INFRASTRUCTURE FINANCE LIMITED
11.90% Unsecured Non-Convertible Subordinated Debt in the nature of Debenture. Letter of Allotment. Date of
SREI INFRASTRUCTURE FINANCE LIMITED
9.12% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES VI. LETTER OF
SREI INFRASTRUCTURE FINANCE LIMITED
9.50% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES VII. LETTER OF
SREI INFRASTRUCTURE FINANCE LIMITED
SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES VIII. LETTER OF ALLOTMENT.
SREI INFRASTRUCTURE FINANCE LIMITED
8.90% Secured Non-Convertible Long Term Infrastructure Bond. Series-2. Date of Maturity 22/03/2022
SREI INFRASTRUCTURE FINANCE LIMITED
8.90% Secured Non-Convertible Long term infrastructure bonds.Series - 1 Date of Maturity: 22/03/2022
SREI INFRASTRUCTURE FINANCE LIMITED
11.40% Unsecured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 30/03/2022
SREI INFRASTRUCTURE FINANCE LIMITED
11.50% UNSECURED NON-CONVERTIBLE SUBORDINATED DEBT IN THE NATURE OF
SREI INFRASTRUCTURE FINANCE LIMITED
11.4% Secured Redeemable Non-Convertible Debenture. Letter of Allotment. Date of Maturity: 08/06/2022
INE872A07QM2
INE872A08CF4
INE872A08CH0
INE872A07QS9
INE872A08CJ6
INE872A08CL2
INE872A08CP3
INE872A08CO6
INE872A07RC1
INE872A07RE7
INE872A08CQ1
INE872A08CT5
INE872A08CW9
SREI INFRASTRUCTURE FINANCE LIMITED
11.40% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SREI INFRASTRUCTURE FINANCE LIMITED
11.50% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SREI INFRASTRUCTURE FINANCE LIMITED
11.70% UNSECURED REDEEMABLE NON CONVERTIBLE SUBIRDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
11.35% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SREI INFRASTRUCTURE FINANCE LIMITED
11.7% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
11.7% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
11.85% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
11.7% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
11.50% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE.LETTER OF
SREI INFRASTRUCTURE FINANCE LIMITED
11.50% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. SERIES-A
SREI INFRASTRUCTURE FINANCE LIMITED
11.80% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
11.8% UNSECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. LETTER OF
SREI INFRASTRUCTURE FINANCE LIMITED
11.25% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN
INE872A08CY5
INE872A08DB1
INE872A08DC9
INE872A08DH8
INE872A07SD7
INE872A07TE3
INE872A07TP9
INE872A07PZ6
INE872A07QA7
SRF LIMITED INE647A07033
INE116N07016
INE575P08016
INE001R07011
SREI INFRASTRUCTURE FINANCE LIMITED
11.25% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
10.75% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
10.75% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
10.75% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED DEBT IN
SREI INFRASTRUCTURE FINANCE LIMITED
11.10% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. OPTION
SREI INFRASTRUCTURE FINANCE LIMITED
11.40% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. OPTION III.
SREI INFRASTRUCTURE FINANCE LIMITED
10.05% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. LETTER OF
SREI INFRASTRUCTURE FINANCE LIMITED
9.15% Secured Non-Convertible Long Term Infrastructure Bond. Series-3. Date of Maturity 22/03/2027
SREI INFRASTRUCTURE FINANCE LIMITED
9.15% Secured Non-Convertible Long Term Infrastructure Bond. Series-4. Date of Maturity 22/03/20277.33% SECURED LISTED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SRI SAI KRISHNA HYDRO ENERGIES PRIVATE LIMITED
11% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
STAR HEALTH AND ALLIED INSURANCE COMPANY LIMITED
10.25% UNSECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
STARLITE LIGHTING LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
INE001R07029
INE001R07037
INE001R07045
INE001R07052
INE648A09078
INE648A09052
INE648A08013
INE648A09060
INE649A09050
INE649A09076
INE649A09084
INE649A09092
INE649A09126
STARLITE LIGHTING LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
STARLITE LIGHTING LIMITED
9.33% SECURED UNLISTED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
STARLITE LIGHTING LIMITED
9.33% SECURED UNLISTED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B.
STARLITE LIGHTING LIMITED
9.33% SECURED UNLISTED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES C.
STATE BANK OF BIKANER AND JAIPUR
9.02% Unsecured Non-Convertible Subordinated Lower Tier II Bond in the nature of promissory Note.
STATE BANK OF BIKANER AND JAIPUR
9.78% Unsecured Redeemable Non Convertible Subordinated Upper Tier II Series II Bonds in form of promissory
STATE BANK OF BIKANER AND JAIPUR
8.30% UNSECURED REDEEMABLE NON CONVERTIBLE BASEL III COMPLIANT TIER 2
STATE BANK OF BIKANER AND JAIPUR
9.85% Unsecured Non Convertible Subordinated Innovative Perpetual Tier I Bonds in form of promissory
STATE BANK OF HYDERABAD
9.35% Unsecured Redeemable Non-Convertible Subordinated Upper Tier II Bonds in the form of promissory note.Letter
STATE BANK OF HYDERABAD
8.39% (Refer remark) Unsecured Redeemable Non-Convertible Upper Tier II Bonds in the form of
STATE BANK OF HYDERABAD
8.50% (Refer remark) Unsecured Redeemable Non-Convertible Upper Tier II Bonds in the form of
STATE BANK OF HYDERABAD
8.60% (Refer remark) Unsecured Redeemable Non-Convertible Upper Tier II Bonds in the form of
STATE BANK OF HYDERABAD
8.32% UNSECURED REDEEMABLE NON CONVERTIBLE BASEL III COMPLIANT TIER 2
INE649A08029
INE649A08037
INE649A09068
INE649A09100
INE649A09118
STATE BANK OF INDIA INE062A09205
STATE BANK OF INDIA INE062A09171
STATE BANK OF INDIA INE062A08017
STATE BANK OF INDIA INE062A08033
STATE BANK OF INDIA INE062A08041
STATE BANK OF INDIA INE062A09056
STATE BANK OF INDIA INE062A09072
STATE BANK OF INDIA INE062A09148
STATE BANK OF HYDERABAD
8.4% UNSECURED REDEEMABLE NON CONVERTIBLE BASEL III COMPLIANT TIER 2 BONDS.
STATE BANK OF HYDERABAD
8.45% UNSECURED REDEEMABLE NON CONVERTIBLE BASEL III COMPLIANT TIER 2 BONDS.
STATE BANK OF HYDERABAD
9.95% Unsecured Redeemable Non Convertible Subordinated Perpetual Bonds in form of promissory notes. Letter of
STATE BANK OF HYDERABAD
Reset rate Unsecured Redeemable Non-Convertible Perpetual IPDI Bonds in the form of promissory note
STATE BANK OF HYDERABAD
Reset Rate Unsecured Non-Convertible Perpetual Bond in the form of promissory note.. Series - XIII.8.95% Unsecured Redeemable Non convertible Subordinated bond in nature of promissory notes. Lower Tier II (Series 8.40% Unsecured Redeemable Non convertible Subordinated bond in nature of promissory notes. Lower Tier II (Series I) . Reset rate Unsecured Non convertible Lower Tier II Bonds (Series I). Date of Maturity: 04/11/20209.75% Unsecured Non convertible Lower Tier II Bonds Series 3-Retail. Date of Maturity: 16/03/20219.30% Unsecured Non convertible Lower Tier II Bonds Series 3-Non Retail. Date of Maturity: 16/03/20218.80% Unsecured Non convertible Subordinated bond in nature of promissory notes.Tier II. Date of Maturity: 8.96% Unsecured Non convertible Subordinated bond in nature of promissory notes.Upper Tier II. Date of 10.20% Unsecured Redeemable Non convertible Subordinated bond in nature of promissory notes. Upper
STATE BANK OF INDIA INE062A09155
STATE BANK OF INDIA INE062A09163
STATE BANK OF INDIA INE062A08074
STATE BANK OF INDIA INE062A09189
STATE BANK OF INDIA INE062A09197
STATE BANK OF INDIA INE062A08025
STATE BANK OF INDIA INE062A08082
STATE BANK OF INDIA INE062A08090
STATE BANK OF INDIA INE062A08058
STATE BANK OF INDIA INE062A08066
STATE BANK OF INDIA INE062A08108
STATE BANK OF INDIA INE062A08116
STATE BANK OF INDIA INE062A09213
10.10% Unsecured Redeemable Non convertible Subordinated bond in nature of promissory notes. Upper 8.90% Unsecured Redeemable Non convertible Subordinated bond in nature of promissory notes. Upper Tier II. Date of 9.69% UNSECURED NON CONVERTIBLE BONDS. DATE OF MATURITY 02/01/2024Reset rate Unsecured Redeemable Non convertible Subordinated bond in nature of promissory notes. Upper Reset rate Unsecured Redeemable Non convertible Subordinated bond in nature of promissory notes. Upper Reset rate Unsecured Non convertible Lower Tier II Bonds (Series II). Date of Maturity: 04/11/20258.33% NON CONVERTIBLE REDEEMABLE UNSECURED BASEL III COMPLIANT TIER 2 BONDS IN THE NATURE 8.45% UNSECURED REDEEMABLE NON CONVERTIBLE BASEL III COMPLAINT TIER 2 BONDS 9.95% Unsecured Non convertible Lower Tier II Bonds Series 4- Retail. Date of Maturity: 16/03/20269.45% Unsecured Non convertible Lower Tier II Bonds Series 4-Non Retail. Date of Maturity: 16/03/20268.45% UNSECURED REDEEMABLE NON CONVERTIBLE BASEL III COMPLAINT TIER 2 BONDS 8.45% UNSECURED REDEEMABLE NON CONVERTIBLE BASEL III COMPLAINT TIER 2 BONDS Reset rate Unsecured Non convertible Subordinated Perpetual bond in nature of promissory notes. (Series I) .
STATE BANK OF INDIA INE062A09221
STATE BANK OF INDIA INE062A08124
STATE BANK OF INDIA INE062A08132
STATE BANK OF INDIA INE062A08140
STATE BANK OF INDIA INE062A08157
STATE BANK OF INDORE INE650A09074
STATE BANK OF INDORE INE650A09090
STATE BANK OF INDORE INE650A09082
STATE BANK OF MYSORE INE651A09049
STATE BANK OF MYSORE INE651A09064
STATE BANK OF MYSORE INE651A08033
STATE BANK OF MYSORE INE651A08041
STATE BANK OF MYSORE INE651A08058
Reset rate Unsecured Non convertible Subordinated Perpetual bond in nature of promissory notes. Tier I Series 9% UNSECURED NON CONVERTIBLE PERPETUAL SUBORDINATED BASEL III COMPLAINT TIER 1 BONDS 8.75% UNSECURED NON CONVERTIBLE PERPETUAL SUBORDINATED BASEL III COMPLAINT TIER 1 BONDS 8.39% UNSECURED NON CONVERTIBLE PERPETUAL SUBORDINATED BASEL III COMPLAINT TIER 1 BONDS 8.15% UNSECURED NON CONVERTIBLE PERPETUAL SUBORDINATED BASEL III COMPLAINT TIER 1 BONDS 10.25 % Unsecured Non convertible Upper Tier II Subordinated bonds Series II in form of promissory notes. Reset rate Unsecured Non convertible Upper Tier II Subordinated bonds Series III in form of promissory 10.25% Unsecured Non Convertible subordinated Tier -I Perpetual Bonds in form of promissory notes. Series - I8.95% Unsecured Non Convertible Subordinated Bond in nature of promissory notes Upper Tier II.Letter of 9.08% Unsecured Non Convertible Subordinated Bond in nature of promissory notes Upper Tier II.Letter of 8.55% UNSECURED REDEEMABLE NON CONVERTIBLE BASEL III COMPLIANT TIER 2 8.4% UNSECURED REDEEMABLE NON CONVERTIBLE BASEL III COMPLIANT TIER 2 BONDS 8.45% UNSECURED REDEEMABLE NON CONVERTIBLE BASEL III COMPLIANT TIER 2 BONDS
STATE BANK OF MYSORE INE651A09056
STATE BANK OF MYSORE INE651A09072
STATE BANK OF PATIALA INE652A09054
STATE BANK OF PATIALA INE652A09062
STATE BANK OF PATIALA INE652A09070
STATE BANK OF PATIALA INE652A08015
STATE BANK OF PATIALA INE652A09088
INE654A09159
INE654A08011
INE654A09175
INE654A09167
INE654A08029
STCI FINANCE LIMITED INE020E07050
9.80% Unsecured Non Convertible Perpetual Bonds in form of promissory notes. Letter of AllotmentReset rate Unsecured Non Convertible Perpetual Bond in nature of promissory notes
9.30% Unsecured Redeemable Non convertible Upper Tier- II Subordinated bond in nature of promissory notes. Series IV. 9.30% Unsecured Redeemable Non convertible Upper Tier- II Subordinated bond in nature of promissory notes. Series V. Reset rate Unsecured Redeemable Non convertible Upper Tier- II Subordinated bond in nature of promissory 8.29% UNSECURED REDEEMABLE BASEL III COMPLIANT TIER II BONDS.SERIES I. LETTER Reset rate Unsecured Redeemable Non convertible Subordinated Perpetual bond in nature of promissory notes.
STATE BANK OF TRAVANCORE
9.18% Unsecured Redeemable Non Convertible Subordinated Lower Tier II Bonds in form of promissory notes. Series X.
STATE BANK OF TRAVANCORE
8.45% UNSECURED REDEEMABLE NON CONVERTIBLE BONDS IN THE NATURE OF
STATE BANK OF TRAVANCORE
9.25% Unsecured Redeemable Non Convertible Subordinated Upper Tier II Bonds Series - III Date of Maturity:
STATE BANK OF TRAVANCORE
9.95% Unsecured Redeemable Non Convertible Subordinated Perpetual Bonds in form of promissory notes. Series - II
STATE BANK OF TRAVANCORE
8.5% UNSECURED PERPETUAL SUBORDINATED BASEL III COMPLIANT ADDITIONAL 9.40% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. OPTION A.
STCI FINANCE LIMITED INE020E07035
STCI FINANCE LIMITED INE020E07043
STCI FINANCE LIMITED INE020E07068
INE114A07554
INE114A07877
INE114A07893
INE114A07851
INE114A07737
INE114A07786
INE114A07901
INE114A07919
INE114A07927
INE114A07562
9.67% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 9.89% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 9.40% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. OPTION B.
STEEL AUTHORITY OF INDIA LIMITED
8.80% Taxable Secured Redeemable Non Convertible Bonds (XXIV) - Issue (I Series) - AK-IV Letter of
STEEL AUTHORITY OF INDIA LIMITED
8.38% TAXABLE SECURED REDEEMABLE NON CONVERTIBLE BONDS. SERIES XXXVIII ISSUE I
STEEL AUTHORITY OF INDIA LIMITED
7.95% SECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS IN THE NATURE
STEEL AUTHORITY OF INDIA LIMITED
8.25% TAXABLE SECURED REDEEMABLE NON CONVERTIBLE BONDS XXXVI - ISSUE I, SERIES
STEEL AUTHORITY OF INDIA LIMITED
9.30% TAXABLE SECURED REDEEMABLE NON CONVERTIBLE BONDS XXXIII - ISSUE I- SERIES
STEEL AUTHORITY OF INDIA LIMITED
9.30% TAXABLE SECURED REDEEMABLE NON CONVERTIBLE BONDS XXXIII - ISSUE I- SERIES
STEEL AUTHORITY OF INDIA LIMITED
8.35% SECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS IN THE NATURE OF DEBENTURES. SERIES ISSUE STEEL AUTHORITY OF
INDIA LIMITED8.25% SECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS IN THE NATURE OF
STEEL AUTHORITY OF INDIA LIMITED
8.18% SECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS IN THE NATURE OF
STEEL AUTHORITY OF INDIA LIMITED
8.80% Taxable Secured Redeemable Non Convertible Bonds (XXIV) - Issue (I Series) - AK-V Letter of
INE114A07448
INE114A07455
INE114A07745
INE114A07794
INE114A07463
INE114A07505
INE114A07570
INE114A07646
INE114A07661
INE114A07679
INE114A07885
INE114A07687
INE114A07695
STEEL AUTHORITY OF INDIA LIMITED
8.90% (Taxable) Secured Redeemable Non-Convertible Bonds.Letter of Allotment. XVIII-Issue (I Series) (AE
STEEL AUTHORITY OF INDIA LIMITED
7.70% (Taxable) Secured Redeemable Non-Convertible Bonds.Letter of Allotment. XIX-Issue (I Series) (AF
STEEL AUTHORITY OF INDIA LIMITED
9.30% TAXABLE SECURED REDEEMABLE NON CONVERTIBLE BONDS XXXIII - ISSUE I - SERIES
STEEL AUTHORITY OF INDIA LIMITED
9.30% TAXABLE SECURED REDEEMABLE NON CONVERTIBLE BONDS XXXIII - ISSUE I - SERIES
STEEL AUTHORITY OF INDIA LIMITED
8.80% (Taxable) Secured Redeemable Non-Convertible Bonds.Letter of Allotment. XX-Issue (I Series) (AG
STEEL AUTHORITY OF INDIA LIMITED
8.75% Taxable Secured Redeemable Non Convertible Bonds (XXIII) - Issue (I Series) - AJ-II Letter of
STEEL AUTHORITY OF INDIA LIMITED
8.80% Taxable Secured Redeemable Non Convertible Bonds (XXIV) - Issue (I Series) - AK-VI Letter of
STEEL AUTHORITY OF INDIA LIMITED
8.60% Taxable Secured Redeemable Non Convertible Bonds XXV - Issue (I Series) - AL Letter of Allotment. Date
STEEL AUTHORITY OF INDIA LIMITED
8.50% Taxable Secured Redeemable Non Convertible Bonds XXVI - Issue (I Series) - AM - II Letter of Allotment.
STEEL AUTHORITY OF INDIA LIMITED
8.65% Taxable Secured Redeemable Non Convertible Bonds XXVII - Issue (I Series) - AN Series. Letter of
STEEL AUTHORITY OF INDIA LIMITED
8.30% TAXABLE SECURED REDEEMABLE NON CONVERTIBLE BONDS. SERIES XXXIX ISSUE I AZ
STEEL AUTHORITY OF INDIA LIMITED
8.65% Taxable Secured Redeemable Non Convertible Bonds XXVIII - Issue (I Series) - AO Series. Letter of
STEEL AUTHORITY OF INDIA LIMITED
8.75% Taxable Secured Redeemable Non Convertible Bonds XXIX - Issue (I Series) - AP Series. Letter of
INE114A07703
INE114A07752
INE114A07802
INE114A07935
INE114A07588
INE114A07760
INE114A07810
INE114A07471
INE114A07711
INE114A07596
INE114A07778
INE114A07828
INE114A07604
STEEL AUTHORITY OF INDIA LIMITED
8.72% Taxable Secured Redeemable Non Convertible Bonds XXX - Issue (I Series) - AQ Series. Letter of
STEEL AUTHORITY OF INDIA LIMITED
9.30% TAXABLE SECURED REDEEMABLE NON CONVERTIBLE BONDS XXXIII - ISSUE I - SERIES
STEEL AUTHORITY OF INDIA LIMITED
9.30% TAXABLE SECURED REDEEMABLE NON CONVERTIBLE BONDS XXXIII - ISSUE I - SERIES
STEEL AUTHORITY OF INDIA LIMITED
8.27% SECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS IN THE NATURE OF
STEEL AUTHORITY OF INDIA LIMITED
8.80% Taxable Secured Redeemable Non Convertible Bonds (XXIV) - Issue (I Series) - AK-VII Letter of
STEEL AUTHORITY OF INDIA LIMITED
9.30% TAXABLE SECURED REDEEMABLE NON CONVERTIBLE BONDS XXXIII - ISSUE I - SERIES
STEEL AUTHORITY OF INDIA LIMITED
9.30% TAXABLE SECURED REDEEMABLE NON CONVERTIBLE BONDS XXXIII - ISSUE I - SERIES
STEEL AUTHORITY OF INDIA LIMITED
8.55% Taxable Secured Redeemable Non Convertible Bonds (XXI) - Issue (I Series) - AH Series Letter of
STEEL AUTHORITY OF INDIA LIMITED
9.30% Taxable Secured Redeemable Non Convertible Bonds XXXI - Issue (I Series) - AR. Letter of Allotment.
STEEL AUTHORITY OF INDIA LIMITED
8.80% Taxable Secured Redeemable Non Convertible Bonds (XXIV) - Issue (I Series) - AK-VIII Letter of
STEEL AUTHORITY OF INDIA LIMITED
9.30% TAXABLE SECURED REDEEMABLE NON CONVERTIBLE BONDS XXXIII - ISSUE I - SERIES
STEEL AUTHORITY OF INDIA LIMITED
9.30% TAXABLE SECURED REDEEMABLE NON CONVERTIBLE BONDS XXXIII - ISSUE I - SERIES
STEEL AUTHORITY OF INDIA LIMITED
8.80% Taxable Secured Redeemable Non Convertible Bonds (XXIV) - Issue (I Series) - AK-IX Letter of
INE114A07943
INE114A07950
INE114A07968
INE114A07612
INE114A07489
INE114A07513
INE114A07869
INE114A07620
INE114A07638
INE114A07729
INE549N08016
INE481R09029
INE258T07013
STEEL AUTHORITY OF INDIA LIMITED
8.35% SECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS IN THE NATURE OF
STEEL AUTHORITY OF INDIA LIMITED
8.30% SECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS IN THE NATURE OF
STEEL AUTHORITY OF INDIA LIMITED
8.30% SECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS IN THE NATURE OF
STEEL AUTHORITY OF INDIA LIMITED
8.80% Taxable Secured Redeemable Non Convertible Bonds (XXIV) - Issue (I Series) - AK-X Letter of
STEEL AUTHORITY OF INDIA LIMITED
8.70% Taxable Secured Redeemable Non Convertible Bonds (XXII) - Issue (I Series) - AI Series Letter of
STEEL AUTHORITY OF INDIA LIMITED
8.75% Taxable Secured Redeemable Non Convertible Bonds (XXIII) - Issue (I Series) - AJ-III Letter of
STEEL AUTHORITY OF INDIA LIMITED
9% TAXABLE SECURED REDEEMABLE NON CONVERTIBLE BONDS. SERIES XXXVII ISSUE I
STEEL AUTHORITY OF INDIA LIMITED
8.80% Taxable Secured Redeemable Non Convertible Bonds (XXIV) - Issue (I Series) - AK-XI Letter of
STEEL AUTHORITY OF INDIA LIMITED
8.80% Taxable Secured Redeemable Non Convertible Bonds (XXIV) - Issue (I Series) - AK-XII Letter of
STEEL AUTHORITY OF INDIA LIMITED
9.35% Taxable Secured Redeemable Non Convertible Bonds XXXII - Issue (I Series) - AS Series. Letter of
STEMPEUTICS RESEARCH PRIVATE LIMITED
0.01% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
STERLING GATED COMMUNITY PRIVATE LIMITED
16% SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
STERLING HABITATS PRIVATE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD
INE258T07039
INE397Y07019
STERLITE GRID 1 LIMITED INE391N08013
STERLITE GRID 1 LIMITED INE391N08021
STERLITE GRID 1 LIMITED INE391N08039
INE268A07103
INE268A07111
INE268A07129
INE268A07137
INE268A07145
INE268A07152
INE268A07160
INE615S07016
STERLING HABITATS PRIVATE LIMITED
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES NCD SERIES 1B. DATE OF
STERLING URBAN VENTURES PRIVATE LIMITED
RESET RATE SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. NCD SERIES UNSECURED REDEEMABLE NON CONVETIBLE DEBENTURES. DATE OF MATURITY 22/07/2019 UNSECURED REDEEMABLE NON CONVETIBLE DEBENTURES. DATE OF MATURITY 29/07/2019 UNSECURED REDEEMABLE NON CONVETIBLE DEBENTURES. DATE OF MATURITY 06/08/2019
STERLITE INDUSTRIES (INDIA) LIMITED
9.40% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE
STERLITE INDUSTRIES (INDIA) LIMITED
9.40% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE
STERLITE INDUSTRIES (INDIA) LIMITED
9.24% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE
STERLITE INDUSTRIES (INDIA) LIMITED
9.24% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE
STERLITE INDUSTRIES (INDIA) LIMITED
9.1% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE
STERLITE INDUSTRIES (INDIA) LIMITED
9.17% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE
STERLITE INDUSTRIES (INDIA) LIMITED
9.17% SECURED NON CONVERTIBLE NON CUMULATIVE REDEEMABLE TAXABLE
STERLITE POWER GRID VENTURES LIMITED
10.40% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
INE615S07024
INE089C07075
INE089C07083
SUBROS LTD. INE287B07010
INE084S08013
INE483Y07017
INE483Y07025
INE033N08011
INE332Y08014
INE332Y08022
INE332Y08030
INE332Y08048
INE332Y08055
STERLITE POWER GRID VENTURES LIMITED
10.40% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II.
STERLITE TECHNOLOGIES LIMITED
8.45% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
STERLITE TECHNOLOGIES LIMITED
8.45% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II. 8.50% SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
SUGAM VANIJYA HOLDINGS PRIVATE LIMITED
12% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
SUGEE ONE DEVELOPERS PRIVATE LIMITED
16.50% SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
SUGEE ONE DEVELOPERS PRIVATE LIMITED
16.50% SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 2.
SUJA SHOEI INDUSTRIES PRIVATE LIMITED
12.5% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. SERIES 1.
SUKAVALA RENEWABLE ENERGY PRIVATE LIMITED
17.05% UNSECURED UNLISTED COMPULSORILY CONVERTIBLE DEBENTURES. SERIES A.
SUKAVALA RENEWABLE ENERGY PRIVATE LIMITED
17.05% UNSECURED UNLISTED COMPULSORILY CONVERTIBLE DEBENTURES. SERIES A.
SUKAVALA RENEWABLE ENERGY PRIVATE LIMITED
17.05% UNSECURED UNLISTED COMPULSORILY CONVERTIBLE DEBENTURES. SERIES A.
SUKAVALA RENEWABLE ENERGY PRIVATE LIMITED
17.05% UNSECURED UNLISTED COMPULSORILY CONVERTIBLE DEBENTURES. SERIES A.
SUKAVALA RENEWABLE ENERGY PRIVATE LIMITED
17.05% UNSECURED UNLISTED COMPULSORILY CONVERTIBLE DEBENTURES. SERIES A.
INE332Y08063
INE915T08016
INE915T08024
INE033U07018
INE145P07036
INE667F07EJ7
INE667F07AN7
INE667F07AL1
INE667F07AR8
INE667F07EV2
INE667F07EX8
INE667F07EY6
INE667F07EZ3
SUKAVALA RENEWABLE ENERGY PRIVATE LIMITED
17.05% UNSECURED UNLISTED COMPULSORILY CONVERTIBLE DEBENTURES. SERIES A.
SUN PHARMA LABORATORIES LIMITED
7.94% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.SERIES 1.
SUN PHARMA LABORATORIES LIMITED
7.94% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.SERIES 2.
SUNBORNE ENERGY ANDHRA PRIVATE LIMITED
9.50% SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SUNCITY CONSTRUCTWELL PRIVATE LIMITED
15.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
9.7% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
9.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
9.59% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
9.10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
9.10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
9.10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
INE667F07AU2
INE667F07EU4
INE667F07GH6
INE667F07AY4
INE667F07FH8
INE667F07FG0
INE667F07FJ4
INE667F07BG9
INE667F07EW0
INE667F07FU1
INE667F07BA2
INE667F07FF2
INE667F07BJ3
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
7.9558% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES SEPTEMBER 2016 -
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
9.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
9.04% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE.DATE OF
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
9.33% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
9.30% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. DATE OF
INE667F07BN5
INE667F07FO4
INE667F07FN6
INE667F07FP1
INE667F07FQ9
INE667F07GG8
INE667F07BU0
INE667F07GO2
INE667F07FR7
INE667F07FT3
INE667F07FV9
INE667F08053
INE667F07CY0
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
9.15% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. DATE OF
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES MAY 2015- 256. DATE OF SUNDARAM BNP PARIBAS
HOME FINANCE LIMITEDZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES MAY 2015- 255. DATE OF SUNDARAM BNP PARIBAS
HOME FINANCE LIMITEDZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES JULY 2015- 257. DATE OF SUNDARAM BNP PARIBAS
HOME FINANCE LIMITED8.9277% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES JULY 2015- 258. DATE OF SUNDARAM BNP PARIBAS
HOME FINANCE LIMITED8.42% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES AUGUST 2016 -
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
10.45% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. DATE OF
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES FEBRUARY 2017 -
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
8.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
8.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
8.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
10.25% Unsecured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 18/01/2019
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
10.07% SECURED NON-CONVERTIBLE DEBENTURES. SERIES 182 & 183. DATE OF
INE667F08061
INE667F07DF7
INE667F07GN4
INE667F08079
INE667F07DP6
INE667F07FW7
INE667F07FX5
INE667F07GJ2
INE667F07GK0
INE667F07GS3
INE667F08095
INE667F07FZ0
INE667F07GT1
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
10.35% Unsecured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 08/02/2019
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
10.17% SECURED NON-CONVERTIBLE DEBENTURES. SERIES 190. DATE OF MATURITY
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
7.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES FEBRUARY 2017 -
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
10.35% Unsecured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 22/02/2019
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 200.
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
8.97% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
8.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES SEPTEMBER 2016 -
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES OCTOBER 2016 -
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
7.67% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES JUNE 2017 - 288 &
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
10.5% Unsecured Redeemable Non Convertible Debenture. Letter of Allotment. Date of Maturity 28/06/2019
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES MAY 2016 - 269.
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
7.47% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES JUNE 2017 - 290.
INE667F07GB9
INE667F07GC7
INE667F07GF0
INE667F07DT8
INE667F07GE3
INE667F08103
INE667F07EA6
INE667F07GA1
INE667F07EC2
INE667F07EI9
INE667F07ER0
INE667F07GL8
INE667F07GM6
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES JULY 2016 - 270.
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
8.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES JULY 2016 - 271.
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
8.65% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES JULY 2016 - 275.
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
9.65% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 204
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES JULY 2016 - 274.
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
10.5% UNSECURED SUBORDINATED BONDS - AUGUST 2012. DATE OF MATURITY 23/08/2019
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
9.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
8.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES JULY 2016 - 272.
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
9.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
9.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
9.56% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
7.60% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES NOVEMBER 2016 -
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
7.60% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES DECEMBER 2016 -
INE667F07FK2
INE667F07GR5
INE667F07GI4
INE667F07GD5
INE667F07GU9
INE667F07GV7
INE667F07FS5
INE667F08087
INE667F08111
INE667F08129
INE667F08137
INE660A07NI6
INE660A07NJ4
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
8.95% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES JUNE 2017 - 287.
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES SEPTEMBER 2016 -
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
8.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES JULY 2016 - 273.
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
7.40% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES AUGUST 2017 -
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
7.40% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES SEPTEMBER 2017 -
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
8.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
10.5% Unsecured Redeemable Non Convertible Debenture. Letter of Allotment. Date of Maturity 28/06/2022
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
9.90% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
9.45% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED
9.25% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 11.
SUNDARAM FINANCE LIMITED
8.55% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES O - 17. DATE OF
SUNDARAM FINANCE LIMITED
8.55% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES O - 18. DATE OF
INE660A07NK2
INE660A07NM8
INE660A07NO4
INE660A07NN6
INE660A07MM0
INE660A07MJ6
INE660A07JF0
INE660A07NL0
INE660A07OA1
INE660A07NP1
INE660A07MN8
INE660A07NS5
INE660A07NW7
SUNDARAM FINANCE LIMITED
8.7% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES O - 19. DATE OF
SUNDARAM FINANCE LIMITED
8.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES O - 21. DATE OF
SUNDARAM FINANCE LIMITED
8.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES O - 23. DATE OF
SUNDARAM FINANCE LIMITED
8.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES O - 22. DATE OF
SUNDARAM FINANCE LIMITED
9.10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES N -
SUNDARAM FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES N -
SUNDARAM FINANCE LIMITED
9.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES L -
SUNDARAM FINANCE LIMITED
8.6695% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES O - 20. DATE OF
SUNDARAM FINANCE LIMITED
7.9064% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 13. DATE OF
SUNDARAM FINANCE LIMITED
8.5687% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 1. DATE OF
SUNDARAM FINANCE LIMITED
9.05% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES N -
SUNDARAM FINANCE LIMITED
8.58% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 4. DATE OF
SUNDARAM FINANCE LIMITED
8.58% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 8. DATE OF
INE660A07JG8
INE660A07NX5
INE660A07JS3
INE660A07NA3
INE660A07NC9
INE660A07JX3
INE660A07OB9
INE660A07OD5
INE660A07OE3
INE660A07OF0
INE660A07OG8
INE660A07OH6
INE660A07OI4
SUNDARAM FINANCE LIMITED
9.30% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES M - 1.
SUNDARAM FINANCE LIMITED
8.60% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 9. DATE OF
SUNDARAM FINANCE LIMITED
9.10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES M - 6.
SUNDARAM FINANCE LIMITED
8.8671% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES O - 9. DATE OF MATURITY 12/06/2018SUNDARAM FINANCE
LIMITED8.9% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES O - 11. DATE OF MATURITY 29/06/2018SUNDARAM FINANCE
LIMITED10.32% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES M -
SUNDARAM FINANCE LIMITED
8% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 14. DATE OF MATURITY
SUNDARAM FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 16. DATE OF
SUNDARAM FINANCE LIMITED
7.72% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 17. DATE OF
SUNDARAM FINANCE LIMITED
7.65% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 18. DATE OF
SUNDARAM FINANCE LIMITED
7.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 19. DATE OF
SUNDARAM FINANCE LIMITED
7.80% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 20. DATE OF
SUNDARAM FINANCE LIMITED
7.65% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 21. DATE OF
INE660A07OJ2
INE660A07OK0
INE660A07OL8
INE660A07ON4
INE660A07OO2
INE660A07OU9
INE660A07PA8
INE660A07NQ9
INE660A07NR7
INE660A07OS3
INE660A07OV7
INE660A07NV9
INE660A07KM4
SUNDARAM FINANCE LIMITED
7.45% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 22. DATE OF
SUNDARAM FINANCE LIMITED
7.66% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 23. DATE OF
SUNDARAM FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 24. DATE OF
SUNDARAM FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 26. DATE OF
SUNDARAM FINANCE LIMITED
7.80% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 27. DATE OF
SUNDARAM FINANCE LIMITED
7.6671% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES Q 3. DATE OF
SUNDARAM FINANCE LIMITED
7.363% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES Q 11. DATE OF
SUNDARAM FINANCE LIMITED
8.60% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 2. DATE OF
SUNDARAM FINANCE LIMITED
8.61% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 3. DATE OF
SUNDARAM FINANCE LIMITED
7.73% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES Q 1. DATE OF
SUNDARAM FINANCE LIMITED
7.69% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES Q 4. DATE OF
SUNDARAM FINANCE LIMITED
8.60% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 7. DATE OF
SUNDARAM FINANCE LIMITED
9.98% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES N - 5.
INE660A07KP7
INE660A07OW5
INE660A07NT3
INE660A07NZ0
INE660A07OZ8
INE660A07PB6
INE660A07KW3
INE660A07PC4
INE660A07LK6
INE660A07PD2
INE660A07OC7
INE660A07OP9
INE660A07PG5
SUNDARAM FINANCE LIMITED
9.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES N -
SUNDARAM FINANCE LIMITED
7.65% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES Q 7. DATE OF
SUNDARAM FINANCE LIMITED
8.5866% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 5. DATE OF
SUNDARAM FINANCE LIMITED
8.7% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 11. DATE OF
SUNDARAM FINANCE LIMITED
7.45% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES Q 10. DATE OF
SUNDARAM FINANCE LIMITED
7.29% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES Q 12. DATE OF
SUNDARAM FINANCE LIMITED
9.60% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES N -
SUNDARAM FINANCE LIMITED
7.30% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES Q 13. DATE OF
SUNDARAM FINANCE LIMITED
9.4554% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES N -
SUNDARAM FINANCE LIMITED
7.40% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES Q 14. DATE OF
SUNDARAM FINANCE LIMITED
8% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 15. DATE OF MATURITY
SUNDARAM FINANCE LIMITED
7.8236% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 28. DATE OF
SUNDARAM FINANCE LIMITED
7.35% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES Q
INE660A07OX3
INE660A07OQ7
INE660A07OM6
INE660A07OR5
INE660A08BG3
INE660A07NY3
INE660A07OT1
INE660A07OY1
INE660A07PE0
INE660A07PF7
INE660A08BH1
INE660A08BI9
INE660A08BJ7
SUNDARAM FINANCE LIMITED
7.62% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES Q 8. DATE OF
SUNDARAM FINANCE LIMITED
7.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 29. DATE OF
SUNDARAM FINANCE LIMITED
7.6997% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 25. DATE OF
SUNDARAM FINANCE LIMITED
7.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 30. DATE OF
SUNDARAM FINANCE LIMITED
9.85% Unsecured Non -Convertible Debenture. Letter of Allotment Series J-5 Date of Maturity: 07/05/2020
SUNDARAM FINANCE LIMITED
8.67% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 10. DATE OF
SUNDARAM FINANCE LIMITED
7.7952% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES Q 2. DATE OF
SUNDARAM FINANCE LIMITED
7.5501% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES Q 9. DATE OF
SUNDARAM FINANCE LIMITED
7.47% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES Q 15. DATE OF
SUNDARAM FINANCE LIMITED
7.35% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES Q 16. DATE OF
SUNDARAM FINANCE LIMITED
9.93% Unsecured Non -Convertible Debenture. Letter of Allotment Series J-22 Date of Maturity: 22/12/2020
SUNDARAM FINANCE LIMITED
9.93% Unsecured Non-Convertible Debenture. Letter of Allotment. Series- J-25. Date of Maturity 28/01/2021
SUNDARAM FINANCE LIMITED
9.93% Unsecured Non-Convertible Debenture.Series- K-1. Date of Maturity 07/04/2021
INE660A07NU1
INE660A08BK5
INE660A08BL3
INE660A08BM1
INE660A08BN9
INE660A08BO7
INE660A08BP4
INE660A08BQ2
INE660A08BR0
INE660A08BS8
INE660A08BT6
INE660A08BU4
INE660A08BV2
SUNDARAM FINANCE LIMITED
8.60% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES P 6. DATE OF
SUNDARAM FINANCE LIMITED
10.15% Unsecured Non-Convertible Debenture. Letter of Allotment. Series- K 23. Date of Maturity 29/07/2021
SUNDARAM FINANCE LIMITED
10.02% Unsecued Non-Convertible Debenture. Letter of Allotment. Series- K-24. Date of Maturity 09/08/2021
SUNDARAM FINANCE LIMITED
9.90% Unsecured Non-Convertible Debenture. Letter of Allotment. Series- K-67. Date of Maturity 30/03/2022
SUNDARAM FINANCE LIMITED
10.30% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . SERIES L -
SUNDARAM FINANCE LIMITED
10.3% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
SUNDARAM FINANCE LIMITED
9.75% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
SUNDARAM FINANCE LIMITED
9.80% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
SUNDARAM FINANCE LIMITED
9.80% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
SUNDARAM FINANCE LIMITED
9.60% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
SUNDARAM FINANCE LIMITED
9.25% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. SERIES O - 6.
SUNDARAM FINANCE LIMITED
8.80% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
SUNDARAM FINANCE LIMITED
8.48% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
INE660A08BW0
INE195S08017
INE265M07070
INE975S07014
INE751M11014
SUNTECK REALTY LTD INE805D07023
SUNTECK REALTY LTD INE805D07031
SUNTECK REALTY LTD INE805D07049
INE573S07017
INE573S07025
INE698W07014
INE647V08011
INE814V08017
SUNDARAM FINANCE LIMITED
8.45% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
SUNNY VIEW ESTATES PRIVATE LIMITED
10.60% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
SUNSHINE HOUSING & INFRASTRUCTURE PVT LTD
19.20% SECURED REDEEMABLE NONCONVERTIBLE DEBENTURE. LETTER OF
SUNSHINE HOUSING PRIVATE LIMITED
20.40% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF SUNSTREAM CITY PRIVATE
LIMITEDZERO COUPON UNSECURED REDEEMABLE TAXABLE NON CONVERTIBLE BONDS IN 11.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURS. SERIES B. LETTER OF 11.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURS. SERIES C. LETTER OF 11.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURS. SERIES D. LETTER OF
SUNTRACK COMMERCE PRIVATE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SUNTRACK COMMERCE PRIVATE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SUNWORLD DEVELOPERS PRIVATE LIMITED
17% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SUNWORLD ENERGY PRIVATE LIMITED
RESET RATE UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SUNWORLD SOLAR POWER PRIVATE LIMITED
0.01% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
INE814V08025
INE576T07018
INE042T08019
INE623J08017
INE843S07030
INE843S07022
INE078W07019
SURAKSHA REALTY LIMITED INE959P07055
SURAKSHA REALTY LIMITED INE959P07063
INE912R08017
INE428Q08040
INE428Q08057
INE428Q08065
SUNWORLD SOLAR POWER PRIVATE LIMITED
0.01% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SUPER REALTECH PRIVATE LIMITED
17% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
SUPRASANNA SOLAIRE ENERGY PRIVATE LIMITED
10% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
SUPREME REALTY PRIVATE LIMITED
10.00% Unsecured Optionally Fully Convertible Debenture Letter of Allotment.Date of Maturity : 27/03/2018
SURAJ ESTATE DEVELOPERS PRIVATE LIMITED
19% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B.
SURAJ ESTATE DEVELOPERS PRIVATE LIMITED
19% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
SURAJ VINIYOG PRIVATE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF ZERO COUPON SECURED NON-CONVERTIBLE DEBENTURES. SERIES III. DATE OF MATURITY ZERO COUPON SECURED NON-CONVERTIBLE DEBENTURES. SERIES IV. DATE OF MATURITY
SURBHI INVESTMENTS & TRADING COMPANY PRIVATE LIMITED
2.5% UNSECURED OPTIONALLY CONVERTIBLE DEBENTURES. SERIES A.
SURYODAY MICRO FINANCE LIMITED
11.55% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
SURYODAY MICRO FINANCE LIMITED
BENCHMAKR RATE LINKED UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
SURYODAY MICRO FINANCE LIMITED
RESET RATE LINKED UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
INE428Q07117
INE428Q08024
INE428Q08032
INE428Q07109
INE428Q07075
INE428Q07059
INE428Q08016
INE428Q07083
INE428Q07091
INE511S08015
INE444T07019
SV CREDITLINE PVT. LTD. INE472Q07073
SV CREDITLINE PVT. LTD. INE472Q08014
SURYODAY MICRO FINANCE LIMITED
13.1011% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
SURYODAY MICRO FINANCE LIMITED
15.85% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
SURYODAY MICRO FINANCE LIMITED
12.70% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
SURYODAY MICRO FINANCE PRIVATE LIMITED
14.10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 10 F GROUP DEBT INSTRUMENT. SURYODAY MICRO
FINANCE PRIVATE LIMITED
14% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 6 F
SURYODAY MICRO FINANCE PRIVATE LIMITED
13.63% SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES
SURYODAY MICRO FINANCE PRIVATE LIMITED
17.50% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 007
SURYODAY MICRO FINANCE PRIVATE LIMITED
14.9% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 8 F
SURYODAY MICRO FINANCE PRIVATE LIMITED
14.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 9 F
SUSTAINABLE AGRO-COMMERCIAL FINANCE LIMITED
RESET RATE UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATE
SUTLEJ HOUSING PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II. 13.5267% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1-18% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES F GROUP DEBT INSTRUMENT.
SV CREDITLINE PVT. LTD. INE472Q07057
SV CREDITLINE PVT. LTD. INE472Q07081
SV CREDITLINE PVT. LTD. INE472Q07099
INE513Q07025
INE513Q07041
INE513Q07033
INE513Q07066
INE513Q07058
SVL LIMITED INE227R07012
INE963H07013
INE911H07012
INE914O07012
SWIL LIMITED INE666A07017
15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES F GROUP DEBT INSTRUMENT. DATE OF MATURITY 13.5267% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1-14.30% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1-
SVASTI MICROFINANCE PRIVATE LIMITED
12.78% XIRR SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
SVASTI MICROFINANCE PRIVATE LIMITED
12.51% XIRR SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
SVASTI MICROFINANCE PRIVATE LIMITED
12.36% XIRR SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
SVASTI MICROFINANCE PRIVATE LIMITED
11.40% XIRR SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
SVASTI MICROFINANCE PRIVATE LIMITED
14.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 01-
SWARNA TOLLWAY PRIVATE LIMITED
10.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
SWASTI POWER PRIVATE LIMITED
9.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
SWAWS CREDIT CORPORATION INDIA PVT LIMITED
12% SECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF 12.50%(yield) Secured Optionally Fully Convertible Debentures. Date of redemption: 01/04/2018
SWIL LIMITED INE666A07025
INE826M07020
SYNDICATE BANK INE667A09136
SYNDICATE BANK INE667A09151
SYNDICATE BANK INE667A09177
SYNDICATE BANK INE667A08013
SYNDICATE BANK INE667A08021
SYNDICATE BANK INE667A08039
SYNDICATE BANK INE667A08047
SYNDICATE BANK INE667A08096
SYNDICATE BANK INE667A09128
SYNDICATE BANK INE667A09144
SYNDICATE BANK INE667A09169
12.50%(yield) Secured Optionally Fully Convertible Debentures. Date of Final redemption: 01/04/2018
SYLVANUS PROPERTIES LIMITED
9.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF 8.60% Unsecured Redeemable Non Convertible Subordinated Lower Tier-II - Series - X Bond in nature of Promissory 8.49% Unsecured Redeemable Non Convertible Subordinated Lower Tier-II - Series - XI Bond in nature of Promissory 9.00% Unsecured Non Convertible Subordinated Tier II Bonds (Series XII) in nature of Promissory notes.Letter of 8.95% UNSECURED REDEEMABLE NON CONVERTIBLE BASEL III COMPLIANT TIER II 8.75% UNSECURED REDEEMABLE NON CONVERTIBLE BASEL III COMPLIANT TIER II 8.58% UNSECURED REDEEMABLE NON CONVERTIBLE BASEL III COMPLIANT TIER II BONDS 8.62% UNSECURED REDEEMABLE NON CONVERTIBLE BASEL III COMPLIANT TIER II BONDS 8% UNSECURED NON CONVERTIBLE LISTED BASEL III COMPLIANT TIER II BONDS. LETTER OF 9.90 % Unsecured Non Convertible Subordinated perpetual Bond (Series 1) in nature of Promissory notes.9.40% Unsecured Non Convertible Subordinated perpetual Bond (Series II) in nature of Promissory Reset rate Unsecured Non Convertible Subordinated Tier I perpetual Bond (Series III) in nature of Promissory notes.
SYNDICATE BANK INE667A08054
SYNDICATE BANK INE667A08062
SYNDICATE BANK INE667A08070
SYNDICATE BANK INE667A08088
SYNDICATE BANK INE667A08104
INE525V07011
INE841V08010
INE841V08028
INE841V08036
INE841V08044
INE841V08051
INE840V08012
INE840V08020
11.25% UNSECURED PERPETUAL NON CONVERTIBLE BASEL III COMPLIANT ADDITIONAL 11.25% UNSECURED PERPETUAL NON CONVERTIBLE BASEL III COMPLIANT ADDITIONAL 11.25% UNSECURED PERPETUAL NON CONVERTIBLE BASEL III COMPLIANT ADDITIONAL 9.95% UNSECURED PERPETUAL NON CONVERTIBLE BASEL III COMPLIANT ADDITIONAL 9.8% UNSECURED NON CONVERTIBLE PERPETUAL BASEL III COMPLIANT ADDITIONAL TIER I BONDS.
SYSTEMTRAC TRADERS PRIVATE LIMITED
11.10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
TALETTUTAYI SOLAR PROJECTS FOUR PRIVATE LIMITED
16% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. TRANCHE 1.
TALETTUTAYI SOLAR PROJECTS FOUR PRIVATE LIMITED
16% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. TRANCHE 2.
TALETTUTAYI SOLAR PROJECTS FOUR PRIVATE LIMITED
16% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. TRANCHE 3.
TALETTUTAYI SOLAR PROJECTS FOUR PRIVATE LIMITED
16% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. TRANCHE 4.
TALETTUTAYI SOLAR PROJECTS FOUR PRIVATE LIMITED
16% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. TRANCHE 5.
TALETTUTAYI SOLAR PROJECTS ONE PRIVATE LIMITED
16% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. TRANCHE 1.
TALETTUTAYI SOLAR PROJECTS ONE PRIVATE LIMITED
16% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. TRANCHE 2.
INE971T08019
INE502K07070
INE502K07047
INE502K07054
INE502K07088
INE502K07096
INE502K07062
INE502K07104
INE502K07112
INE694L07057
INE694L07065
INE694L07073
INE694L07099
TALETTUTAYI SOLAR PROJECTS PRIVATE LIMITED
16% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. TRANCHE 1
TALWALKARS BETTER VALUE FITNESS LIMITED
10% SECURED TAXABLEREDEEMABLE NON-CONVERTIBLE DEBENTURE. LETTER OF
TALWALKARS BETTER VALUE FITNESS LIMITED
11.75% SECURED TAXABLEREDEEMABLE NON-CONVERTIBLE DEBENTURE. LETTER OF
TALWALKARS BETTER VALUE FITNESS LIMITED
9.8% SECURED TAXABLE REDEEMABLE NON-CONVERTIBLE DEBENTURE. LETTER OF
TALWALKARS BETTER VALUE FITNESS LIMITED
9.85% SECURED TAXABLE REDEEMABLE NON-CONVERTIBLE DEBENTURE. LETTER OF ALLOTMENT.
TALWALKARS BETTER VALUE FITNESS LIMITED
9.85% SECURED TAXABLE REDEEMABLE NON-CONVERTIBLE DEBENTURE. LETTER OF ALLOTMENT.
TALWALKARS BETTER VALUE FITNESS LIMITED
9.85% SECURED TAXABLEREDEEMABLE NON-CONVERTIBLE DEBENTURE. LETTER OF
TALWALKARS BETTER VALUE FITNESS LIMITED
9.6% SECURED TAXABLE REDEEMABLE NON-CONVERTIBLE DEBENTURE. LETTER OF ALLOTMENT.
TALWALKARS BETTER VALUE FITNESS LIMITED
9.6% SECURED TAXABLE REDEEMABLE NON-CONVERTIBLE DEBENTURE. LETTER OF ALLOTMENT.
TALWANDI SABO POWER LTD
9.27% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
TALWANDI SABO POWER LTD
8.91% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
TALWANDI SABO POWER LTD
8.91% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
TALWANDI SABO POWER LTD
7.75% SECURED RATED REDEEMABLE TAXABLE NON CONVERTIBLE DEBENTURES. SERIES
INE694L07081
INE694L07107
INE084G09164
INE084G09206
INE084G09214
INE084G09222
INE084G09230
INE084G09248
INE340M08046
INE340M08053
INE340M08061
INE340M08079
INE340M08087
TALWANDI SABO POWER LTD
8.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TALWANDI SABO POWER LTD
7.85% SECURED RATED LISTED REDEEMABLE TAXABLE NON CONVERTIBLE
TAMILNADU ELECTRICITY BOARD
8.75 % Unsecured Non Convertible Bonds in form of promissory notes. Series -2/2007-08 Letter of Allotment.
TAMILNADU ELECTRICITY BOARD
8.81% Unsecured Non Convertible Bonds in form of promissory notes. Series -3/2008-09 .Letter of
TAMILNADU ELECTRICITY BOARD
8.70% Unsecured Non Convertible Bonds in form of promissory notes. Series -1/2009-10 .Letter of
TAMILNADU ELECTRICITY BOARD
8.40% Unsecured Non Convertible Bonds in form of promissory notes. Series -2/2009-10 .Letter of
TAMILNADU ELECTRICITY BOARD
8.32% Unsecured Non Convertible Bonds in form of promissory notes. Series -3/2009-10 .Letter of
TAMILNADU ELECTRICITY BOARD
8.64% Unsecured Non Convertible Bonds in form of promissory notes. Series -4/2009-10 .Letter of
TAMILNADU GENERATION AND DISTRIBUTION CORPORATION LIMITED
9.01% UNSECURED BONDS ISSUED UNDER FRP. LETTER OF ALLOTMENT. DATE OF MATURITY
TAMILNADU GENERATION AND DISTRIBUTION CORPORATION LIMITED
8.66% UNSECURED BONDS ISSUED UNDER FRP. LETTER OF ALLOTMENT. DATE OF MATURITY
TAMILNADU GENERATION AND DISTRIBUTION CORPORATION LIMITED
8.41% UNSECURED BONDS ISSUED UNDER FRP. LETTER OF ALLOTMENT. DATE OF MATURITY
TAMILNADU GENERATION AND DISTRIBUTION CORPORATION LIMITED
8.41% UNSECURED BONDS ISSUED UNDER FRP. LETTER OF ALLOTMENT. DATE OF MATURITY
TAMILNADU GENERATION AND DISTRIBUTION CORPORATION LIMITED
8.49% UNSECURED BONDS ISSUED UNDER FRP. LETTER OF ALLOTMENT. DATE OF MATURITY
INE340M08095
INE340M08103
INE340M09010
INE340M09028
INE340M08012
INE340M08020
INE340M08038
INE340M08111
INE340M08129
INE340M08137
INE340M08145
INE340M08152
INE340M08160
TAMILNADU GENERATION AND DISTRIBUTION CORPORATION LIMITED
8.53% UNSECURED BONDS ISSUED UNDER FRP. LETTER OF ALLOTMENT. DATE OF MATURITY
TAMILNADU GENERATION AND DISTRIBUTION CORPORATION LIMITED
8.79% UNSECURED BONDS ISSUED UNDER FRP. LETTER OF ALLOTMENT. DATE OF MATURITY
TAMILNADU GENERATION AND DISTRIBUTION CORPORATION LIMITED
8.65% Unsecured Non Convertible Taxable Bonds series-1/2010-11 Letter of Allotment Date of Maturity -
TAMILNADU GENERATION AND DISTRIBUTION CORPORATION LIMITED
9.70% Unsecured Non Convertible Taxable Bonds series-1/2010-11 Letter of Allotment Date of Maturity -
TAMILNADU GENERATION AND DISTRIBUTION CORPORATION LIMITED
9.59% Unsecured Non Convertible Taxable Bonds series-2/2011-12 Letter of Allotment Date of Maturity -
TAMILNADU GENERATION AND DISTRIBUTION CORPORATION LIMITED
9.50%Unsecured Non-Convertible Taxable Bond. Letter of Allotment. Series- 3/2011-12. Date of Maturity
TAMILNADU GENERATION AND DISTRIBUTION CORPORATION LIMITED
9.90% Unsecured Non-Convertible Taxable Bond. Letter of Allotment. Series-04/2011-12. Date of Maturity
TAMILNADU GENERATION AND DISTRIBUTION CORPORATION LIMITED
10.50% UNSECURED BONDS SERIES I 2013-14. DATE OF MATURITY 10/02/2024
TAMILNADU GENERATION AND DISTRIBUTION CORPORATION LIMITED
9.72% UNSECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS SERIES I 2014-15.
TAMILNADU GENERATION AND DISTRIBUTION CORPORATION LIMITED
9.20% UNSECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS SERIES II 2014-15.
TAMILNADU GENERATION AND DISTRIBUTION CORPORATION LIMITED
9% UNSECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS SERIES III 2014-15. DATE OF MATURITY TAMILNADU GENERATION
AND DISTRIBUTION CORPORATION LIMITED
10% UNSECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS SERIES II 2015-16.
TAMILNADU GENERATION AND DISTRIBUTION CORPORATION LIMITED
9.70% UNSECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS SERIES II 2016-17.
INE859N08019
INE859N08027
INE859N08035
INE859N08043
INE311I07013
INE311I07021
INE311I07062
INE311I07070
INE311I07054
INE311I07039
INE311I07047
INE791Q07019
INE791Q07027
TAMILNADU POWER FINANCE AND INFRASTRUCTURE DEVELOPMENT
9.67% Unsecured Non Convertible Bond.Letter of Allotment. Date of Maturity: 01/09/2022
TAMILNADU POWER FINANCE AND INFRASTRUCTURE DEVELOPMENT
9.56% State Government guaranteed redeemable Non Convertible Bond.Final Date of Maturity: 09/01/2023
TAMILNADU POWER FINANCE AND INFRASTRUCTURE DEVELOPMENT
9.35% UNSECURED STATE GOVERNMENT GUARANTEED REDEEMABLE NON
TAMILNADU POWER FINANCE AND INFRASTRUCTURE DEVELOPMENT
9.19% UNSECURED STATE GOVERNMENT GUARANTEED REDEEMABLE NON
TANGLIN DEVELOPMENTS LIMITED
12.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
TANGLIN DEVELOPMENTS LIMITED
11.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 2.
TANGLIN DEVELOPMENTS LIMITED
RATING LINKED SECURED UNLISTED RATED REDEEMABLE NON CONVERTIBLE TAXABLE
TANGLIN DEVELOPMENTS LIMITED
10% SECURED UNLISTED RATED REDEEMABLE NON CONVERTIBLE TAXABLE DEBENTURES. DATE OF
TANGLIN DEVELOPMENTS LIMITED
12.75% SECURED REDEEMABLE NON CONVERTIBLE TAXABLE DEBENTURES. DATE OF
TANGLIN DEVELOPMENTS LIMITED
1.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
TANGLIN DEVELOPMENTS LIMITED
1.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
TANOT WIND POWER VENTURES PRIVATE LIMITED
9.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
TANOT WIND POWER VENTURES PRIVATE LIMITED
9.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
INE030Y07016
TARELA POWER LIMITED INE224N07018
INE263S07015
INE263S07023
INE097C07011
INE067X08018
INE928F08026
INE306N07DH2
INE306N07DK6
INE306N07HI1
INE306N07468
INE306N07476
INE306N07HJ9
TAPISHWAR SPACES PRIVATE LIMITED
ZERO COUPON SECURED UNLISTED UNRATED REDEEMABLE NON CONVERTIBEL 11% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
TARENDRA INFRASTRUCTURE CHENNAI PRIVATE LIMITED
15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
TARENDRA INFRASTRUCTURE CHENNAI PVT LTD
15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE II.
TATA ADVANCED MATERIAL LIMITED
8.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
TATA AIG GENERAL INSURANCE COMPANY LIMITED
8.52% UNSECURED SUBORDINATED RATED LISTED TAXABLE NON CONVERTIBLE
TATA AUTOCOMP SYSTEMS LIMITED
10.15% Unsecured Redeemable Non Convertible Bonds in the nature of Debenture. Date of Maturity :
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.6110% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.47% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.60% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
10.1% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.55% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.55% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
INE306N07DS9
INE306N07DR1
INE306N07DU5
INE306N07DQ3
INE306N07DV3
INE306N07DW1
INE306N07500
INE306N07EE7
INE306N07IB4
INE306N07IC2
INE306N07EJ6
INE306N07ID0
INE306N07EL2
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.10% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.10% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.07% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.11% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.07% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.07% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.52% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.90% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.69% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.6579% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.9028% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.69% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.05% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
INE306N07EM0
INE306N07559
INE306N07567
INE306N07575
INE306N07EP3
INE306N07ER9
INE306N07ET5
INE306N07EW9
INE306N07FB0
INE306N07FI5
INE306N07HS0
INE306N07HQ4
INE306N07HU6
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.10% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.6% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.4% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.92% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.90% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.04% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.05% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.6866% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.7424% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.6750% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
INE306N07FM7
INE306N07633
INE306N07IA6
INE306N07IR0
INE306N07IS8
INE306N07FL9
INE306N07EN8
INE306N07666
INE306N08169
INE306N08177
INE306N07708
INE306N07690
INE306N07740
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.10% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.30% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.71% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.8759% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.8756% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.10% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.40% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.85% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.85% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.08% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.05% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
INE306N07732
INE306N07GU8
INE306N07HC4
INE306N07II9
INE306N08086
INE306N07IJ7
INE306N07IK5
INE306N07807
INE306N07HF7
INE306N07IN9
INE306N07IP4
INE306N07IU4
INE306N07IY6
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.95% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.90% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES TCFSL NCD L OF FY 2015-16. DATE TATA CAPITAL FINANCIAL
SERVICES LIMITED8.95% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES TCFSL NCD Q OF FY 2015-16 OPTION TATA CAPITAL FINANCIAL
SERVICES LIMITED8.6150% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
RESET RATE UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.30% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
10.4% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.85% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.16% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.77% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.65% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
INE306N07JI7
INE306N07HL5
INE306N07JA4
INE306N07JB2
INE306N07BK0
INE306N07BL8
INE306N07BM6
INE306N07BN4
INE306N07IQ2
INE306N07IT6
INE306N07HR2
INE306N07JF3
INE306N07HP6
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.6894% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.65% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.8417% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.75% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.75% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
10.50% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
10.50% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.8363% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.70% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.95% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.79% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
INE306N07HT8
INE306N07HM3
INE306N07HV4
INE306N07JG1
INE306N07HY8
INE306N08243
INE306N07CC5
INE306N07JL1
INE306N07IF5
INE306N07JN7
INE306N07IG3
INE306N07IH1
INE306N07JP2
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.85% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.67% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.90% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.61% SECURED REDEEMABLE NON-CONVERTIBEL DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.8150% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.67% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.66% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.6150% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.60% SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
INE306N07IL3
INE306N07IO7
INE306N07JR8
INE306N07IV2
INE306N07IW0
INE306N07IX8
INE306N07HZ5
INE306N07JC0
INE306N07FY2
INE306N07JJ5
INE306N07IM1
INE306N07JM9
INE306N07JK3
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.16% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.50% SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.7233% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.88% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.87% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
INE306N07HK7
INE306N07HN1
INE306N07HO9
INE306N07JH9
INE306N07IZ3
INE306N07JQ0
INE306N07JO5
INE306N07CS1
INE306N08029
INE306N07DT7
INE306N07EC1
INE306N08037
INE306N08045
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.65% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.75% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.80% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.70% SECURED REDEEMABLE NON CONVERTIBLE PARTLY PAID DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.58% SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.69% SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
7.70% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
10.15% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.36% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.22% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.35% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.32% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
INE306N08052
INE306N08078
INE306N08151
INE306N08193
INE306N08201
INE306N08011
INE306N08060
INE306N08110
INE306N08128
INE306N08136
INE306N08144
INE306N08185
INE306N08219
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.37% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.25% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.17% UNSECURED REDEEMABLE NON-CONVERTIBLE SUBORDINATED
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.92% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.45% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
TATA CAPITAL FINANCIAL SERVICES LIMITED
10.95% UNSECURED NON CONVERTIBLE DEBENTURES. SERIES TCFSL PERPETUAL 'A' FY
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.99% UNSECURED REDEEMABLE NON CONVERTIBLE PERPETUAL DEBENTURES. SERIES TCFSL PD A FY 2015-16TATA CAPITAL FINANCIAL
SERVICES LIMITED9.86% UNSECURED REDEEMABLE NON-CONVERTIBLE PERPETUAL DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.86% UNSECURED REDEEMABLE NON-CONVERTIBLE PERPETUAL DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.86% UNSECURED REDEEMABLE NON-CONVERTIBLE PERPETUAL DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.80% UNSECURED REDEEMABLE NON-CONVERTIBLE PERPETUAL DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.80% UNSECURED NON CONVERTIBLE PERPETUAL DEBENTURES. SERIES TCFSL PD A FY 2016-17.
TATA CAPITAL FINANCIAL SERVICES LIMITED
9% UNSECURED REDEEMABLE NON CONVERTIBLE PERPETUAL DEBENTURES. SERIES
INE306N08227
INE306N08235
INE306N08268
INE306N08250
INE033L07DZ8
INE033L07AL4
INE033L07AK6
INE033L07AP5
INE033L07AQ3
INE033L07AO8
INE033L07EE1
INE033L07EF8
INE033L07CP1
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.05% UNSECURED REDEEMABLE NON CONVERTIBLE PERPETUAL DEBENTURES. SERIES
TATA CAPITAL FINANCIAL SERVICES LIMITED
9.05% UNSECURED NON CONVERTIBLE PERPETUAL DEBENTURES. SERIES TCFSL PD A FY 2017-18.
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.61% UNSECURED RATED LISTED NON CONVERTIBLE PERPETUAL DEBENTURES. SERIES TCFSL PD C FY
TATA CAPITAL FINANCIAL SERVICES LIMITED
8.77% UNSECURED REDEEMABLE NON CONVERTIBLE PERPETUAL DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.60% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9.25% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9.35% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9.10% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9.07% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9.11% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.65% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.65% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.8376% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES TCHFL NCD K OF FY 2015-16 OPTION
INE033L07FA6
INE033L07AX9
INE033L07AY7
INE033L07BD9
INE033L07BF4
INE033L07BB3
INE033L07BJ6
INE033L07BL2
INE033L07EX1
INE033L07EQ5
INE033L07ER3
INE033L07FJ7
INE033L07BM0
TATA CAPITAL HOUSING FINANCE LIMITED
8.69% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9.05% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.92% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.90% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9.04% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.95% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.71% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.6750% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.6723% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
7.7576% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.975% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
INE033L07BP3
INE033L07BW9
INE033L07611
INE033L07CC9
INE033L07ET9
INE033L07CQ9
INE033L07CO4
INE033L07CS5
INE033L07CU1
INE033L07CX5
INE033L07CY3
INE033L07CR7
INE033L07DK0
TATA CAPITAL HOUSING FINANCE LIMITED
8.90% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.85% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9.30% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.78% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.63% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES TCHFL NCD K OF FY 2015-16 OPTION III. DATE OF MATURITY TATA CAPITAL HOUSING
FINANCE LIMITED9% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES TCHFL NCD K OF FY 2015-16 OPTION I. DATE OF MATURITY TATA CAPITAL HOUSING
FINANCE LIMITED8.9% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES TCHFL NCD L OF FY 2015-16. DATE OF MATURITY 04/06/2018TATA CAPITAL HOUSING
FINANCE LIMITED8.87% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES TCHFL NCD N OF FY 2015-16 OPTION TATA CAPITAL HOUSING
FINANCE LIMITED8.9% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES TCHFL NCD P OF FY 2015-16 OPTION I. DATE OF MATURITY TATA CAPITAL HOUSING
FINANCE LIMITED8.9% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES TCHFL NCD P OF FY 2015-16 OPTION II. DATE OF MATURITY TATA CAPITAL HOUSING
FINANCE LIMITED9% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES TCHFL NCD K OF FY 2015-16 OPTION IV. DATE OF MATURITY TATA CAPITAL HOUSING
FINANCE LIMITED8.90% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
INE033L07DN4
INE033L07DJ2
INE033L07FD0
INE033L07DT1
INE033L07FF5
INE033L07DS3
INE033L07DM6
INE033L07DR5
INE033L07FH1
INE033L07EA9
INE033L07EB7
INE033L07FK5
INE033L07074
TATA CAPITAL HOUSING FINANCE LIMITED
8.86% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.92% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES TCHFL NCD V OF FY 2015-16. DATE TATA CAPITAL HOUSING
FINANCE LIMITED8.6150% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.80% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.86% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.80% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.16% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.65% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.65% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
7.80% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
10.25% Secured Non-Convertible Debenture. Series- NCD 'G' FY2011-12. Date of Maturity 18/11/2018
INE033L07CZ0
INE033L07728
INE033L07EI2
INE033L07EJ0
INE033L07FO7
INE033L07FP4
INE033L07EN2
INE033L07EP7
INE033L07EL6
INE033L07FR0
INE033L07926
TATA CAPITAL HOUSING F INE033L07EW3 8.75% SECURED REDEEMABL
INE033L07EU7
TATA CAPITAL HOUSING FINANCE LIMITED
8.89% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES TCHFL NCD P OF FY 2015-16 OPTION TATA CAPITAL HOUSING
FINANCE LIMITED9.95% SECURED NON-CONVERTIBLE DEBENTURE. SERIES- TCHFL NCD N FY 2013-14.
TATA CAPITAL HOUSING FINANCE LIMITED
8.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
7.7250% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
7.68% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.79% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.70% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.93% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
7.77% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9.55% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
INE033L07FB4
INE033L07FU4
INE033L07FV2
INE033L07959
INE033L07FC2
INE033L07FE8
INE033L07AB5
INE033L07FG3
INE033L07462
INE033L07AF6
INE033L07EV5
INE033L07FM1
INE033L07BE7
TATA CAPITAL HOUSING FINANCE LIMITED
8.66% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
7.60% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
7.54% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9.60% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.6150% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.42% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9.65% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.16% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
10.05% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9.60% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.7233% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
7.77% SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9.05% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
INE033L07FN9
INE033L07FQ2
INE033L07FT6
INE033L07FS8
INE033L07DG8
INE033L07DO2
INE033L07DP9
INE033L07DQ7
INE033L07FW0
INE033L07DX3
INE033L07DY1
INE033L07ED3
INE033L07EK8
TATA CAPITAL HOUSING FINANCE LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
7.71% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
7.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
7.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.95% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES TCHFL NCD T OF FY 2015-16 OPTION TATA CAPITAL HOUSING
FINANCE LIMITED8.86% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
7.40% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.60% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
INE033L07EO0
INE033L07EZ6
INE033L08015
INE033L07FI9
INE033L08023
INE033L08031
INE033L08049
INE033L07FL3
INE033L08056
INE033L08064
INE033L08072
INE033L07413
INE033L08080
TATA CAPITAL HOUSING FINANCE LIMITED
8.73% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
10.17% Unsecured Non-Convertible Subordinated Debenture as Tier II capital Series Name: TCHFL Tier II
TATA CAPITAL HOUSING FINANCE LIMITED
8.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
10.00% Unsecured Non-Convertible Subordinated Debenture as Tier II capital Series Name: TCHFL Tier II
TATA CAPITAL HOUSING FINANCE LIMITED
10.00% Unsecured Non-Convertible Subordinated Debenture as Tier II Capital. Series- TCHFL Tier II Bonds
TATA CAPITAL HOUSING FINANCE LIMITED
10% Unsecured Non-Convertible Debenture. Tier II Series-' D' FY 2011-12. Date of Maturity 04/11/2021
TATA CAPITAL HOUSING FINANCE LIMITED
7.585% SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
10.15% Unsecured Non-Convertible Debenture as Tier II Capital. Series- Tier II Bond 'E' FY 2011-12. Date of
TATA CAPITAL HOUSING FINANCE LIMITED
10.15% Unsecured Non-Convertible Debenture. Series- Tier II Bond "F" FY 2011-12. Date of Maturity 12/03/2022
TATA CAPITAL HOUSING FINANCE LIMITED
10% Unsecured Non-Convertible Subordinated Debenture. Series- TCHFL Tier II Bond A FY 2012-13.
TATA CAPITAL HOUSING FINANCE LIMITED
10.10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES SR 'G' FY
TATA CAPITAL HOUSING FINANCE LIMITED
10.05% UNSECURED NON CONVERTIBLE SUBORDINATED DEBENTURES. SERIES
INE033L08098
INE033L07DL8
INE033L08106
INE033L07520
INE033L07EG6
INE033L07538
INE033L07561
INE033L08114
INE033L08122
INE033L08130
INE033L07ES1
INE033L08148
INE033L08155
TATA CAPITAL HOUSING FINANCE LIMITED
10% UNSECURED NON CONVERTIBLE SUBORDINATED DEBENTURES SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.99% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
10.25% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9.60% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9.50% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9.75% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
TATA CAPITAL HOUSING FINANCE LIMITED
9.70% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
TATA CAPITAL HOUSING FINANCE LIMITED
9.70% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
TATA CAPITAL HOUSING FINANCE LIMITED
8.63% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9.30% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
TATA CAPITAL HOUSING FINANCE LIMITED
10.00% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
INE033L07EH4
INE033L08163
INE033L08171
INE033L07AU5
INE033L07AZ4
INE033L08189
INE033L07CW7
INE033L08197
INE033L07DU9
INE033L08205
INE033L08213
INE033L07DW5
INE033L08221
TATA CAPITAL HOUSING FINANCE LIMITED
8.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
10.00% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
TATA CAPITAL HOUSING FINANCE LIMITED
10.15% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9.22% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9.05% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9.25% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.85% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES TCHFL NCD O OF FY 2015-16. DATE TATA CAPITAL HOUSING
FINANCE LIMITED9.25% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
TATA CAPITAL HOUSING FINANCE LIMITED
8.87% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9.20% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
TATA CAPITAL HOUSING FINANCE LIMITED
9.20% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
TATA CAPITAL HOUSING FINANCE LIMITED
8.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.99% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
INE033L07EC5
INE033L08239
INE033L08247
INE033L08254
INE033L07EM4
INE033L07EY9
INE033L08262
TATA CAPITAL LIMITED INE976I08185
TATA CAPITAL LIMITED INE976I08193
TATA CAPITAL LIMITED INE976I08201
TATA CAPITAL LIMITED INE976I07906
TATA CAPITAL LIMITED INE976I08219
TATA CAPITAL LIMITED INE976I07955
TATA CAPITAL HOUSING FINANCE LIMITED
8.60% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
9% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
TATA CAPITAL HOUSING FINANCE LIMITED
9% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
TATA CAPITAL HOUSING FINANCE LIMITED
9% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
TATA CAPITAL HOUSING FINANCE LIMITED
8.78% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CAPITAL HOUSING FINANCE LIMITED
8.92% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED 9% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TCL 9% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TCL 8.93% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TCL 10.10% Secured Non-Convertible Debenture. Series- TCL NCD 'M' FY2011-12. Date of Maturity 17/08/20188.75% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TCL 10.15% Secured Non-Convertible Debenture. Series- NCD 'R' FY2011-12. Date of Maturity 23/09/2018
TATA CAPITAL LIMITED INE976I07AE5
TATA CAPITAL LIMITED INE976I08235
TATA CAPITAL LIMITED INE976I08243
TATA CAPITAL LIMITED INE976I08250
TATA CAPITAL LIMITED INE976I08029
TATA CAPITAL LIMITED INE976I08227
TATA CAPITAL LIMITED INE976I08037
TATA CAPITAL LIMITED INE976I08052
TATA CAPITAL LIMITED INE976I08060
TATA CAPITAL LIMITED INE976I08078
TATA CAPITAL LIMITED INE976I08094
TATA CAPITAL LIMITED INE976I08102
TATA CAPITAL LIMITED INE976I08110
10.15% Secured Non-Convertible Debenture. Series- AA FY2011-12. Date of Maturity 21/10/20188.23% UNSECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TCL 8.20% UNSECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TCL 8.05% UNSECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TCL 10.50% Unsecured Non Convertible Subordinated Debenture as Tier II Capital . Date of Maturity :04/08/2019.8.65% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TCL 10.25% Unsecured Non Convertible Subordinated Debenture as Tier II Capital . Date of Maturity :09/09/2019.10.25% Unsecured Non Convertible Subordinated Debenture as Tier II Capital . Series Name : TCL Tier II 9.80% Unsecured Non Convertible Subordinated Debenture as Tier II Capital . Series Name : TCL Tier II Zero Coupon Unsecured Non Convertible Subordinated Debenture as Tier II Capital . Series Name : TCL Tier II 10.25% Unsecured Non Convertible Subordinated Debenture as Tier II Capital . Series Name : TCL Tier II 9.80% Unsecured Non Convertible Subordinated Debenture as Tier II Capital . Series Name : TCL Tier II 9.95% Unsecured Non Convertible Subordinated Debenture as Tier II Capital . Series Name : TCL Tier II
TATA CAPITAL LIMITED INE976I08268
TATA CAPITAL LIMITED INE976I08128
TATA CAPITAL LIMITED INE976I08136
TATA CAPITAL LIMITED INE976I08144
TATA CAPITAL LIMITED INE976I08151
TATA CAPITAL LIMITED INE976I08169
TATA CAPITAL LIMITED INE976I08177
INE092A08055
INE857Q07091
INE857Q07018
INE857Q07034
INE857Q07067
TATA CLEANTECH CAPITALINE857Q07109 8.80% SECURED REDEEMABL
7.7466% UNSECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TCL Reset rate Unsecured Non-Convertible Perpetual Debenture. Series Name: TCL Perpetual 'A' FY 2010-10.00% Unsecured Non-Convertible Perpetual Debenture. Letter of Allotment. Series- TCL 10.00% Unsecured Non-Convertible Perpetual Debenture. Letter of Allotment.Series- TCL 11.25% (Refer remark) Unsecured Non-Convertible Perpetual Debenture. Series- TCL perpetual 'B' , FY 2011-Reset rate Unsecured Non-Convertible Perpetual Debenture. Series- C FY2011-12.Reset rate Unsecured Non-Convertible PERPETUAL Debenture. Series- 'D' FY 2011-12.
TATA CHEMICALS LIMITED
10.00 % Unsecured Redeemable Non-Convertible Debentures. Date of Maturity : 02/07/2019.
TATA CLEANTECH CAPITAL LIMITED
8.57% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TCCL
TATA CLEANTECH CAPITAL LIMITED
9.05% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CLEANTECH CAPITAL LIMITED
9.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA CLEANTECH CAPITAL LIMITED
8.9% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TCCL
INE857Q07166
INE857Q07182
INE857Q07125
INE857Q07133
INE857Q07158
INE857Q07042
INE857Q07174
INE857Q07075
INE857Q07083
INE857Q07117
INE857Q07141
INE151A07044
INE151A08059
TATA CLEANTECH CAPITAL LIMITED
7.80% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TCCL
TATA CLEANTECH CAPITAL LIMITED
7.70% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TCCL
TATA CLEANTECH CAPITAL LIMITED
8.12% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TCCL
TATA CLEANTECH CAPITAL LIMITED
8.12% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TCCL
TATA CLEANTECH CAPITAL LIMITED
8.08% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TCCL
TATA CLEANTECH CAPITAL LIMITED
9% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TCCL NCD C FY 2015-16. DATE
TATA CLEANTECH CAPITAL LIMITED
7.81% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TCCL
TATA CLEANTECH CAPITAL LIMITED
8.9% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TCCL
TATA CLEANTECH CAPITAL LIMITED
8.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TCCL
TATA CLEANTECH CAPITAL LIMITED
8.10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TCCL
TATA CLEANTECH CAPITAL LIMITED
8.11% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TCCL
TATA COMMUNICATIONS LIMITED (VSNL)
11.25% Secured Redeemable Non Convertible Debentures.Letter of Allotment. Date of Maturity :
TATA COMMUNICATIONS LIMITED (VSNL)
9.85% Unsecured Redeemable Non Convertible Debentures. Letter of Allotment. Date of Maturity : 02/07/2019
INE582L07047
INE582L07070
INE582L07088
INE582L07120
INE582L07104
INE582L07096
INE582L07112
INE582L07138
TATA INDUSTRIES LIMITED INE760E08141
TATA INDUSTRIES LIMITED INE760E08158
INE751F08030
INE909H07CH7
INE909H07CF1
TATA HOUSING DEVELOPMENT COMPANY LIMITED
10.20% SECURED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
TATA HOUSING DEVELOPMENT COMPANY LIMITED
9.55% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1A.
TATA HOUSING DEVELOPMENT COMPANY LIMITED
9.55% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1B.
TATA HOUSING DEVELOPMENT COMPANY LIMITED
8.19% SECURED REDEEMABLE NON CONVERTIBLE TAXABLE DEBENTURES. SERIES 1-
TATA HOUSING DEVELOPMENT COMPANY LIMITED
8.25% SECURED REDEEMABLE NON CONVERTIBLE TAXABLE DEBENTURES. SERIES 1-
TATA HOUSING DEVELOPMENT COMPANY LIMITED
8.50% SECURED REDEEMABLE NON CONVERTIBLE TAXABLE DEBENTURES. SERIES 1-
TATA HOUSING DEVELOPMENT COMPANY LIMITED
8.19% SECURED REDEEMABLE NON CONVERTIBLE TAXABLE DEBENTURES. SERIES
TATA HOUSING DEVELOPMENT COMPANY LIMITED
8.19% SECURED REDEEMABLE NON CONVERTIBLE TAXABLE DEBENTURES. SERIES 1-7.45% UNSECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF 7.25% UNSECURED UNLISTED RATED REDEEMABLE NON CONVERTIBLE
TATA INTERNATIONAL LIMITED
9.30% UNSECURED RATED UNLISTED NON CONVERTIBLE PERPETUAL DEBENTURES.
TATA MOTORS FINANCE LIMITED
9.1% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
INE909H07BX6
INE909H07BZ1
INE909H07CV8
INE909H07CQ8
INE909H07DC6
INE909H07DD4
INE909H07DE2
INE909H07CU0
INE909H07CS4
INE909H07DB8
INE909H07DA0
INE909H07DK9
INE909H07DH5
TATA MOTORS FINANCE LIMITED
9.7748% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
9.1611% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
ZEO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
9.2538% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
9.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
ZEO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
9.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
9% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES - TMFL NCD "X" FY 2016-17.
TATA MOTORS FINANCE LIMITED
9.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
INE909H07DL7
INE909H07CC8
INE909H07CA2
INE909H07CD6
INE909H07DM5
INE909H07CJ3
INE909H07DN3
INE909H07CM7
INE909H07DP8
INE909H07BR8
INE909H07BK3
INE909H07CR6
INE909H07BU2
TATA MOTORS FINANCE LIMITED
8.58% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TMFL
TATA MOTORS FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
7.95% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TMFL
TATA MOTORS FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
7.86% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TMFL
TATA MOTORS FINANCE LIMITED
9.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
8.05% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TMFL
TATA MOTORS FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
10.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
10.2556% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
INE909H07BM9
INE909H07CN5
INE909H07CO3
INE909H07CK1
INE909H07DQ6
INE909H07CG9
INE909H07CW6
INE909H07CY2
INE909H07DG7
INE909H07DI3
INE909H07BV0
INE909H07BY4
INE909H07CI5
TATA MOTORS FINANCE LIMITED
10.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
9.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TMFL
TATA MOTORS FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
9.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
9.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
9.30% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
9.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
9.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
9.1% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
INE909H08220
INE909H08253
INE909H08238
INE909H08246
INE909H08261
INE601U07046
INE909H07CL9
INE909H07CP0
INE909H07CT2
INE909H07CX4
INE909H07CZ9
INE909H07DF9
INE909H07DJ1
TATA MOTORS FINANCE LIMITED
ZERO COUPON UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A FY
TATA MOTORS FINANCE LIMITED
ZERO COUPON UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES D FY
TATA MOTORS FINANCE LIMITED
ZERO COUPON UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B FY
TATA MOTORS FINANCE LIMITED
ZERO COUPON UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES C FY
TATA MOTORS FINANCE LIMITED
ZERO COUPON UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E FY
TATA MOTORS FINANCE LIMITED
ZERO COUPON SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TMFL
TATA MOTORS FINANCE LIMITED
9.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
9.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
9.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
9.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
ZEO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
9.30% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
9% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES - TMFL NCD "W" FY 2016-17.
INE909H08196
INE909H08212
INE909H08188
INE909H07AX8
INE909H08014
INE909H08022
INE909H08030
INE909H08048
INE909H08063
INE909H08071
INE909H08089
INE909H08097
INE909H08121
TATA MOTORS FINANCE LIMITED
10.60% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES IN THE
TATA MOTORS FINANCE LIMITED
9.70% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED
TATA MOTORS FINANCE LIMITED
RESET RATE PERPETUAL UNSECURED SUBORDINATED NON CONVERTIBLE
TATA MOTORS FINANCE LIMITED
10.250% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES -
TATA MOTORS FINANCE LIMITED
10.90% Unsecured Redeemable Non Convertible Subordinated Debentures in the nature of Tier II
TATA MOTORS FINANCE LIMITED
10.75% Unsecured Redeemable Non Convertible Subordinated Debentures in the nature of Tier II
TATA MOTORS FINANCE LIMITED
10.70% Unsecured Redeemable Non Convertible Subordinated Debentures in the nature of Tier II
TATA MOTORS FINANCE LIMITED
10.70% Unsecured Redeemable Non Convertible Subordinated Debentures in the nature of Tier II
TATA MOTORS FINANCE LIMITED
11.00% Unsecured Redeemable Non Convertible Subordinated Debentures in the nature of Tier II
TATA MOTORS FINANCE LIMITED
11% Unsecured Non-Convertible Debenture. Series- "B" FY2011-12. Date of Maturity 02/03/2022
TATA MOTORS FINANCE LIMITED
11% Unsecured Non-Convertible Debenture. Series- Tier II Bond 'C' FY 11-12. Date of Maturity 26/03/2022
TATA MOTORS FINANCE LIMITED
11.00% Unsecured Redeemable Non Convertible Subordinated Debentures in the nature of Tier II
TATA MOTORS FINANCE LIMITED
10.65% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES SERIES
INE909H08139
INE909H08170
INE909H08147
INE909H08204
INE909H08055
INE909H08105
INE909H08113
INE909H08162
INE909H08154
INE477S08035
INE477S08043
TATA MOTORS LIMITED INE155A08290
TATA MOTORS LIMITED INE155A08183
TATA MOTORS FINANCE LIMITED
10.46% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES IN THE
TATA MOTORS FINANCE LIMITED
9.85% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES IN THE
TATA MOTORS FINANCE LIMITED
10.15% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES IN THE
TATA MOTORS FINANCE LIMITED
10.35% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES IN THE
TATA MOTORS FINANCE LIMITED
Reset Rate Unsecured, Subordinated, Perpetual Non-Convertible Debenture. Series- TMFL Perpetual 'A' FY 10-11
TATA MOTORS FINANCE LIMITED
RESET RATE UNSECURED, SUBORDINATED, NON CONVERTIBLE PERPETUAL DEBENTURE -
TATA MOTORS FINANCE LIMITED
RESET RATE UNSECURED, SUBORDINATED, NON CONVERTIBLE PERPETUAL DEBENTURE -
TATA MOTORS FINANCE LIMITED
RESET RATE UNSECURED, SUBORDINATED, NON CONVERTIBLE PERPETUAL DEBENTURE -
TATA MOTORS FINANCE LIMITED
RESET RATE UNSECURED, SUBORDINATED, NON CONVERTIBLE PERPETUAL DEBENTURE -
TATA MOTORS FINANCE SOLUTIONS LIMITED
9.99% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TATA MOTORS FINANCE SOLUTIONS LIMITED
9.8388% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 8.13% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E 27 10.3% UNSECURED NON CONVERTIBLE DEBENTURES. SERIES E26 A. LETTER OF
TATA MOTORS LIMITED INE155A08274
TATA MOTORS LIMITED INE155A08118
TATA MOTORS LIMITED INE155A08217
TATA MOTORS LIMITED INE155A08357
TATA MOTORS LIMITED INE155A08225
TATA MOTORS LIMITED INE155A08282
TATA MOTORS LIMITED INE155A08365
TATA MOTORS LIMITED INE155A08316
TATA MOTORS LIMITED INE155A08258
TATA MOTORS LIMITED INE155A08324
TATA MOTORS LIMITED INE155A08340
TATA MOTORS LIMITED INE155A08241
TATA MOTORS LIMITED INE155A08191
8.25% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E 27 9.69% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E-9.71% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E 26 7.28% UNSECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E 27 9.73% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E 26 8.4% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E 27 7.40% UNSECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E 27 7.50% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E 27 9.02% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E 26 7.71% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E 27 7.50% UNSECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E 27 9.35% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E 26 9.81% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E 26
TATA MOTORS LIMITED INE155A08126
TATA MOTORS LIMITED INE155A08084
TATA MOTORS LIMITED INE155A07219
TATA MOTORS LIMITED INE155A08043
TATA MOTORS LIMITED INE155A08050
TATA MOTORS LIMITED INE155A08068
TATA MOTORS LIMITED INE155A07227
INE155A08308
INE155A08233
INE155A08209
INE607M08048
INE607M08022
INE607M08014
9.45% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E-10.00% UNSECURED NON CONVERTIBLE DEBENTURES.MATURITY DATE 28/05/20199.95% Secured Non Convertible Debentures.Letter of Allotment.Date of Maturity: 02/03/20209.90% Unsecured Non Convertible Debentures.Date of Maturity: 07/05/2020
9.75% Unsecured Non Convertible Debentures.Date of Maturity: 24/05/2020
9.70% Unsecured Non Convertible Debentures.Date of Maturity: 18/06/2020
10.25% Secured Non Convertible Debentures.Letter of Allotment.Date of Maturity: 30/04/2025
TATA MOTORS LIMITED (EARLIER TATA ENGINEERING AND LOCOMOTIVE CO. LTD)
8% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E 27
TATA MOTORS LIMITED (EARLIER TATA ENGINEERING AND LOCOMOTIVE CO. LTD)
9.60% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E 26
TATA MOTORS LIMITED (EARLIER TATA ENGINEERING AND LOCOMOTIVE CO. LTD)
9.77% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E 26
TATA POWER RENEWABLE ENERGY LIMITED
8.45% UNSECURED RATED LISTED GUARANTEED REDEEMABLE NON CONVERTIBLE TAXABLE
TATA POWER RENEWABLE ENERGY LIMITED
HDFC BANK BASE RATE LINKED UNSECURED REDEEMABLE NON CONVERTIBLE
TATA POWER RENEWABLE ENERGY LIMITED
SBI BANK BASE RATE LINKED UNSECURED REDEEMABLE NON CONVERTIBLE
INE607M08030
INE371K08037
INE371K08060
INE371K08045
INE371K08078
INE371K08086
INE371K08102
INE371K08094
TATA SKY LIMITED INE482G07040
TATA SKY LIMITED INE482G07057
TATA SKY LIMITED INE482G07065
TATA SKY LIMITED INE482G07032
TATA SONS LIMITED INE895D07404
TATA POWER RENEWABLE ENERGY LIMITED
HDFC BANK BASE RATE LINKED UNSECURED REDEEMABLE NON CONVERTIBLE
TATA REALTY AND INFRASTRUCTURE LIMITED
9.25% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
TATA REALTY AND INFRASTRUCTURE LIMITED
9.1% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES III.
TATA REALTY AND INFRASTRUCTURE LIMITED
9.25% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II.
TATA REALTY AND INFRASTRUCTURE LIMITED
9.1% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES IV.
TATA REALTY AND INFRASTRUCTURE LIMITED
UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES V. DATE OF MATURITY
TATA REALTY AND INFRASTRUCTURE LIMITED
UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VII. DATE OF MATURITY
TATA REALTY AND INFRASTRUCTURE LIMITED
UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VI. DATE OF MATURITY ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 4 (c). ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 3. 9.77% SECURED NON-CONVERTIBLE DEBENTURE.LETTER OF ALLOTMENT. DATE OF
TATA SONS LIMITED INE895D08691
TATA SONS LIMITED INE895D08568
TATA SONS LIMITED INE895D07388
TATA SONS LIMITED INE895D07412
TATA SONS LIMITED INE895D08709
TATA SONS LIMITED INE895D07438
TATA SONS LIMITED INE895D07461
TATA SONS LIMITED INE895D07479
TATA SONS LIMITED INE895D08667
TATA SONS LIMITED INE895D07503
TATA SONS LIMITED INE895D08717
TATA SONS LIMITED INE895D08733
TATA SONS LIMITED INE895D08758
7.75% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 8.85% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 9.76% SECURED NON-CONVERTIBLE DEBENTURE.SERIES II.DATE OF MATURITY 9.78% SECURED NON-CONVERTIBLE DEBENTURE.LETTER OF ALLOTMENT. DATE OF 7.80% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 9.90% SECURED NON-CONVERTIBLE DEBENTURE.LETTER OF ALLOTMENT. DATE OF 9.43% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. DATE OF 9.25% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. DATE OF 7.55% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 8.60% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. DATE OF 7.85% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 7.9% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 7.9% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
TATA SONS LIMITED INE895D08741
TATA SONS LIMITED INE895D08766
TATA SONS LIMITED INE895D08246
TATA SONS LIMITED INE895D08253
TATA SONS LIMITED INE895D08816
TATA SONS LIMITED INE895D08824
TATA SONS LIMITED INE895D08832
TATA SONS LIMITED INE895D08840
TATA SONS LIMITED INE895D08857
TATA SONS LIMITED INE895D08584
TATA SONS LIMITED INE895D08261
TATA SONS LIMITED INE895D08287
TATA SONS LIMITED INE895D08725
7.9% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 7.9% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 8.99% Unsecured Redeemable Non-Convertible Debentures. Date of Maturity: 07/06/2020
8.97% Unsecured Non-Convertible Debenture. Date of Maturity 15/07/2020
7.30% UNSECURED RATED UNLISTED REDEEMABLE NON COVERTIBLE DEBENTURES. DATE OF 7.40% UNSECURED RATED UNLISTED REDEEMABLE NON COVERTIBLE DEBENTURES. DATE OF 7.35% UNSECURED RATED UNLISTED REDEEMABLE NON COVERTIBLE DEBENTURES. DATE OF 7.40% UNSECURED RATED UNLISTED REDEEMABLE NON COVERTIBLE DEBENTURES. DATE OF 7.35% UNSECURED RATED UNLISTED REDEEMABLE NON COVERTIBLE DEBENTURES. DATE OF 8.55% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 9.10% Unsecured Non-Convertible Debenture. Date of Maturity 06/09/2020
9.18% Unsecured Non-Convertible Debenture. Date of Maturity 23/11/2020
7.85% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
TATA SONS LIMITED INE895D08600
TATA SONS LIMITED INE895D08634
TATA SONS LIMITED INE895D08675
TATA SONS LIMITED INE895D08782
TATA SONS LIMITED INE895D08790
TATA SONS LIMITED INE895D08436
TATA SONS LIMITED INE895D08451
TATA SONS LIMITED INE895D08477
TATA SONS LIMITED INE895D08493
TATA SONS LIMITED INE895D08808
TATA SONS LIMITED INE895D08519
TATA SONS LIMITED INE895D08543
TATA SONS LIMITED INE895D08550
8.07% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 8.01% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 7.60% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 8.25% UNSECURED RATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 8.25% UNSECURED RATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 2. 9.54% Unsecured Unlisted Redeemable Non Convertible Debentures. Date of Maturity 25/04/20229.69% Unsecured Redeemable Non Convertible Debentures. Date of Maturity: 12.06.2022
9.70% Unsecured Redeemable Non Convertible Debentures. Date of Maturity: 25/07/2022
9.70% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 7.40% UNSECURED RATED UNLISTED REDEEMABLE NON COVERTIBLE DEBENTURES. DATE OF 9.71% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 9.67% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 8.85% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
TATA SONS LIMITED INE895D08576
TATA SONS LIMITED INE895D07370
TATA SONS LIMITED INE895D07396
TATA SONS LIMITED INE895D07446
TATA SONS LIMITED INE895D07453
TATA SONS LIMITED INE895D07487
TATA SONS LIMITED INE895D07495
TATA SONS LIMITED INE895D08592
TATA SONS LIMITED INE895D07511
TATA SONS LIMITED INE895D08618
TATA SONS LIMITED INE895D08642
TATA SONS LIMITED INE895D07354
TATA SONS LIMITED INE895D08626
8.32% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 9.71% SECURED NON-CONVERTIBLE DEBENTURE.SERIES III.DATE OF MATURITY 9.74% SECURED NON-CONVERTIBLE DEBENTURE.LETTER OF ALLOTMENT. DATE OF 9.90% SECURED NON-CONVERTIBLE DEBENTURE.LETTER OF ALLOTMENT. DATE OF 9.44% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. DATE OF 9.30% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. DATE OF 8.50% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. DATE OF 8.55% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 8.48% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. DATE OF 8.08% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 8.04% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 9.4% Secured, Rated,Non-Convertible Debenture.Date of Maturity 27/11/2027
ZERO COUPON UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
TATA SONS LIMITED INE895D08659
TATA SONS LIMITED INE895D08683
TATA STEEL LIMITED INE081A08215
TATA STEEL LIMITED INE081A08140
TATA STEEL LIMITED INE081A08157
TATA STEEL LIMITED INE081A08165
TATA STEEL LIMITED INE081A08173
TATA STEEL LIMITED INE081A08124
TATA STEEL LIMITED INE081A08132
TATA STEEL LIMITED INE081A08181
INE081A08199
INE081A08207
INE517B08026
ZERO COUPON UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 7.90% UNSECURED REDEEMABLE NON CONVERTIBLE PARTLY PAID DEBENTURES. DATE OF 8.15% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 10.25% Unsecured Non-Convertible Debenture.Date of Maturity 21/12/2030
10.25% Unsecured Non-Convertible Debenture. Date of Maturity 06/01/2031
11.80% Unsecured,Subordinated, Non-Convertible PERPETUAL Debenture.11.50% Unsecured,Subordinated, PERPETUAL Hybrid Securities in the form of Non-10.40% Unsecured Redeemable Non Convertible Debentures. Date of Maturity : 15/05/201911.00% Unsecured Redeemable Non Convertible Debentures. Date of Maturity : 19/05/20192% Unsecured Redeemable Non-Convertible Debenture (in the form of Discount Bonds). Date of Maturity 23/04/2022
TATA STEEL LIMITED (FORMERLY TATA IRON AND STEEL COMPANY LTD)
9.15% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
TATA STEEL LIMITED (FORMERLY TATA IRON AND STEEL COMPANY LTD)
9.15% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II.
TATA TELESERVICES (MAHARASHTRA) LTD
11.30% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I. LETTER OF ALLOTMENT.
INE517B08034
INE517B08042
INE037E08060
INE037E08037
INE069P08010
INE069P08028
INE996V07014
INE996V07022
INE996V07030
INE286K07039
INE682N07025
INE597H08AS9
INE302S08019
TATA TELESERVICES (MAHARASHTRA) LTD
11.30% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II. LETTER OF ALLOTMENT. TATA TELESERVICES
(MAHARASHTRA) LTD11.30% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES III. LETTER OF ALLOTMENT. TATA TELESERVICES
LIMITED11.00% UNSECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. LETTER OF
TATA TELESERVICES LIMITED
11.69% Unsecured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 14/08/2025.
TATA VALUE HOMES LIMITED
9.75% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
TATA VALUE HOMES LIMITED
8.80% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
TATTVA & MITTAL LIFESPACES PRIVATE LIMITED
17.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
TATTVA & MITTAL LIFESPACES PRIVATE LIMITED
17.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 2.
TATTVA & MITTAL LIFESPACES PRIVATE LIMITED
17.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 3.
TECHNO ELECTRIC AND ENGINEERING CO. LTD
10.24% Secured Redeemable Non Convertible Debentures.Date of Maturity: 28/01/2018
TEJASSARNIKA HYDRO ENERGIES PRIVATE LIMITED
11% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
TGS INVESTMENT AND TRADE PRIVATE LIMITED
8.45% UNSECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
THAR COMMERCIAL FINANCE PRIVATE LIMITED
12% UNSECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
THDC INDIA LIMITED INE812V07013
INE320A09041
INE320A09066
INE320A08043
INE050A07014
INE679A08109
INE680A09022
INE017A08151
INE017A08144
INE017A08169
INE017A08177
INE017A07534
INE017A08128
7.59% SECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS IN THE NATURE OF
THE BANK OF RAJASTHAN LIMITED
11.50% Unsecured Redeemable Non Convertible Tier II Bonds in the form of Promissory notes, Series VI.
THE BANK OF RAJASTHAN LIMITED
10.50% Unsecured Redeemable Non Convertible Subordinated Lower Tier II Bonds in the form of
THE BANK OF RAJASTHAN LIMITED
10.50% Unsecured Non Convertible Tier II bond. . Date of Maturity: 22/09/2021
THE BOMBAY BURMAH TRADING CORPORATION LIMITED
8.44% SECURED NOT GUARANTEED SENIOR TAXABLE NON CUMULATIVE RATED
THE CATHOLIC SYRIAN BANK LIMITED
11.70% Unsecured Non-Convertible Lower Tier II Bond. Series- I. Date of Maturity 31/03/2019
THE DHANALAKSHMI BANK LTD.
Resate Rate Unsecured Non-Convertible Upper Tier II Bond. Letter of Allotment. Date of Maturity 30/07/2025
THE GREAT EASTERN SHIPPING COMPANY LIMITED
9.40% Unsecured Redeemable Non Convertible Debenture.Date of Maturity : 06/01/2018
THE GREAT EASTERN SHIPPING COMPANY LIMITED
9.19% Unsecured Redeemable Non Convertible Debenture.Date of Maturity : 24/12/2018
THE GREAT EASTERN SHIPPING COMPANY LIMITED
9.40% Unsecured Redeemable Non Convertible Debenture.Date of Maturity : 06/01/2019
THE GREAT EASTERN SHIPPING COMPANY LIMITED
9.35% Unsecured Redeemable Non Convertible Debenture. Final Date of Maturity : 08/02/2019
THE GREAT EASTERN SHIPPING COMPANY LIMITED
9.80% Secured Redeemable Non Convertible Debenture.Date of Maturity : 03/07/2019
THE GREAT EASTERN SHIPPING COMPANY LIMITED
9.75% Unsecured Redeemable Non Convertible Debenture.Date of Maturity : 20/08/2019
INE017A08136
INE017A08201
INE017A08219
INE017A08227
INE017A08185
INE017A08193
INE017A08276
INE017A07542
INE017A08284
INE017A08243
INE017A08250
INE017A08235
INE017A08268
THE GREAT EASTERN SHIPPING COMPANY LIMITED
9.60% Unsecured Redeemable Non Convertible Debenture.Date of Maturity : 10/11/2019
THE GREAT EASTERN SHIPPING COMPANY LIMITED
9.70% Unsecured Non-Convertible Debenture. Date of Maturity 02/02/2021
THE GREAT EASTERN SHIPPING COMPANY LIMITED
9.70% Unsecured Non-Convertible Debenture. Date of Maturity 15/04/2021
THE GREAT EASTERN SHIPPING COMPANY LIMITED
9.70% Unsecured Non-Convertible Debenture. Date of Maturity 25/04/2021
THE GREAT EASTERN SHIPPING COMPANY LIMITED
9.70% Unsecured Redeemable Non Convertible Debenture. Final Date of Maturity : 07/01/2023
THE GREAT EASTERN SHIPPING COMPANY LIMITED
9.70% Unsecured Non-Convertible Debenture. Date of Maturity 18/01/2023
THE GREAT EASTERN SHIPPING COMPANY LIMITED
7.99% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
THE GREAT EASTERN SHIPPING COMPANY LIMITED
8.05% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
THE GREAT EASTERN SHIPPING COMPANY LIMITED
7.99% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
THE GREAT EASTERN SHIPPING COMPANY LIMITED
8.70% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
THE GREAT EASTERN SHIPPING COMPANY LIMITED
8.24% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
THE GREAT EASTERN SHIPPING COMPANY LIMITED
8.70% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
THE GREAT EASTERN SHIPPING COMPANY LIMITED
8.24% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
INE017A08292
INE383A07084
INE053A08057
INE053A08099
INE053A07166
INE053A07174
INE053A07182
INE168A08012
INE036D09013
INE694C08039
INE694C08047
INE694C08054
INE694C08070
THE GREAT EASTERN SHIPPING COMPANY LIMITED
8.25% UNSECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
THE INDIA CEMENTS LIMITED
10% SECURED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
THE INDIAN HOTELS COMPANY LIMITED
2.00% Unsecured Redeemable Non Convertible Debenture, Date of Maturity: 09/12/2019
THE INDIAN HOTELS COMPANY LIMITED
7.85% UNSECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
THE INDIAN HOTELS COMPANY LIMITED
9.95% Secured Redeemable Non Convertible Debenture.Date of Maturity: 27/07/2021.
THE INDIAN HOTELS COMPANY LIMITED
10.10% Secured Non-Convertible Debenture. Date of Maturity 18/11/2021
THE INDIAN HOTELS COMPANY LIMITED
7.85% SECURED RATED LISTED REDEMABLE NON CUMULATIVE NON CONVERTIBLE
THE JAMMU & KASHMIR BANK LTD.
9.00% Unsecured Non Convertible Lower Tier II Debentures Letter of Allotment Date of Maturity
THE KARUR VYSYA BANK LTD.
9.86% Unsecured Redeemable Non Convertible Subordinated Lower Tier 2 Bonds in the form of promissory note.Letter
THE LAKSHMI VILAS BANK LIMITED
11.40% Unsecured Non-Convertible Bond. Letter of Allotment. Series- VII A. Date of Maturity 10/02/2018
THE LAKSHMI VILAS BANK LIMITED
11.40% Unsecured Non-Convertible Bond. Letter of Allotment. Series- VII B. Date of Maturity 10/02/2022
THE LAKSHMI VILAS BANK LIMITED
11.80% UNSECURED REDEEMABLE NON-CONVERTIBLE BASEL III COMPLIANT TIER 2
THE LAKSHMI VILAS BANK LIMITED
10.70% UNSECURED REDEEMABLE NON-CONVERTIBLE BASEL III COMPLIANT TIER 2 BONDS.
INE694C08062
INE924F08025
INE924F08033
INE924F08041
INE331A07174
INE683A09091
INE683A08028
INE638F08021
INE245A08059
INE245A07101
INE245A07119
INE245A07192
INE245A07341
THE LAKSHMI VILAS BANK LIMITED
11.50% UNSECURED REDEEMABLE NON-CONVERTIBLE BASEL III COMPLIANT TIER 2 BONDS.
THE MYSORE PAPER MILLS LIMITED
8.49% Unsecured Non-Convertible Redeemable Taxable Bonds. Letter of Allotment. Series- I/2010.
THE MYSORE PAPER MILLS LIMITED
9.65% Unsecured Non-Convertible Redeemable Taxable Bonds. Letter of Allotment. Series- I/2012.
THE MYSORE PAPER MILLS LIMITED
8.95% UNSECURED NON-CONVERTIBLE REDEEMABLE TAXABLE BONDS. DATE OF
THE RAMCO CEMENTS LIMITED
8.55% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES C.
THE SOUTH INDIAN BANK LTD.
9.75 % Unsecured Redeemable Non Convertible Subordinate Lower Tier II Bonds in the form of Promissory Notes,
THE SOUTH INDIAN BANK LTD.
10.25% UNSECURED REDEEMABLE NON CONVERTIBLE BASEL III COMPLIANT TIER 2 BONDS
THE TAMILNADU INDUSTRIAL INVESTMENT CORPORATION LI
9.85% UNSECURED NON COVERTIBLE TIIC NON SLR BONDS. SERIES 1. DATE OF MATURITY
THE TATA POWER COMPANY LIMITED
9.32% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
THE TATA POWER COMPANY LIMITED
10.10% Secured Redeemable Non-Convertible Debenture.Date of Maturity: 25/04/2018
THE TATA POWER COMPANY LIMITED
10.40% Secured Redeemable Non-Convertible Debenture.Date of Maturity: 20/06/2018
THE TATA POWER COMPANY LIMITED
9.15% Secured Non-Convertible Debenture. Series - STRPP- H, Date of Maturity 23/07/2018
THE TATA POWER COMPANY LIMITED
9.15% Secured Non-Convertible Debenture. Series -H. Date of Maturity 17/09/2018
INE245A07200
INE245A08083
INE245A07358
INE245A08067
INE245A07218
INE245A07366
INE245A07226
INE245A07374
INE245A07234
INE245A07382
INE245A07424
INE245A08075
INE245A07242
THE TATA POWER COMPANY LIMITED
9.15% Secured Non-Convertible Debenture. Series - STRPP- I, Date of Maturity 23/07/2019
THE TATA POWER COMPANY LIMITED
7.70% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
THE TATA POWER COMPANY LIMITED
9.15% Secured Non-Convertible Debenture. Series -I. Date of Maturity 17/09/2019
THE TATA POWER COMPANY LIMITED
9.48% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 2.
THE TATA POWER COMPANY LIMITED
9.15% Secured Non-Convertible Debenture. Series - STRPP- J, Date of Maturity 23/07/2020
THE TATA POWER COMPANY LIMITED
9.15% Secured Non-Convertible Debenture. Series -J. Date of Maturity 17/09/2020
THE TATA POWER COMPANY LIMITED
9.15% Secured Non-Convertible Debenture. Series - STRPP- K, Date of Maturity 23/07/2021
THE TATA POWER COMPANY LIMITED
9.15% Secured Non-Convertible Debenture. Series - K. Date of Maturity 17/09/2021
THE TATA POWER COMPANY LIMITED
9.15% Secured Non-Convertible Debenture. Series - STRPP- L, Date of Maturity 23/07/2022
THE TATA POWER COMPANY LIMITED
9.15% Secured Non-Convertible Debenture. Series - L. Date of Maturity 17/09/2022
THE TATA POWER COMPANY LIMITED
9.40% Secured Non Cumulative Redeemable Taxable Listed Rated Securities in the form of Non-
THE TATA POWER COMPANY LIMITED
SBI BASE RAATE LINKED UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
THE TATA POWER COMPANY LIMITED
9.15% Secured Non-Convertible Debenture. Series - STRPP- M, Date of Maturity 23/07/2023
INE245A07390
INE245A07259
INE245A07408
INE245A07267
INE245A07416
INE245A08042
INE245A08034
INE232U07016
INE125T07022
INE125T07030
INE125T07014
INE125T07048
INE125T07071
THE TATA POWER COMPANY LIMITED
9.15% Secured Non-Convertible Debenture. Series - M. Date of Maturity 17/09/2023
THE TATA POWER COMPANY LIMITED
9.15% Secured Non-Convertible Debenture. Series - STRPP- N, Date of Maturity 23/07/2024
THE TATA POWER COMPANY LIMITED
9.15% Secured Non-Convertible Debenture. Series - N. Date of Maturity 17/09/2024
THE TATA POWER COMPANY LIMITED
9.15% Secured Non-Convertible Debenture. Series - STRPP- O, Date of Maturity 23/07/2025
THE TATA POWER COMPANY LIMITED
9.15% Secured Non-Convertible Debenture. Series - O. Date of Maturity 17/09/2025
THE TATA POWER COMPANY LIMITED
RESET RATE UNSECURED NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 21/08/2072
THE TATA POWER COMPANY LIMITED
Reset Rate Unsecured Subordinated Perpetual Rated, Listed Securities in the form of Non-Convertible Debenture.
THEA KITCHEN PRIVATE LIMITED
19.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
THIRUMENI FINANCE PRIVATE LIMITED
14.3% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
THIRUMENI FINANCE PRIVATE LIMITED
13.34% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES G
THIRUMENI FINANCE PRIVATE LIMITED
14.60% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES F GROUP DEBT INSTRUMENT THIRUMENI FINANCE
PRIVATE LIMITED12.72% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES H
THIRUMENI FINANCE PRIVATE LIMITED
3.07% SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES K
INE125T07063
INE125T07055
INE125T08020
INE125T08038
INE125T08012
INE125T08046
INE332A08014
INE332A08022
INE332A08030
INE332A08048
INE512O08012
INE812R07011
INE496T08017
THIRUMENI FINANCE PRIVATE LIMITED
12.30% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES J
THIRUMENI FINANCE PRIVATE LIMITED
12.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I
THIRUMENI FINANCE PRIVATE LIMITED
UNSEUCRED COMPULSORILY CONVERTIBLE DEBENTURES. CALSS A.
THIRUMENI FINANCE PRIVATE LIMITED
UNSEUCRED COMPULSORILY CONVERTIBLE DEBENTURES. CALSS A.
THIRUMENI FINANCE PRIVATE LIMITED
UNSEUCRED COMPULSORILY CONVERTIBLE DEBENTURES. CALSS B.
THIRUMENI FINANCE PRIVATE LIMITED
UNSEUCRED COMPULSORILY CONVERTIBLE DEBENTURES. CALSS A.
THOMAS COOK( INDIA) LIMITED
10.52% UNSECURED REDEEMBALE NON-CONVERTIBLE DEBENTURES. DATE OF
THOMAS COOK( INDIA) LIMITED
9.37% UNSECURED REDEEMBALE NON-CONVERTIBLE DEBENTURES. SERIES 1.
THOMAS COOK( INDIA) LIMITED
9.37% UNSECURED REDEEMBALE NON-CONVERTIBLE DEBENTURES. SERIES 2.
THOMAS COOK( INDIA) LIMITED
9.37% UNSECURED REDEEMBALE NON-CONVERTIBLE DEBENTURES. SERIES 3.
THOMSUN REALTORS PRIVATE LIMITED
UNSECURED COMPULSORY CONVERTIBLE DEBENTURES. DATE OF
THREE C GREEN DEVELOPERS PVT. LTD.
19% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES.DATE OF
THREE C SHELTERS PRIVATE LIMITED
0.01% UNSECURED OPTIONALLY CONVERTIBLE PERPETUAL DEBENTURES.
INE649W08015
INE036U07011
INE036U07029
INE036U07037
INE036U07045
INE036U07052
INE036U07060
INE036U07078
INE036U07086
INE036U07094
INE036U07102
INE036U07110
INE036U07136
THUKKAPUR SOLAR PRIVATE LIMITED
16.99% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
TIERRA FARM ASSETS COMPANY PRIVATE LIMITED
18.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
TIERRA FARM ASSETS COMPANY PRIVATE LIMITED
18.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 2.
TIERRA FARM ASSETS COMPANY PRIVATE LIMITED
18.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 3.
TIERRA FARM ASSETS COMPANY PRIVATE LIMITED
18.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 4.
TIERRA FARM ASSETS COMPANY PRIVATE LIMITED
18.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 5.
TIERRA FARM ASSETS COMPANY PRIVATE LIMITED
18.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 6.
TIERRA FARM ASSETS COMPANY PRIVATE LIMITED
18.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 7.
TIERRA FARM ASSETS COMPANY PRIVATE LIMITED
18.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 8.
TIERRA FARM ASSETS COMPANY PRIVATE LIMITED
18.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 9.
TIERRA FARM ASSETS COMPANY PRIVATE LIMITED
18.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 10.
TIERRA FARM ASSETS COMPANY PRIVATE LIMITED
18.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 11.
TIERRA FARM ASSETS COMPANY PRIVATE LIMITED
18.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 13.
INE036U07144
INE036U07151
INE036U07169
INE036U07177
INE036U07185
TMT VINIYOGAN LIMITED INE850W07011
TN URJA PRIVATE LIMITED INE825S08019
INE529W08019
INE529W08027
INE529W08035
INE685A07025
INE685A07033
INE685A07058
TIERRA FARM ASSETS COMPANY PRIVATE LIMITED
18.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 14.
TIERRA FARM ASSETS COMPANY PRIVATE LIMITED
18.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 15.
TIERRA FARM ASSETS COMPANY PRIVATE LIMITED
18.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 16.
TIERRA FARM ASSETS COMPANY PRIVATE LIMITED
18.25% SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 17.
TIERRA FARM ASSETS COMPANY PRIVATE LIMITED
18.25% SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 18. ZERO COUPON RATED UNLISTED SECURED REDEEMABLE NON CONVERTIBLE 0.1% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
TORNADO SOLARFARMS LIMITED
0.01% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
TORNADO SOLARFARMS LIMITED
0.01% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
TORNADO SOLARFARMS LIMITED
0.01% UNSECURED UNLISTED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
TORRENT PHARMACEUTICALS LIMITED
9.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I A. LETTER OF ALLOTMENT. TORRENT
PHARMACEUTICALS LIMITED
9.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I B. LETTER OF ALLOTMENT. TORRENT
PHARMACEUTICALS LIMITED
9.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II. LETTER OF ALLOTMENT.
INE685A07041
INE685A07074
INE685A07066
TORRENT POWER LIMITED INE813H07051
TORRENT POWER LIMITED INE813H07085
TORRENT POWER LIMITED INE813H07069
TORRENT POWER LIMITED INE813H07093
INE813H07010
TORRENT POWER LIMITED INE813H07077
TORRENT POWER LIMITED INE813H07101
INE441T07015
INE817V07020
INE547Q07031
TORRENT PHARMACEUTICALS LIMITED
9.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I C. LETTER OF ALLOTMENT. TORRENT
PHARMACEUTICALS LIMITED
7.80% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
TORRENT PHARMACEUTICALS LIMITED
7.95% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF 10.35% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES-2A. 8.95% SECURED RATED LISTED TAXABLE REDEEMABLE NON CONVERTIBLE 10.35% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES-2B. 8.95% SECURED RATED LISTED TAXABLE REDEEMABLE NON CONVERTIBLE
TORRENT POWER LIMITED
10.35% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF 10.35% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES-2C. 8.95% SECURED RATED LISTED TAXABLE REDEEMABLE NON CONVERTIBLE
TORUS BUILDCON PRIVATE LIMITED
ZERO COUPON SECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF CONVERSION 08/01/2025
TOTAL ENVIORNMENT MACHINE-CRAFT PRIVATE LIMITED
17% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
TOTAL ENVIRONMENT BUILDING SYSTEMS PVT LTD
8% SECURED UNLISTED UNRATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
INE257Y07015
INE257Y07023
INE305A09125
INE305A09133
INE305A09141
INE305A09158
INE305A09166
INE305A09174
INE305A09182
INE305A09190
INE305A09224
INE305A09232
INE305A09216
TOTAL ENVIRONMENT CONSTRUCTIONS PRIVATE LIMITED
8% SECURED LISTED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
TOTAL ENVIRONMENT CONSTRUCTIONS PRIVATE LIMITED
8% SECURED UNLISTED UNRATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B.
TOURISM FINANCE CORPORATION OF INDIA LIMITED
9.50% Unsecured Non Convertible Subordinated Tire II Bonds in the form of Promissory Notes Date of
TOURISM FINANCE CORPORATION OF INDIA LIMITED
9.50% Unsecured Non Convertible Subordinated Tier II Bonds in the form of Promissory Notes. Series MB
TOURISM FINANCE CORPORATION OF INDIA LIMITED
8.90% Unsecured Non Convertible Bonds in the form of Promissory Notes. Date of Maturity : 29/11/2020
TOURISM FINANCE CORPORATION OF INDIA LIMITED
10.15% Unsecured Non Convertible Bonds in the form of Promissory Notes.Letter of allotment. Date of Maturity :
TOURISM FINANCE CORPORATION OF INDIA LIMITED
10.20% Unsecured Non-Convertible Bond in the nature of promissory note.Letter of Allotment. Series- MB XLII.
TOURISM FINANCE CORPORATION OF INDIA LIMITED
9.65% Unsecured Non-Convertible Bond in the nature of Promissory Note. Letter of Allotment. Series- MB XLIII.
TOURISM FINANCE CORPORATION OF INDIA LIMITED
9.95% UNSECURED REDEEMABLE NON CONVERTIBLE BONDS IN THE NATURE OF
TOURISM FINANCE CORPORATION OF INDIA LIMITED
9.95% UNSECURED REDEEMABLE NON CONVERTIBLE BONDS IN THE NATURE OF
TOURISM FINANCE CORPORATION OF INDIA LIMITED
9.50% UNSECURED REDEEMABLE NON CONVERTIBLE BONDS IN THE NATURE OF
TOURISM FINANCE CORPORATION OF INDIA LIMITED
8.81% SECURED REDEEMABLE NON CONVERTIBLE BONDS IN THE NATURE OF
TOURISM FINANCE CORPORATION OF INDIA LIMITED
9.60% UNSECURED REDEEMABLE NON CONVERTIBLE BONDS IN THE NATURE OF
INE305A09208
INE692Q07035
INE692Q07100
INE692Q07043
INE692Q07050
INE692Q07068
INE692Q07076
INE692Q07084
INE692Q07118
INE692Q07134
INE692Q07142
INE692Q07092
INE692Q07167
TOURISM FINANCE CORPORATION OF INDIA LIMITED
9.65% UNSECURED REDEEMABLE NON CONVERTIBLE BONDS IN THE NATURE OF
TOYOTA FINANCIAL SERVICES INDIA LIMITED
8.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 2.
TOYOTA FINANCIAL SERVICES INDIA LIMITED
8.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 8.
TOYOTA FINANCIAL SERVICES INDIA LIMITED
8.40% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 3.
TOYOTA FINANCIAL SERVICES INDIA LIMITED
8.54% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 4. LETTER OF ALLOTMENT. TOYOTA FINANCIAL
SERVICES INDIA LIMITED8.53% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 5.
TOYOTA FINANCIAL SERVICES INDIA LIMITED
8.133% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 6.
TOYOTA FINANCIAL SERVICES INDIA LIMITED
8.35% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 7
TOYOTA FINANCIAL SERVICES INDIA LIMITED
8.58% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 9.
TOYOTA FINANCIAL SERVICES INDIA LIMITED
7.93% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 10
TOYOTA FINANCIAL SERVICES INDIA LIMITED
7.512% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 11.
TOYOTA FINANCIAL SERVICES INDIA LIMITED
8.45% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 7
TOYOTA FINANCIAL SERVICES INDIA LIMITED
7.27% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 13.
INE692Q07175
INE692Q07159
INE692Q07191
INE692Q07183
INE692Q07209
INE061N08012
INE083T07015
INE083T07023
INE947F09057
INE947F09065
INE947F09024
INE947F09040
INE947F09073
TOYOTA FINANCIAL SERVICES INDIA LIMITED
7.62% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 14.
TOYOTA FINANCIAL SERVICES INDIA LIMITED
7.67% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 12.
TOYOTA FINANCIAL SERVICES INDIA LIMITED
7.45% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 16.
TOYOTA FINANCIAL SERVICES INDIA LIMITED
7.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 15.
TOYOTA FINANCIAL SERVICES INDIA LIMITED
7.40% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 17.
TPG WHOLESALE PRIVATE LIMITED
0.5% Unsecured Fully Convertible Debenture. Date of Maturity 13/03/2021
TRANSCON DEVELOPERS PRIVATE LIMITED
18% SECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF MATURITY 30/06/2019
TRANSCON DEVELOPERS PRIVATE LIMITED
9% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE
TRANSMISSION CORPORATION OF A.P. LIMITED
8.60% Unsecured Redeemable Non-Convertible Government Guarnteed Taxable APTRANSCO vidyut bonds in
TRANSMISSION CORPORATION OF A.P. LIMITED
8.55% Unsecured Redeemable Non-Convertible Government Guarnteed Taxable APTRANSCO vidyut bonds in
TRANSMISSION CORPORATION OF A.P. LIMITED
8.95% Unsecured Redeemable Non-Convertible Government Guarnteed Taxable APTRANSCO vidyut bonds in
TRANSMISSION CORPORATION OF A.P. LIMITED
D8.69% Unsecured Redeemable Non-Convertible Government Guarnteed Taxable APTRANSCO vidyut
TRANSMISSION CORPORATION OF A.P. LIMITED
8.65% Unsecured Redeemable Non-Convertible Government Guarnteed Taxable APTRANSCO vidyut bonds in
INE874W07011
TRENT LIMITED INE849A08066
INE053O07019
INE053O08017
INE364K07075
INE364K07083
INE364K07091
INE245W07014
INE245W07022
INE832R07027
INE832R07035
INE832R07043
INE850K07057
TRENDS IN VOGUE PRIVATE LIMITED
8.50% SECURED RATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 7.84% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
TRICHY TOLLWAY PRIVATE LIMITED
9.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
TRICHY TOLLWAY PRIVATE LIMITED
17.45% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. SERIES A.
TRICONE PROJECTS INDIA LIMITED
16% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE I.
TRICONE PROJECTS INDIA LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE II.
TRICONE PROJECTS INDIA LIMITED
16% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
TRIDHAATU MUMBAI STRUCTURES PRIVATE LIMITED
17% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
TRIDHAATU MUMBAI STRUCTURES PRIVATE LIMITED
13.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
TRIDHAATU REALTY AND INFRA PRIVATE LIMITED
16% (TILL 30/09/18) SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
TRIDHAATU REALTY AND INFRA PRIVATE LIMITED
16% (TILL 30/09/18) SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II.
TRIDHAATU REALTY AND INFRA PRIVATE LIMITED
16% (TILL 30/09/18) SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES III.
TRIL AMRITSAR PROJECTS LIMITED
9.27% SECURED RATED UNLISTED REDEEMABLE TAXABLE NON CONVERTIBLE
TRIL INFOPARK LIMITED INE583J07023
TRIL IT4 PRIVATE LIMITED INE011S07034
TRIL IT4 PRIVATE LIMITED INE011S08032
INE772V08017
INE772V08025
INE071R07030
TRUEWIN REALTY LIMITED INE512U07011
INE723X07018
INE149A07238
INE149A07246
INE149A07253
TULIP TELECOM LIMITED INE122H07107
TULIP TELECOM LIMITED INE122H07131
10.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF 8.53% SECURED RATED UNLISTED TAXABLE REDEEMABLE NON CONVERTIBLE RESET RATE UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
TRINAYANI REALTORS PRIVATE LIMITED
1% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TRINAYANI REALTORS PRIVATE LIMITED
1% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
TRUE VALUE HOMES (INDIA) PRIVATE LIMITED
15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF 12% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES TRL
TRUST INVESTMENT ADVISORS PRIVATE LIMITED
9.25% SECURED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
TUBE INVESTMENTS OF INDIA LTD
8.90% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
TUBE INVESTMENTS OF INDIA LTD
8.79% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
TUBE INVESTMENTS OF INDIA LTD
7.55% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF 12.75% Secured Non-Convertible Debenture. Letter of Allotment. STRPPs Series- III. Date of Maturity 12.75% Secured Non-Convertible Debenture. Letter of Allotment. STRPP- Series- VI. Date of Maturity
TULIP TELECOM LIMITED INE122H07164
TULIP TELECOM LIMITED INE122H07198
INE806W07013
INE806W07021
INE540P07020
INE540P07046
INE540P07053
INE540P07061
INE540P07079
INE540P07087
INE540P07095
INE540P07103
INE540P08028
12.75% Secured Non-Convertible Debenture. Letter of Allotment. STRPPs - Series IX. Date of Maturity 12.75% Secured Non-Convertible Debenture in the form of STRPPs-Series-XII. Letter of Allotment. Date of
TYCHE TECHNOLOGIES PRIVATE LIMITED
13.5% SECURED UNLISTED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
TYCHE TECHNOLOGIES PRIVATE LIMITED
14.5% SECURED UNLISTED UNRATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B.
U.P. POWER CORPORATION LIMITED
9.68% SECURED GOVERNMENT GUARANTEED NON-CONVERTIBLE BONDS.
U.P. POWER CORPORATION LIMITED
8.97% SECURED RATED LISTED GOVERNMENT GUARANTEED NON-CONVERTIBLE TAXABLE
U.P. POWER CORPORATION LIMITED
8.97% SECURED RATED LISTED GOVERNMENT GUARANTEED NON-CONVERTIBLE TAXABLE
U.P. POWER CORPORATION LIMITED
8.97% SECURED RATED LISTED GOVERNMENT GUARANTEED NON-CONVERTIBLE TAXABLE
U.P. POWER CORPORATION LIMITED
8.97% SECURED RATED LISTED GOVERNMENT GUARANTEED NON-CONVERTIBLE TAXABLE
U.P. POWER CORPORATION LIMITED
8.97% SECURED RATED LISTED GOVERNMENT GUARANTEED NON-CONVERTIBLE TAXABLE
U.P. POWER CORPORATION LIMITED
8.97% SECURED RATED LISTED GOVERNMENT GUARANTEED NON-CONVERTIBLE TAXABLE
U.P. POWER CORPORATION LIMITED
8.97% SECURED RATED LISTED GOVERNMENT GUARANTEED NON-CONVERTIBLE TAXABLE
U.P. POWER CORPORATION LIMITED
9.70% UNSECURED REDEEMABLE NON CONVERTIBLE BONDS. DATE OF MATURITY
INE540P08036
UCO BANK INE691A09144
UCO BANK INE691A09151
UCO BANK INE691A09169
UCO BANK INE691A09086
UCO BANK INE691A09136
UCO BANK INE691A09185
UCO BANK INE691A09177
UCO BANK INE691A09094
INE018P07019
INE018P07027
INE018P07035
INE018P07043
U.P. POWER CORPORATION LIMITED
9.70% UNSECURED REDEEMABLE NON CONVERTIBLE BONDS. DATE OF MATURITY 9.50 % Unsecured Redeemable Non Convertible Subordinated Tier -II bonds in form of promissory notes .Series IX. 9.75% Unsecured Redeemable Non Convertible Subordinated Tier -II bonds in form of promissory notes .Series X. 8.92% Unsecured Redeemable Non Convertible Subordinated Lower Tier -II bonds in form of promissory notes .Series XI. 8.70 % Unsecured Non convertible subordinated bonds in nature of promisssory notes. (Series-I) (Tier-II).m Letter of 9.35 % Unsecured Redeemable Non Convertible Subordinated Upper Tier -II bonds in form of promissory notes .Series III. 9.00% Unsecured Redeemable Non Convertible Subordinated Lower Tier -II bonds in form of promissory notes .Series Reset rate Unsecured Redeemable Non Convertible Subordinated Upper Tier -II bonds in form of promissory 9.50% Unsecured Non Convertible Subordinated Perpetual Bonds in nature of promissory notes Series. I.
UJJAWALA POWER PRIVATE LIMITED
12% SECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF
UJJAWALA POWER PRIVATE LIMITED
12% SECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF
UJJAWALA POWER PRIVATE LIMITED
12% SECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF
UJJAWALA POWER PRIVATE LIMITED
12% SECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF
INE018P07050
INE334L08017
INE334L08025
INE334L07126
INE334L07100
INE334L07076
INE334L07167
INE047T08018
INE481G07141
INE481G07158
INE481G07174
INE481G07166
INE481G07182
UJJAWALA POWER PRIVATE LIMITED
12% SECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF
UJJIVAN FINANCIAL SERVICES LIMITED
9.74% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
UJJIVAN FINANCIAL SERVICES LIMITED
9.65% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
UJJIVAN FINANCIAL SERVICES PVT LTD
13.25% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. DATE OF
UJJIVAN FINANCIAL SERVICES PVT LTD
13% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. LETTER OF
UJJIVAN FINANCIAL SERVICES PVT LTD
RESET RATE SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. LETTER OF
UJJIVAN FINANCIAL SERVICES PVT LTD
12.35% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURE. DATE OF MATURITY
UJJVALATEJAS SOLAIRE URJA PRIVATE LIMITED
10% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
ULTRATECH CEMENT LIMITED
7.84% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
ULTRATECH CEMENT LIMITED
7.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
ULTRATECH CEMENT LIMITED
7.57% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
ULTRATECH CEMENT LIMITED
7.57% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
ULTRATECH CEMENT LIMITED
7.57% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
INE481G07208
INE481G08024
INE481G08032
INE481G07190
INE845H07012
INE845H08010
INE117Y07011
INE735R07014
INE735R07022
INE993Q07011
UNION BANK OF INDIA INE692A09134
UNION BANK OF INDIA INE692A09167
UNION BANK OF INDIA INE692A09175
ULTRATECH CEMENT LIMITED
7.15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
ULTRATECH CEMENT LIMITED
6.99% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
ULTRATECH CEMENT LIMITED
6.93% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
ULTRATECH CEMENT LIMITED
7.53% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
ULUNDURPET EXPRESSWAYS PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
ULUNDURPET EXPRESSWAYS PRIVATE LIMITED
RESET RATE UNSECURED OTPIONALLY CONVERTIBLE DEBENTURES. SERIES ONE. DATE OF CONVERSION
UM AUTOCOMP PRIVATE LIMITED
RESET RATE SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
UNICON SHELTERS PRIVATE LIMITED
17% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
UNICON SHELTERS PRIVATE LIMITED
19% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
UNIMARK REMEDIES LIMITED
0.1% SECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF 9.35% Unsecured Redeemable Non Convertible Subordinated bonds Lower Tier - II bond in form of promissory notes. 10.95% Unsecured Redeemable Non Convertible Subordinated Lower Tier - II bond in form of promissory 9.50% Unsecured Redeemable Non Convertible Subordinated Lower Tier - II bond in form of promissory notes. Series -
UNION BANK OF INDIA INE692A09183
UNION BANK OF INDIA INE692A09126
UNION BANK OF INDIA INE692A09241
UNION BANK OF INDIA INE692A09266
UNION BANK OF INDIA INE692A09217
UNION BANK OF INDIA INE692A09225
UNION BANK OF INDIA INE692A09233
UNION BANK OF INDIA INE692A09274
UNION BANK OF INDIA INE692A08011
UNION BANK OF INDIA INE692A08045
UNION BANK OF INDIA INE692A09118
UNION BANK OF INDIA INE692A09142
UNION BANK OF INDIA INE692A09159
8.60% Unsecured Redeemable Non Convertible Subordinated Lower Tier - II bond in form of promissory notes. Series - 8.95% Unsecured Redeemable Non Convertible Subordinated bonds Upper Tier - II bond in form of promissory notes. 8.90% Unsecured Redeemable Non Convertible Subordinated Lower Tier - II bond in form of promissory notes. Date of 9.80% UNSECURED REDEEMABL ENON CONVERTIBLE SUBORDINATED TIER II Reset rate Unsecured Redeemable Non Convertible Subordinated Upper Tier - II bond in form of promissory Reset rate Unsecured Redeemable Non Convertible Subordinated Upper Tier - II bond in form of promissory Reset rate Unsecured Redeemable Non Convertible Subordinated Upper Tier - II bond in form of promissory 8.61% UNSECURED REDEEMABL ENON NON CONVERTIBLE BASEL III COMPLIANT TIER 2 BONDS 8% UNSECURED REDEEMABLE NON CONVERTIBLE SUBORDINATED BASEL 7.74% UNSECURED REDEEMABLE BASEL III COMPLIANT TIER 2 BONDS IN THE NATURE OF 9.45% Unsecured Redeemable Non Convertible Subordinated Innovative Perpetual Upper Tier - I bond in form of 9.90% Unsecured Redeemable Non Convertible Subordinated Perpetual Upper Tier - I bond in form of promissory notes. 11.15% Unsecured Redeemable Non Convertible Subordinated Perpetual lower Tier - II bond in form of
UNION BANK OF INDIA INE692A09191
UNION BANK OF INDIA INE692A09209
UNION BANK OF INDIA INE692A08029
UNION BANK OF INDIA INE692A08086
INE021T07015
INE939H08011
INE936H08025
INE910K07018
INE938H08013
INE938H08021
INE938H08039
UNITED BANK OF INDIA INE695A09079
UNITED BANK OF INDIA INE695A09087
Reset rate Unsecured Non Convertible Subordinated Perpetual bond in form of promissory notes. Series - XIIReset rate Unsecured Non Convertible Subordinated Perpetual bond in form of promissory notes. Series - 9.5% UNSECURED SUBORDINATED FULLY PAID UP BASEL III COMPLIANT PERPETUAL 9.08% UNSECURED NON CONVERTIBLE SUBORDINATED BASEL III COMPLIANT PERPETUAL
UNISHIRE URBANSCAPE PRIVATE LIMITED
RESET RATE SECURED NON-CONVERTIBLE DEBENTURES.DATE OF MATURITY 31/03/2019
UNITECH DEVELOPERS & PROJECTS LIMITED
15% UNSECURED COMULSORILY CONVERTIBLE DEBENTURES. DATE OF
UNITECH HI-TECH STRUCTURES LIMITED
15% UNSECURED COMULSORILY CONVERTIBLE DEBENTURES. DATE OF
UNITECH MACHINES LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
UNITECH REALTY PROJECTS LIMITED
15% UNSECURED COMULSORILY CONVERTIBLE DEBENTURES. DATE OF
UNITECH REALTY PROJECTS LIMITED
15% UNSECURED COMULSORILY CONVERTIBLE DEBENTURES. DATE OF
UNITECH REALTY PROJECTS LIMITED
15% UNSECURED COMULSORILY CONVERTIBLE DEBENTURES. DATE OF 9.30% Unsecured Non convertible bond in form of promissory notes. Lower Tier II. Series VI. Date of Maturity: 9.20% Unsecured Non- Convertible Lower Tier II Bond in the form of Promissory Note. Date of
UNITED BANK OF INDIA INE695A09103
UNITED BANK OF INDIA INE695A08030
UNITED BANK OF INDIA INE695A08048
UNITED BANK OF INDIA INE695A09095
UNITED BANK OF INDIA INE695A08014
INE628A08122
INE628A08197
INE628A08130
INE628A08148
INE628A08205
INE628A08155
INE628A08163
INE378R07039
8.75% UNSECURED NON CONVERTIBLE REDEEMABLE BASEL III COMPLIANT TIER II 9% UNSECURED NON CONVERTIBLE REDEEMABLE LISTED BASEL III COMPLIANT 10.50% UNSECURED NON CONVERTIBLE REDEEMABLE LISTED BASEL III COMPLIANT TIER 9.27% UNSECURED NON CONVERTIBLE PERPETUAL DEBT. (TIER I BONDS). LETTER OF 11.95% UNSECURED SUBORDINATED NON CONVERTIBLE BASEL III COMPLIANT PERPETUAL
UNITED PHOSPHORUS LIMITED
10.25% Unsecured Non-Convertible Debenture. Letter of Allotment. Series - A. Date of Maturity 05/10/2018
UNITED PHOSPHORUS LIMITED
10.35% FULLY PAID UNSECURED REDEEMABLE NON CONVERTIBLE
UNITED PHOSPHORUS LIMITED
10.35% Unsecured Non-Convertible Debenture. Letter of Allotment. Series - B. Date of Maturity 05/10/2019
UNITED PHOSPHORUS LIMITED
10.42% Unsecured Non-Convertible Debenture. Letter of Allotment. Series - C. Date of Maturity 05/10/2021
UNITED PHOSPHORUS LIMITED
10.40% FULLY PAID UNSECURED REDEEMABLE NON CONVERTIBLE
UNITED PHOSPHORUS LIMITED
10.47% Unsecured Non-Convertible Debenture. Letter of Allotment. Series - D. Date of Maturity 05/10/2022
UNITED PHOSPHORUS LIMITED
Reset rate Unsecured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 06/07/2026
UNITED SEAMLESS TUBULAAR PRIVATE LIMITED
8.50% SECURED NON CONVERTIBLE BONDS. SERIES A. DATE OF MATURITY 31/03/2021
INE378R07047
INE936W08016
INE936W08032
INE936W08024
INE936W08040
INE936W08057
INE032Y07012
INE140W08015
INE140W08023
INE141W08013
INE141W08021
INE142W08011
INE142W08029
UNITED SEAMLESS TUBULAAR PRIVATE LIMITED
8.50% SECURED NON CONVERTIBLE BONDS. SERIES B. DATE OF MATURITY 31/03/2022
UNITY ADVISORY SERVICES PRIVATE LIMITED
ZERO COUPON UNSECURED RATED LISTED REDEEMABLE NON CONVERTIBLE
UNITY ADVISORY SERVICES PRIVATE LIMITED
ZERO COUPON UNSECURED RATED LISTED REDEEMABLE NON CONVERTIBLE
UNITY ADVISORY SERVICES PRIVATE LIMITED
ZERO COUPON UNSECURED RATED LISTED REDEEMABLE NON CONVERTIBLE
UNITY ADVISORY SERVICES PRIVATE LIMITED
ZERO COUPON UNSECURED RATED LISTED REDEEMABLE NON CONVERTIBLE
UNITY ADVISORY SERVICES PRIVATE LIMITED
ZERO COUPON UNSECURED RATED LISTED REDEEMABLE NON CONVERTIBLE
UNNABH BUILDCON PRIVATE LIMITED
ZERO COUPON SECURED UNLISTED UNRATED REDEEMABLE NON CONVERTIBEL
UP KORAUN URJA PRIVATE LIMITED
0.0001% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
UP KORAUN URJA PRIVATE LIMITED
0.001% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
UP MEHRAUNI - I URJA PRIVATE LIMITED
0.0001% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
UP MEHRAUNI - I URJA PRIVATE LIMITED
0.001% UNSECURED UNLISTED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
UP MEHRAUNI - II URJA PRIVATE LIMITED
0.0001% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
UP MEHRAUNI - II URJA PRIVATE LIMITED
0.001% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
INE143W08019
INE143W08027
INE143W08035
USHER AGRO LIMITED INE235G08016
UTI BANK LIMITED INE238A08278
INE396P08025
INE396P08058
INE396P08041
INE396P08082
INE396P08017
INE396P08066
INE396P08074
INE396P07035
UP SARILA URJA PRIVATE LIMITED
0.0001% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
UP SARILA URJA PRIVATE LIMITED
0.001% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
UP SARILA URJA PRIVATE LIMITED
0.001% UNSECURED UNLISTED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF 11% UNSECURED NON CONVERTIBLE DEBENTURES.SERIES I. LETTER OF ALLOTMENT 9.50% Unsecured Redeemable Non Convertible Subordinated Debentures. Upper Tier II . Date of
UTKARSH MICRO FINANCE LIMITED
10.5% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
UTKARSH MICRO FINANCE LIMITED
11% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
UTKARSH MICRO FINANCE LIMITED
10.8% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
UTKARSH MICRO FINANCE LIMITED
10.20% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
UTKARSH MICRO FINANCE LIMITED
RESET RATE UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
UTKARSH MICRO FINANCE LIMITED
12% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
UTKARSH MICRO FINANCE LIMITED
RESET RATE UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
UTKARSH MICRO FINANCE PRIVATE LIMITED
14.80% SECURED NON-CONVERTIBLE DEBENTURES. DATE OF MATURITY 13/11/2017
INE396P07084
INE396P07068
INE396P07100
INE396P07118
INE396P07092
INE771P08011
INE848T07011
INE444W07013
INE495R08013
INE495R08021
INE828N07032
INE304T07015
INE754T07011
UTKARSH MICRO FINANCE PRIVATE LIMITED
SBI BASE RATE LINKED SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES F
UTKARSH MICRO FINANCE PRIVATE LIMITED
13.95% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES.SERIES F
UTKARSH MICRO FINANCE PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES F
UTKARSH MICRO FINANCE PRIVATE LIMITED
12.50% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES F
UTKARSH MICRO FINANCE PRIVATE LIMITED
SBI BASE RATE LINKED SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. SERIES F
UTTAR HARYANA BIJLI VITRAN NIGAM LIMITED
9.80% USECURED REDEEMABLE TAXABLE NON-CONVERTIBLE BONDS IN NATURE OF
V R HOLDINGS PRIVATE LIMITED
20.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
V.S.T. MOTORS PRIVATE LIMITED
G-SEC PRICE INDEX LIKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
VADINAR PROPERTIES LIMITED
ZERO INTEREST UNSECURED FULLY CONVERTIBLE DEBENTURES. SERIES I.
VADINAR PROPERTIES LIMITED
ZERO INTEREST UNSECURED FULLY CONVERTIBLE DEBENTURES. SERIES II.
VADODARA BHARUCH TOLLWAY LIMITED
10.10% SECURED REDEEMABLE NON CONVERTIBLE TAXABLE DEBENTURES. DATE OF
VAGAD BUILDERS AND DEVELOPERS PVT LTD
17.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
VALDEL REAL ESTATE PRIVATE LIMITED
17.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
INE754T07029
INE754T07037
INE193M08015
INE708V08011
VARAHA INFRA LIMITED INE068R07010
INE825A07043
INE825A07050
INE825A07068
INE370S07026
INE665L07016
INE200M07044
INE701M07017
INE701M07025
VALDEL REAL ESTATE PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
VALDEL REAL ESTATE PRIVATE LIMITED
16.5% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
VALECHA LM TOLL PRIVATE LIMITED
UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. LETTER OF
VANA ENTERPRISES LIMITED
ZERO COUPON UNSECURED COMPULSORILY CONVERTIBLE 13% SECURED OPTIONALLY CONVERTIBLE DEBENTURES. SERIES 1.
VARDHMAN TEXTILES LIMITED
7.59% SECURED NOT GUARANTEED SENIOR TAXABLE NON CUMULATIVE RATED
VARDHMAN TEXTILES LIMITED
7.69% SECURED NOT GUARANTEED SENIOR TAXABLE NON CUMULATIVE RATED
VARDHMAN TEXTILES LIMITED
7.75% SECURED NOT GUARANTEED SENIOR TAXABLE NON CUMULATIVE RATED
VARNIKA REALTY PRIVATE LIMITED
19.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
VARROC ENGINEERING PRIVATE LIMITED
8.10% SECURED RATED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
VARUN BEVERAGES LIMITED
7.70% SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
VASAN HEALTH CARE PRIVATE LIMITED
9% SECURED NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 14/12/2017
VASAN HEALTH CARE PRIVATE LIMITED
9% SECURED NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 27/12/2017
INE701M07033
VASATHI HOUSING LIMITED INE594P07035
INE893I07010
INE459T07017
INE504U07018
VATIKA LIMITED INE790J07040
VATIKA LIMITED INE790J07057
INE828S07015
INE828S07023
INE828S07031
INE057U08015
INE638W08026
INE638W08018
VASAN HEALTH CARE PRIVATE LIMITED
9% SECURED NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 23/04/2018.18.25% SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES UL-A.
VASCON ENGINEERS LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVRTIBLE DEBENTURES. SERIES 1. LETTER OF
VASTU HOUSING FINANCE CORPORATION LIMITED
SBI RATE LINKED SECURED RATED UNLISTED REDEEMABLE NON CONVERTIBEL
VATIKA INFRACON PRIVATE LIMITED
14% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE 1 RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A. RESET RATE SECURED REDEEMABLE NON CONVERTIBLE PARTLY PAID DEBENTURES. SERIES B.
VATIKA ONE INDIA NEXT PRIVATE LIMITED
15% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
VATIKA ONE INDIA NEXT PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
VATIKA ONE INDIA NEXT PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE PARTLY PAID DEBENTURES. SERIES B.
VAYU URJA BHARAT PRIVATE LIMITED
BENCHMARK MCLR RATE LINKED UNSECURED UNLISTED UNRATED OPTIONALLY CONVERTIBLE
VECTOR GREEN ENERGY PRIVATE LIMITED
15% UNSECURED UNLISTED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF
VECTOR GREEN ENERGY PRIVATE LIMITED
15% UNSECURED OPTIONALLY CONVERTIBLE PERPETUAL DEBENTURES.
INE998V08018
INE856X07016
VEDANTA LIMITED INE205A07113
VEDANTA LIMITED INE205A07055
VEDANTA LIMITED INE205A07089
VEDANTA LIMITED INE205A07105
VEDANTA LIMITED INE205A07048
VEDANTA LIMITED INE205A07097
VEDANTA LIMITED INE205A07030
VEDANTA LIMITED INE205A07063
VEDANTA LIMITED INE205A07071
INE430H07070
INE430H07088
VECTOR GREEN SUNSHINE LIMITED
16% UNSECURED UNLISTED COMPULSORILY CONVERTIBLE DEBENTURES. LETTER OF
VECTOR PROJECT (I) PVT LTD
14% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1. 7.60% SECURED REDEEMBALE NON CONVERTIBLE DEBENTURES.SERIES 8.65% SECURED REDEEMBALE NON CONVERTIBLE DEBENTURES. SERIES 8.25% SECURED REDEEMBALE NON CONVERTIBLE DEBENTURES.SERIES 7.50% SECURED REDEEMBALE NON CONVERTIBLE DEBENTURES.SERIES 8.7% SECURED REDEEMBALE NON CONVERTIBLE DEBENTURES. SERIES 8.7% 7.95% SECURED REDEEMBALE NON CONVERTIBLE DEBENTURES.SERIES 9.45% SECURED REDEEMBALE NON CONVERTIBLE DEBENTURES. DATE OF 8.75% SECURED REDEEMBALE NON CONVERTIBLE DEBENTURES. DATE OF 8.75% SECURED REDEEMBALE NON CONVERTIBLE DEBENTURES. DATE OF
VELANKANI INFORMATION SYSTEMS PRIVATE LIMITED
14% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES G.
VELANKANI INFORMATION SYSTEMS PRIVATE LIMITED
14% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES H.
INE430H07096
INE430H07013
INE430H07021
INE430H07039
INE430H07047
INE430H07054
INE430H07062
INE198W08013
INE144W08017
INE177W08017
INE187W08016
INE145W08014
INE352P07020
VELANKANI INFORMATION SYSTEMS PRIVATE LIMITED
14% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
VELANKANI INFORMATION SYSTEMS PRIVATE LIMITED
11% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A. LETTER OF ALLOTMENT. DATE OF MATURITY VELANKANI INFORMATION
SYSTEMS PRIVATE LIMITED12.9% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B. LETTER OF ALLOTMENT. VELANKANI INFORMATION
SYSTEMS PRIVATE LIMITED11% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES C. DATE OF MATURITY 31/05/2023VELANKANI INFORMATION
SYSTEMS PRIVATE LIMITED12.9% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES D. DATE OF MATURITY VELANKANI INFORMATION
SYSTEMS PRIVATE LIMITED11% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES E.
VELANKANI INFORMATION SYSTEMS PRIVATE LIMITED
11% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES F.
VENTO ENERGY INFRA PRIVATE LIMITED
0.0001% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
VENTO POWER & ENERGY LIMITED
0.0001% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
VENTO POWER INFRA PRIVATE LIMITED
0.0001% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
VENTO POWER PRIVATE LIMITED
0.0001% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
VENTO POWER PROJECTS PRIVATE LIMITED
0.0001% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
VENUS INDIA ASSET-FINANCE PRIVATE LIMITED
12% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETETR OF
INE397U07017
INE249R08014
INE723O07025
INE723O07041
INE723O07058
INE846T07015
INE414M07017
INE414M07025
INE565W07015
VIJAYA BANK INE705A09084
VIJAYA BANK INE705A09092
VIJAYA BANK INE705A09100
VIJAYA BANK INE705A08029
VERACIOUS BUILDERS & DEVELOPERS PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON CONVETIBLE DEBENTURES. SERIES A. DATE OF
VESSEL WAREHOUSING PRIVATE LIMITED
14% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
VGN DEVELOPERS PRIVATE LIMITED
18% SECURED NON CONVERTIBLE DEBENTURE. SERIES I. DATE OF MATURIY
VGN DEVELOPERS PRIVATE LIMITED
19% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. DATE OF
VGN PROPERTY DEVELOPERS PRIVATE LIMITED
14.65% SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
VIBHOR VAIBHAV INFRAHOME PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
VICEROY BANGALORE HOTELS PRIVATE LIMITED
RESET RATE SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE PARTLY PAID
VICEROY BANGALORE HOTELS PRIVATE LIMITED
RESET RATE SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE PARTLY PAID
VIJAY GRIHANIRMAN PRIVATE LIMITED
9% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF 9.50% Unsecured Redeemable Non- Convertible Subordinated Bonds in form of promisoory note. Series VI 9.35% Unsecured Redeemable Non- Convertible Subordinated Bonds in form of promisoory note. Series VII 9.45% Unsecured Redeemable Non- Convertible Subordinated Bonds in form of promissory note. Series II - 9.73% UNSECURED NON-CONVERTIBLE BASEL III COMPLIANT TIER 2 BONDS IN THE NATURE
VIJAYA BANK INE705A08037
VIJAYA BANK INE705A08052
VIJAYA BANK INE705A08078
VIJAYA BANK INE705A08045
VIJAYA BANK INE705A08060
VIJAYA BANK INE705A08086
VIJAYA BANK INE705A08094
INE910O07010
INE189P07067
INE443U07019
INE443U07027
INE707A08017
INE999J07013
9.15% UNSECURED REDEEMABLE NON-CONVERTIBLE BASEL III COMPLIANT TIER 2 8.62% UNSECURED REDEEMABLE NON-CONVERTIBLE BASEL III COMPLIANT TIER 2 8.64% UNSECURED REDEEMABLE NON-CONVERTIBLE BASEL III COMPLIANT TIER 2 BONDS 9.54% UNSECURED REDEEMABLE NON-CONVERTIBLE BASEL III COMPLIANT TIER 1 10.40% UNSECURED PERPETUAL REDEEMABLE NON-CONVERTIBLE BASEL III COMPLIANT 11.25% UNSECURED SUBORDINATED NON-CONVERTIBLE PERPETUAL BASEL III COMPLIANT 10.49% UNSECURED SUBORDINATED NON-CONVERTIBLE PERPETUAL BASEL III COMPLIANT
VIKRAM HOSPITAL (BENGALURU) PRIVATE LIMITED
12% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
VILAS JAVDEKAR ECO SHELTERS PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
VINAYRAJ PROJECTS PRIVATE LIMITED
20% SECURED OPTIONALLY CONVERTIBLE DEBENTURES. SERIES 001. LETTER OF ALLOTMENT.
VINAYRAJ PROJECTS PRIVATE LIMITED
20% SECURED OPTIONALLY CONVERTIBLE DEBENTURES. SERIES 002. LETTER OF ALLOTMENT.
VINDHYA TELELINKS LIMITED
8.5% UNSECURED NON CONVERTIBLE DEBENTURES.LETTER OF ALLOTMENT. SERIES 01.
VIOM NETWORKS LIMITED
SBI BASE RATE LINKED SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
INE946H07059
INE571O08018
INE200W07019
INE200W08025
INE200W08017
INE202S07021
INE203S07045
INE203S07037
INE203S07011
INE203S07052
INE203S07060
INE587T07015
INE454T08016
VIPUL LIMITED (FORMERLY VIPUL INFRASTRUCTURE DEVELOPERS LIMITED)
ZERO COUPON SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
VIRTUSA CONSULTING SERVICES PRIVATE LIMITED
9% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
VISAGE HOLDINGS AND FINANCE PRIVATE LIMITED
13.45% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
VISAGE HOLDINGS AND FINANCE PRIVATE LIMITED
13.50% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. U GROUP
VISAGE HOLDINGS AND FINANCE PRIVATE LIMITED
16.90% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
VISHWAROOP DEVELOPERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
VISHWAROOP ESTATES & DEVELOPERS PRIVATE LIMITED
16% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
VISHWAROOP ESTATES & DEVELOPERS PRIVATE LIMITED
13% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
VISHWAROOP ESTATES & DEVELOPERS PRIVATE LIMITED
13% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
VISHWAROOP ESTATES & DEVELOPERS PRIVATE LIMITED
16% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B.
VISHWAROOP ESTATES & DEVELOPERS PRIVATE LIMITED
16% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES C.
VISHWAROOP REALTORS PRIVATE LIMITED
16.01% SECURED REDEEMABLE NON-CONVERTIBLE DEBENTURES. DATE OF
VISHWATMA SOLAR ENERGY PRIVATE LIMITED
RESET RATE UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
INE703X07010
INE634T07015
INE016P07096
INE016P07021
INE016P07104
INE016P07047
INE016P07070
INE016P07088
INE016P07112
INE016P07054
INE016P07062
INE712N08010
INE743G08035
VISMAYA DEVELOPERS PRIVATE LIMITED
12% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. TRANCHE I.
VISTA HOMES PRIVATE LIMITED
18.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
VISTAAR FINANCIAL SERVICES PRIVATE LIMITED
11.45% SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES IN THE FORM
VISTAAR FINANCIAL SERVICES PRIVATE LIMITED
13.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
VISTAAR FINANCIAL SERVICES PRIVATE LIMITED
11.45% SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES IN THE FORM
VISTAAR FINANCIAL SERVICES PRIVATE LIMITED
13.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
VISTAAR FINANCIAL SERVICES PRIVATE LIMITED
11.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 3.
VISTAAR FINANCIAL SERVICES PRIVATE LIMITED
11.45% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
VISTAAR FINANCIAL SERVICES PRIVATE LIMITED
11.45% SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES IN THE FORM
VISTAAR FINANCIAL SERVICES PRIVATE LIMITED
13.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. SERIES 5. DATE VISTAAR FINANCIAL
SERVICES PRIVATE LIMITED11.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
VISUAL PERCEPT SOLAR PROJECTS PRIVATE LIMITED
RESET RATE UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
VITP PRIVATE LIMITED (FORMERLY VANENBUG IT PARK PVT LTD)
RESET RATE UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
INE743G08043
INE294W08010
INE905O07028
INE713G08020
INE713G08038
INE713G08046
INE851M07077
INE851M07101
INE851M07085
INE851M07127
INE851M07143
INE851M07119
INE851M07150
VITP PRIVATE LIMITED (FORMERLY VANENBUG IT PARK PVT LTD)
RESET RATE UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II.
VIVO MOBILE INDIA PRIVATE LIMITED
3% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
VIZAG GENERAL CARGO BERTH PVT LTD
8.25% SECURED RATED LISTED REDEEMABLE NON-CONVERTIBLE TAXABLE DEBENTURES. DATE OF
VODAFONE MOBILE SERVICES LIMITED
8.05% UNSECURED NOT GUARANTEED SENIOR TAXABLE NON CUMULATIVE RATED
VODAFONE MOBILE SERVICES LIMITED
8.15% UNSECURED NOT GUARANTEED SENIOR TAXABLE NON CUMULATIVE RATED
VODAFONE MOBILE SERVICES LIMITED
8.25% UNSECURED NOT GUARANTEED SENIOR TAXABLE NON CUMULATIVE RATED
VOLKSWAGEN FINANCE PRIVATE LIMITED
8.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
VOLKSWAGEN FINANCE PRIVATE LIMITED
8.63% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
VOLKSWAGEN FINANCE PRIVATE LIMITED
8.65% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VWFPL NCD A 01 FY 2015-16 . VOLKSWAGEN FINANCE
PRIVATE LIMITED8.40% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
VOLKSWAGEN FINANCE PRIVATE LIMITED
7.93% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
VOLKSWAGEN FINANCE PRIVATE LIMITED
8.63% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
VOLKSWAGEN FINANCE PRIVATE LIMITED
7.98% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
INE851M07135
INE851M07093
INE851M07168
INE851M07176
INE851M07184
INE479T07015
INE509R07013
INE509R07021
INE458U07017
INE458U07025
INE458U07033
INE431Q07020
INE577N07134
VOLKSWAGEN FINANCE PRIVATE LIMITED
8.47% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
VOLKSWAGEN FINANCE PRIVATE LIMITED
8.65% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES VWFPL NCD A 02 FY 2015-16 . VOLKSWAGEN FINANCE
PRIVATE LIMITED8.05% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
VOLKSWAGEN FINANCE PRIVATE LIMITED
7.83% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
VOLKSWAGEN FINANCE PRIVATE LIMITED
7.50% SECURED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
VSPL PROJECTS PRIVATE LIMITED
21.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
VYSHALI ENERGY PRIVATE LIMITED
9.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
VYSHALI ENERGY PRIVATE LIMITED
9.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
WADHAWAN GLOBAL CAPITAL PRIVATE LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 01
WADHAWAN GLOBAL CAPITAL PRIVATE LIMITED
ZERO COUPON RATED UNLISTED TAXABLE SECURED REDEEMABLE NON CONVERTIBLE
WADHAWAN GLOBAL CAPITAL PRIVATE LIMITED
ZERO COUPON RATED UNLISTED TAXABLE SECURED REDEEMABLE NON CONVERTIBLE
WADHWA CONSTRUCTION & INFRASTRUCTURE PRIVATE LIMITED
17% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
WADHWA GROUP HOLDINGS PRIVATE LIMITED
17.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
INE577N07142
INE261Q08011
INE261Q08029
INE711A07011
WANBURY LIMITED INE107F08019
INE900V08014
INE873F09014
INE873F09022
INE873F09030
INE873F09048
INE873F09055
INE933Q08015
INE446X08014
WADHWA GROUP HOLDINGS PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
WADHWA RESIDENCY PRIVATE LIMITED
20% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. SERIES A.
WADHWA RESIDENCY PRIVATE LIMITED
19% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. SERIES B.
WALCHANDNAGAR INDUSTRIES LTD.
RESET RATE SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE UNSECURED NOT GUARANTEED TAXABLE UNRATED FULLY CONVERTIBLE
WARDHA SOLAR (MAHARASHTRA) PRIVATE LIMITED
10.50% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. SERIES I.
WATER & SANITATION POOLED FUND
9.20% Unsecured Redeemable Non-Convertible Bonds in the form of Promissory Notes. Date of Final Redemption:
WATER AND SANITATION POOLED FUND
7.25% Unsecured Redeemable Non-Convertible Tax Free Pooled Finance Development Bonds in the form of
WATER AND SANITATION POOLED FUND
7.50% Unsecured Redeemable Non-Convertible Tax Free Pooled Finance Pooled Development Bonds under
WATER AND SANITATION POOLED FUND
10.6% UNSECURED NON CONVERTIBLE TAXABLE POOLED BONDS 2012. LETTER OF ALLOTMENT.
WATER AND SANITATION POOLED FUND
8.71% UNSECURED NON CONVERTIBLE TAXABLE POOLED BONDS 2013. LETTER OF ALLOTMENT.
WATERMARK INFRATECH PVT. LTD.
ZERO COUPON UNSECURED OPTIONALLY CONVERTIBLE DEBENTURES. DATE OF
WATSUN INFRABUILD PRIVATE LIMITED
10% UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
INE797W07022
INE329W08014
INE329W07016
INE667O07024
INE667O07032
WELSPUN CORP LIMITED INE191B07139
WELSPUN CORP LIMITED INE191B07071
INE701V08016
INE701V08024
INE701V08032
INE064V08019
INE497Y08015
INE296N08022
WELLNEST INDIA PROJECTS PRIVATE LIMITED
16.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
WELSHOP TRADING PRIVATE LIMITED
ZERO COUPON UNSECURED UNLISTED UNRATED COMPULSORILY CONVERTIBLE
WELSHOP TRADING PRIVATE LIMITED
RESET RATE SECURED REDEEMABLE NON COVNERTIBLE DEBENTURES. DATE OF
WELSPUN CAPTIVE POWER GENERATION LIMITED
9.84% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
WELSPUN CAPTIVE POWER GENERATION LIMITED
9.84% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1. 11% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF 9.55% Secured Non - Convertible Debenture Letter of Allotment Date of Maturity : 03/08/2025
WELSPUN DELHI MEERUT EXPRESSWAY PRIVATE LIMITED
ZERO COUPON UNSECURED COMPULSORILY CONVERTIBLE
WELSPUN DELHI MEERUT EXPRESSWAY PRIVATE LIMITED
ZERO COUPON UNSECURED COMPULSORILY CONVERTIBLE
WELSPUN DELHI MEERUT EXPRESSWAY PRIVATE LIMITED
ZERO COUPON UNSECURED COMPULSORILY CONVERTIBLE
WELSPUN ENERGY RAJASTHAN PRIVATE LIMITED
RESET RATE UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
WELSPUN ENERGY THERMAL PRIVATE LIMITED
ZERO COUPON UNSECURED UNLISTED COMPULSORILY CONVERTIBLE
WELSPUN RENEWABLES ENERGY PRIVATE LIMITED
8% UNSECURED GURANTEED REDEEMABLE RATED LISTED TAXABLE NON CONVERTIBLE
INE555O08011
WELSPUN STEEL LIMITED INE478N08018
WELSPUN STEEL LIMITED INE478N08026
INE690F08139
INE690F08147
INE690F08154
INE690F08162
INE690F08170
INE690F08196
INE690F08188
INE690F08204
INE690F08212
INE690F08238
WELSPUN SOLAR MADHYA PRADESH PRIVATE LIMITED
RESET RATE UNSECURED FULLY AND COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF ZERO COUPON UNSECURED UNLISTED UNRATED COMPULSORILY CONVERTIBLE ZERO COUPON UNSECURED UNLISTED UNRATED COMPULSORILY CONVERTIBLE
WEST BENGAL FINANCIAL CORPORATION
9.30% Unsecured Redeemable Non Convertible Non SLR Bonds. (Series XI - 1st Issue) Date of Maturity: 12/12/2018
WEST BENGAL FINANCIAL CORPORATION
8.90% Unsecured Redeemable Non Convertible Non SLR Bonds. (Series XI - 2nd Issue) Date of Maturity: 25/03/2019
WEST BENGAL FINANCIAL CORPORATION
8.60% Unsecured Redeemable Non Convertible Non SLR Bonds. (Series XII - 1st Issue) Date of Maturity: 30/12/2019
WEST BENGAL FINANCIAL CORPORATION
8.60% Unsecured Redeemable Non Convertible Non SLR Bonds. (Series XII - 2nd Issue) Date of Maturity: 03/03/2020
WEST BENGAL FINANCIAL CORPORATION
9.60% Unsecured Non-Convertible Bond. Series- XIII - 1. Date of Maturity 05/09/2021
WEST BENGAL FINANCIAL CORPORATION
9.48% Unsecured Non-Convertible Non SLR Bond. Series- XIII - 2nd issue. Date of Maturity 27/03/2022
WEST BENGAL FINANCIAL CORPORATION
9.52% Unsecured Non Convertible Non SLR Bond. Series XIII (3rd Issue) Date of Allotment - 02/05/2022
WEST BENGAL FINANCIAL CORPORATION
9.70% SERIES XIV GOVERNMENT GUARANTEED REDEEMABLE NON
WEST BENGAL FINANCIAL CORPORATION
9.70% SERIES XIV - 2ND ISSUE) GOVERNMENT GUARANTEED REDEEMABLE NON
WEST BENGAL FINANCIAL CORPORATION
9.65% (SERIES XIV - 4TH ISSUE) GOVERNMENT GUARANTEED REDEEMABLE NON
INE690F07024
INE690F07032
INE690F07040
INE740F08389
INE740F08397
INE287G09015
INE287G09031
INE411L07015
INE411L07023
INE411L07031
INE631K07010
INE631K07028
INE475I08014
WEST BENGAL FINANCIAL CORPORATION
9.70% SECURED NON CONVERTIBLE NON SLR BOND. SERIES XV-1ST ISSUE. DATE OF
WEST BENGAL FINANCIAL CORPORATION
9.80% SECURED NON CONVERTIBLE WBFC NON SLR BOND. SERIES XV-2ND ISSUE. DATE OF
WEST BENGAL FINANCIAL CORPORATION
9.80% SECURED REDEEMABLE NON CONVERTIBLE NON SLR BOND. SERIES XV-3RD
WEST BENGAL INFRASTRUCTURE DEVELOPMENT FIN. CORP LTD.
9.15% Unsecured Non Convertible Bond . Series : IBAH. Date of Maturity:06/04/2020
WEST BENGAL INFRASTRUCTURE DEVELOPMENT FIN. CORP LTD.
9.20% Unsecured Non Convertible Bond . Series : IBAI. Date of Maturity:06/04/2020
WEST BENGAL STATE ELECTRICITY BOARD
8.50 % Secured Redeemable State Govt. Guaranteed Bonds in the form of Promissory Note.
WEST BENGAL STATE ELECTRICITY BOARD
8. 50% Secured Redeemable State Govt. Guaranteed Bonds in the form of Promissory Note.
WEST BENGAL STATE ELECTRICITY DISTRIBUTION COMPANY LIMITED
9.34% Secured Redeemable Non Convertible Bonds Series - I in the nature of Debenture. Letter of Allotment.Date of
WEST BENGAL STATE ELECTRICITY DISTRIBUTION COMPANY LIMITED
9.34% Secured Non-Convertible Bonds in the nature of Debentures. Letter of Allotment. Series- II. Date of
WEST BENGAL STATE ELECTRICITY DISTRIBUTION COMPANY LIMITED
10.85% Secured Non-Convertible Bonds in the nature of Debenture. Letter of Allotment. Series- III. Date of
WEST BENGAL STATE ELECTRICITY TRANSMISSION COMPANY LIMITED
9.75% Secured Redeemable Non Convertible Bond. Date of Maturity : 16/10/2019
WEST BENGAL STATE ELECTRICITY TRANSMISSION COMPANY LIMITED
10.29% Secured Non-Convertible Bond. Date of Maturity 26/07/2021
WEST GUJARAT EXPRESSWAY LIMITED
Reset Rate Unsecured Non Convertible Debentures. Final Date of Redemption: 30/06/2020
INE475I07016
INE475I07032
INE475I07024
INE042R07015
INE042R07023
INE042R07031
INE042R07049
INE042R07056
INE042R07064
INE042R07072
INE042R07080
INE697W08014
INE641J07029
WEST GUJARAT EXPRESSWAY LIMITED
10.20% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
WEST GUJARAT EXPRESSWAY LIMITED
8% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES C.
WEST GUJARAT EXPRESSWAY LIMITED
11.05% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B.
WESTBURY CONSTRUCTION PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
WESTBURY CONSTRUCTION PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES C 1.
WESTBURY CONSTRUCTION PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES C2. DATE OF MATURITY 31/01/2018WESTBURY
CONSTRUCTION PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES C3.
WESTBURY CONSTRUCTION PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES D1.
WESTBURY CONSTRUCTION PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES D2.
WESTBURY CONSTRUCTION PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES D3.
WESTBURY CONSTRUCTION PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
WESTERLY RETAIL PRIVATE LIMITED
RESET RATE UNSECURED RATED LISTED REDEEMABEL NON CONVERTIBLE
WESTERN UP TOLLWAY LTD
10.60% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES B.
INE641J07037
INE641J08027
INE641J08019
INE290W08026
INE290W08018
INE299V08011
INE299V08029
INE299V08060
INE299V08037
INE299V08045
INE299V08052
WOODSIDE PARKS LIMITED INE568U07013
INE312G08054
WESTERN UP TOLLWAY LTD
9.7% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES D.
WESTERN UP TOLLWAY LTD
SBI BASE RATE LINKED UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES C.
WESTERN UP TOLLWAY LTD
SBI BASE RATE LINKED UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
WHISPERING HEIGHTS REAL ESTATE PRIVATE LIMITED
13% UNSECURED UNLISTED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
WHISPERING HEIGHTS REAL ESTATE PRIVATE LIMITED
13% UNSECURED LISTED RATED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES A.
WINSOL SOLAR FIELDS (POLEPALLY) PRIVATE LIMITED
12% UNSECURED COMPULSORILY CONVERTIBLE DEBENTUES. DATE OF CONVERSION
WINSOL SOLAR FIELDS (POLEPALLY) PRIVATE LIMITED
12% UNSECURED COMPULSORILY CONVERTIBLE DEBENTUES. DATE OF CONVERSION
WINSOL SOLAR FIELDS (POLEPALLY) PRIVATE LIMITED
12% UNSECURED COMPULSORILY CONVERTIBLE DEBENTUES. DATE OF CONVERSION
WINSOL SOLAR FIELDS (POLEPALLY) PRIVATE LIMITED
12% UNSECURED COMPULSORILY CONVERTIBLE DEBENTUES. DATE OF CONVERSION
WINSOL SOLAR FIELDS (POLEPALLY) PRIVATE LIMITED
12% UNSECURED COMPULSORILY CONVERTIBLE DEBENTUES. DATE OF CONVERSION
WINSOL SOLAR FIELDS (POLEPALLY) PRIVATE LIMITED
12% UNSECURED COMPULSORILY CONVERTIBLE DEBENTUES. DATE OF CONVERSION 11.70% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
WRITERS AND PUBLISHERS PRIVATE LIMITED
RESET RATE UNSECURED UNLISTED COLLATERALIZED REDEEMABLE NON
INE312G08062
INE312G08070
INE252T07016
INE252T07024
INE001W08019
INE001W08035
YES BANK LIMITED INE528G08147
YES BANK LIMITED INE528G08139
YES BANK LIMITED INE528G08170
YES BANK LIMITED INE528G08196
YES BANK LIMITED INE528G08204
YES BANK LIMITED INE528G08212
YES BANK LIMITED INE528G08055
WRITERS AND PUBLISHERS PRIVATE LIMITED
RESET RATE UNSECURED UNLISTED RATED COLLATERALIZED REDEEMABLE NON
WRITERS AND PUBLISHERS PRIVATE LIMITED
RESET RATE UNSECURED UNLISTED RATED COLLATERALIZED REDEEMABLE NON
XANDER FINANCE PRIVATE LIMITED
11.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES I.
XANDER FINANCE PRIVATE LIMITED
11.50% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES II.
YARROW INFRASTRUCTURE PRIVATE LIMITED
RESET RATE UNSECURED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF
YARROW INFRASTRUCTURE PRIVATE LIMITED
RESET RATE UNSECURED UNLISTED COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF 9.65% Unsecured Non Convertible Subordinated Tier II bond in the nature of debenture Date of Maturity: 9.65% Unsecured Non Convertible Subordinated Tier II bond in the nature of debenture Date of Maturity: 9.30% Unsecured Non Convertible Subordinated Lower Tier II bond in the nature of debenture Date of 10.30% Unsecured Non-Convertible,Subordinates Lower Tier II Bond in the Nature of Debenture. Date of 10.20% Unsecured Non-Convertible,Subordinates Lower Tier II Bond in the Nature of Debenture. Date of 9.90% Unsecured, Non Convertible Debenture. Lower Tier II Subordinated bonds in the nature of Debentures. Date 10.40% Unsecured Redeemable Non Convertible Upper Tier II Subordinated Bonds in the nature of
YES BANK LIMITED INE528G08220
YES BANK LIMITED INE528G08238
YES BANK LIMITED INE528G09129
YES BANK LIMITED INE528G08246
YES BANK LIMITED INE528G08089
YES BANK LIMITED INE528G08121
YES BANK LIMITED INE528G08360
YES BANK LIMITED INE528G08279
YES BANK LIMITED INE528G08287
YES BANK LIMITED INE528G08295
YES BANK LIMITED INE528G08154
YES BANK LIMITED INE528G08162
YES BANK LIMITED INE528G08303
10% Unsecured, Non Convertible Debenture. Lower Tier II Subordinated bonds in the nature of Debentures. Date 10% Unsecured, Non Convertible Debenture. Lower Tier II Subordinated bonds in the nature of Debentures. Date 10% UNSECURED REDEEMABLE NON CONVERTIBLE BOND. DATE OF MATURITY 9.90% UNSECURED REDEEMABLE NON CONVERTIBLE LOWER TIER II SUBORDINATED 10.70% Unsecured Redeemable Non Convertible Upper Tier II Subordinated Bonds in the nature of 11.75% Unsecured Non convertible Subordinated Upper Tier II bond in the nature of debenture Date of 7.62% UNSECURED REDEEMBALE NON CONVERTIBLE LONG TERM BONDS. DATE OF 8.85% UNSECURED REDEEMABLE NON CONVERTIBLE LONG TERM BONDS IN THE 9.15% UNSECURED REDEEMABLE NON CONVERTIBLE BASEL III COMPLIANT TIER 2 BONDS IN THE NATURE OF 8.95% UNSECURED REDEEMABLE NON CONVERTIBLE LONG TERM BONDS IN THE NATURE OF 9.65% Unsecured Non Convertible Subordinated Upper Tier II bond in the nature of debenture Date of Reser rate Unsecured Non-Convertible Upper tier II Subordinated Bond in the nature of Debenture.Date of 8.9% UNSECURED REDEEMABLE NON CONVERTIBLE LONG TERM BONDS IN THE NATURE OF
YES BANK LIMITED INE528G08311
YES BANK LIMITED INE528G08329
YES BANK LIMITED INE528G08337
YES BANK LIMITED INE528G08345
YES BANK LIMITED INE528G09103
YES BANK LIMITED INE528G09111
YES BANK LIMITED INE528G08378
YES BANK LIMITED INE528G08386
YES BANK LIMITED INE528G08253
YES BANK LIMITED INE528G09137
YES BANK LIMITED INE528G09046
YES BANK LIMITED INE528G09053
YES BANK LIMITED INE528G09061
9% UNSECURED REDEEMABLE NON CONVERTIBLE BASEL III COMPLIANT TIER 2 BONDS 9.05% UNSECURED REDEEMABLE NON CONVERTIBLE BASEL III COMPLIANT TIER 2 BONDS 9.00% UNSECURED REDEEMABLE NON CONVERTIBLE BASEL III COMPLIANT TIER 2 BONDS 8% UNSECURED REDEEMBALE NON CONVERTIBLE DEBENTURES. DATE OF 10.25% Unsecured Redeemable Non Convertible Tier II bonds in the nature of Promissory Note. Date of 10.15% Unsecured, Non Convertible Debenture. Upper Tier II Subordinated bonds in the nature of Promissory 7.80% UNSECURED LISTED REDEEMBALE NON CONVERTIBLE BASEL III COMPLIANT TIER 2 BONDS 7.80% UNSECURED LISTED REDEEMBALE NON CONVERTIBLE BASEL III COMPLIANT TIER 2 BONDS 10.25% UNSECURED REDEEMABLE NON CONVERTIBLE UPPER TIER II BONDS IN NATURE 10.05% UNSECURED REDEEMABLE NON CONVERTIBLE UPPER TIER II BONDS IN NATURE 10.25% Unsecured Non Convertible Tier -I Subordinated Perpetual Bonds in form of promissory notes. 10.25% Unsecured Non Convertible Tier -I Subordinated Perpetual Bonds in form of promissory notes.10.25% Unsecured Non Convertible Tier -I Subordinated Perpetual Bonds in form of promissory notes.
YES BANK LIMITED INE528G09079
YES BANK LIMITED INE528G08261
YES BANK LIMITED INE528G08352
INE357U08019
INE314L08027
INE314L08035
INE314L08043
INE314L08050
INE314L08019
INE314L08068
INE314L08076
INE314L08084
INE314L08092
Reset Rate Unsecured Non-Convertible Tier I Subordinated Perpectual Bond in the Nature of Promissory 10.50% UNSECURED NON CONVERTIBLE PERPETUAL ADDITIONAL TIER 1 BASEL-III 9.50% UNSECURED PERPETUAL SUBORDINATED BASEL III COMPLIANT ADDITIONAL
YES CAPITAL (INDIA) PRIVATE LIMITED
ZERO COUPON UNLISTED UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 1.
YG REALTY PRIVATE LIMITED
Reset Rate Unsecured Compulsorily Convertible Debenture. Class B. Date of Maturity 25/06/2025
YG REALTY PRIVATE LIMITED
Reset Rate Unsecured Compulsorily Convertible Debenture. Class C. Date of Maturity 25/06/2025
YG REALTY PRIVATE LIMITED
Reset Rate Unsecured Compulsorily Convertible Debenture. Class D. Date of Maturity 25/06/2025
YG REALTY PRIVATE LIMITED
Reset Rate Unsecured Compulsorily Convertible Debenture. Class E. Date of Maturity 25/06/2025
YG REALTY PRIVATE LIMITED
Reset Rate Unsecured Compulsorily Convertible Debenture. Class A. Date of Maturity 25/06/2025
YG REALTY PRIVATE LIMITED
Reset Rate Unsecured Compulsorily Convertible Debenture. Class F. Date of Maturity 07/08/2025
YG REALTY PRIVATE LIMITED
Reset Rate Unsecured Compulsorily Convertible Debenture. Class G. Date of Maturity 20/01/2026
YG REALTY PRIVATE LIMITED
Reset Rate Unsecured Compulsorily Convertible Debenture. Class H. Date of Maturity 08/10/2026
YG REALTY PRIVATE LIMITED
Reset Rate Unsecured Compulsorily Convertible Debenture. Class I. Date of Maturity 31/03/2027
INE314L08100
INE314L07102
INE348Y07012
INE033Y07010
INE038Y07019
ZEE LEARN LIMITED INE565L07018
INE491W07022
INE491W07014
INE491W07048
INE491W07030
INE307T07018
INE476U07019
YG REALTY PRIVATE LIMITED
Reset Rate Unsecured Compulsorily Convertible Debenture. Class J. Date of Maturity 31/03/2027
YG REALTY PRIVATE LIMITED
ZERO COUPON SECURED NON CONVERTIBLE DEBENTURES. SERIES E. LETTER OF ALLOTMENT.
YOGAKSHEMAM LOANS LIMITED
11.50% SECURED UNRATED UNLISTED REDEEMABLE NON CONVERTIBLE
YUDHVEER BUILDCON PRIVATE LIMITED
ZERO COUPON SECURED UNLISTED UNRATED REDEEMABLE NON CONVERTIBEL
YUTNESH DEVELOPERS PRIVATE LIMITED
ZERO COUPON SECURED UNLISTED UNRATED REDEEMABLE NON CONVERTIBEL ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES
ZEN LEFIN PRIVATE LIMITED
12.51% XIRR SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES 2 (1-
ZEN LEFIN PRIVATE LIMITED
12.26% XIRR SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
ZEN LEFIN PRIVATE LIMITED
11.40% XIRR SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
ZEN LEFIN PRIVATE LIMITED
13.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. F GROUP
ZODIAC DEVELOPERS PRIVATE LIMITED
18% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF
ZUKA POWER PRIVATE LIMITED
11.50% SECURED UNLISTED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF
Description In NSDL Issue price (per security) Face Value (per security)
100000 100000
10000000 10000000
10000000 10000000
10000000 10000000
10000000 10000000
10000000 10000000
10000000 10000000
10000000 10000000
10000000.000 10000000
10000000 10000000
10000000 10000000
10000000 10000000
S&J GRANULATE SOLUTIONS PRIVATE LIMITED SR-1-500 16.43 NCD 24AG19 FVRS1LACS. D. CORPORATION PRIVATE LIMITED 9.95 NCD 25AP18 FVRS1CR
S. D. CORPORATION PRIVATE LIMITED TR-2 9.25 NCD 15AP19 FVRS1CR
S. D. CORPORATION PRIVATE LIMITED 9.95 NCD 29AP19 FVRS1CR
S. D. CORPORATION PRIVATE LIMITED TR-1 9.75 NCD 09AP20 FVRS1CR
S. D. CORPORATION PRIVATE LIMITED TR-2 9.75 NCD 09AP20 FVRS1CR
S. D. CORPORATION PRIVATE LIMITED TR-1 9.25 NCD 15AP20 FVRS1CR
S. D. CORPORATION PRIVATE LIMITED SR-A 9.35 NCD 15AP20 FVRS1CR
S. D. CORPORATION PRIVATE LIMITED NCD 24AP20 FVRS1CR
S. D. CORPORATION PRIVATE LIMITED 9.95 NCD 27AP20 FVRS1CR
S. D. CORPORATION PRIVATE LIMITED SR-B 9.35 NCD 15AP21 FVRS1CR
S. D. CORPORATION PRIVATE LIMITED 10 NCD 29AP21 FVRS1CR
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000.000 1000000
1000000 1000000
100000.000 100000
1000000 1000000
10000000.000 10000000
10000000.000 10000000
1000000 1000000
1000000 1000000
S.M.I.L.E. MICROFINANCE LIMITED SR-1-100 12.26 XIRR NCD 12OT18 FVRS10LACS.M.I.L.E. MICROFINANCE LIMITED SR-1-150 11.4 XIRR NCD 07MR19 FVRS10LACS.M.I.L.E. MICROFINANCE LIMITED SR-1-150 12.64 NCD 15MR20 FVRS10LAC
S.M.I.L.E. MICROFINANCE LIMITED SR-1-200 15.5 NCD 30AG22 FVRS10LAC
S.M.I.L.E. MICROFINANCE LIMITED SR-1-200 15.5 NCD 09SP22 FVRS10LAC
S.M.I.L.E. MICROFINANCE LIMITED 12.96 NCD 15SP22 FVRS10LAC
S.M.I.L.E. MICROFINANCE LIMITED 12.96 NCD 05OT22 FVRS10LAC
S.R.G. HOUSING FINANCE LIMITED SR-001 RR NCD 21AG22 FVRS1LAC
SADBHAV ENGINEERING LIMITED SR-1 RR NCD 27NV17 FVRS10LAC
SADBHAV ENGINEERING LIMITED BR NCD 26MR18 FVRS1CR
SADBHAV ENGINEERING LIMITED BR NCD 26MR18 FVRS1CR
SADBHAV ENGINEERING LIMITED SR-2 RR NCD 27NV18 FVRS10LAC
SADBHAV ENGINEERING LIMITED SR-3 RR NCD 27NV19 FVRS10LAC
1000000 1000000
1000000 1000000
925.000 1000
1000000 1000000
1000000 1000000
1000000 1000000
925 1000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
SADBHAV INFRASTRUCTURE PROJECT LIMITED SR I RR NCD 18AP18 FVRS10LACSADBHAV INFRASTRUCTURE PROJECT LIMITED SR A NCD 26AP18 FVRS10LACSADBHAV INFRASTRUCTURE PROJECT LIMITED SR 1 RR NCD 05AP19 FVRS1000SADBHAV INFRASTRUCTURE PROJECT LIMITED SR II RR NCD 18AP19 FVRS10LACSADBHAV INFRASTRUCTURE PROJECT LIMITED TRANCHE 1 SR I 2.6 NCD 30AP19 SADBHAV INFRASTRUCTURE PROJECT LIMITED SR III RR NCD 18NV19 SADBHAV INFRASTRUCTURE PROJECT LIMITED SR 2 RR NCD 05AP20 FVRS1000SADBHAV INFRASTRUCTURE PROJECT LIMITED SR B RR NCD 13AP20 FVRS10LACSADBHAV INFRASTRUCTURE PROJECT LIMITED SR C RR NCD 13AP20 FVRS10LACSADBHAV INFRASTRUCTURE PROJECT LIMITED TRANCHE 1 SR II 2.6 NCD 15AP20 SADBHAV INFRASTRUCTURE PROJECT LIMITED TRANCHE 2 SR A NCD 28AP20 FVRS10LACSADBHAV INFRASTRUCTURE PROJECT LIMITED TRANCHE 2 SR B NCD 28AP20 FVRS10LACSADBHAV INFRASTRUCTURE PROJECT LIMITED TRANCHE 1 SR III 2.6 NCD 15AP21
1000000.000 1000000
1000000 1000000
1000000.000 1000000
50000000 50000000
50000000 50000000
1000000 1000000
1000000 1000000
10000000 10000000
1000000 1000000
100000 100000
10000000 10000000
1000000 1000000
9400 10000
SADBHAV INFRASTRUCTURE PROJECT LIMITED TRANCHE 2 SR C NCD 25JU21 FVRS10LACSADBHAV INFRASTRUCTURE PROJECT LIMITED TRANCHE 1 SR IV 2.6 NCD 15AP22 SADBHAV INFRASTRUCTURE PROJECT LIMITED TRANCHE 2 SR D NCD 27JU22 FVRS10LACSAFAL DEVELOPERS PRIVATE LIMITED SR-1 24 NCD 30JU18 FVRS5CR
SAFAL DEVELOPERS PRIVATE LIMITED SR-2 AND SR-3 RR NCD 30JU18 FVRS5CRSAHA ESTATE DEVELOPERS PRIVATE LIMITED 19.75 LOA 15DC22 FVRS10LAC
SAHA ESTATE DEVELOPERS PRIVATE LIMITED SR-II 19.75 LOA 15DC22 FVRS10LACSAHA INFRATECH PRIVATE LIMITED TRC-1 17.57 LOA 31MR22 FVRS1CR
SAHYADRI AGENCIES LIMITED NCD 07DC17 FVRS10LAC
SAHYOG HOMES LIMITED 18 NCD 17DC19 FVRS1LAC
SAI ASHRAY DEVELOPERS PRIVATE LIMITED 15 LOA 31DC17 FVRS1CR
SAI REGENCY POWER CORPORATION PRIVATE LTD TR A 12 LOA 17AG21 FVRS10LACSAI SHRADDHA VIVEK PROJECT DEVELOPERS PRIVATE LIMITED SR-II 18.5 LOA 26FB18
20000 20000
100000 100000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
100000 100000
1000000 1000000
1000000 1000000
1000000 1000000
100000 100000
1000000 1000000
100000 100000
SAI SHRADDHA VIVEK PROJECT DEVELOPERS PRIVATE LIMITED SR-VI 18 LOA 05OT18 FVRS20000SAI SPURTHI POWER PRIVATE LIMITED 11 LOA 10AG24 FVRS1LAC
SAI SRUSHTI BUILDERS PRIVATE LIMITED SR-III 19.25 NCD 15JU22 FVRS10LACSAI WARDHA POWER GENERATION LIMITED 16 LOA 14JU22 FVRS10LAC
SAI WARDHA POWER GENERATION LIMITED SR-B 16 LOA 04JL22 FVRS10LAC
SAIJA FINANCE PRIVATE LIMITED SR-F 12.78 XIRR NCD 27FB18 FVRS10LAC
SAIJA FINANCE PRIVATE LIMITED 14.3 NCD 13MY19 FVRS1LAC
SAIJA FINANCE PRIVATE LIMITED SR-1-235 14.25 NCD 30NV20 FVRS10LAC
SAIJA FINANCE PRIVATE LIMITED 13.5267 NCD 30MR21 FVRS10LAC
SAIJA FINANCE PRIVATE LIMITED SR-1-200 13.5267 NCD 29AP21 FVRS10LAC
SAIJA FINANCE PRIVATE LIMITED SR-1-2345 13.5267 NCD 25JL21 FVRS1LACSAIJA FINANCE PRIVATE LIMITED SR-F 15 NCD 15AP22 FVRS10LAC
SAISONS TRADE & INDUSTRY PRIVATE LIMITED SR-1-500 13.05 NCD 12JU20 FVRS1LAC
100 100
100 100
100 100
1000 1000
1000 1000
100 100
100 100
100 100
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
SAKTHI FINANCE LIMITED SR IV 11.25 NCD 01AP18 FVRS100
SAKTHI FINANCE LIMITED SR V NCD 01AP18 FVRS100
SAKTHI FINANCE LIMITED SR III 11.25 NCD 01AP18 FVRS100
SAKTHI FINANCE LIMITED SR I 10.25 LOA 18MY18 FVRS1000
SAKTHI FINANCE LIMITED SR II LOA 18MY18 FVRS1000
SAKTHI FINANCE LIMITED SR VI 11.5 NCD 01AP19 FVRS100
SAKTHI FINANCE LIMITED SR VII 11.5 NCD 01AP19 FVRS100
SAKTHI FINANCE LIMITED SR VIII NCD 01AP19 FVRS100
SAKTHI FINANCE LIMITED SR III 10.5 LOA 18MY19 FVRS1000
SAKTHI FINANCE LIMITED SR IV 10.5 LOA 18MY19 FVRS1000
SAKTHI FINANCE LIMITED SR V LOA 18MY19 FVRS1000
SAKTHI FINANCE LIMITED SR VI 11 LOA 18MY20 FVRS1000
SAKTHI FINANCE LIMITED SR VII 11 LOA 18MY20 FVRS1000
1000 1000
1000000 1000000
1000 1000
1000 1000
1000.000 1000
1000 1000
1000 1000
1000 1000
10 10
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
SAKTHI FINANCE LIMITED SR VIII LOA 18MY20 FVRS1000
SAKTHI FINANCE LIMITED 13.5 NCD 15AP22 FVRS10LAC
SALARPURIA HOUSING PRIVATE LIMITED SR-2016 1 NCD 11FB21 FVRS1000
SALARPURIA HOUSING PRIVATE LIMITED SR-2016 1 NCD 30MR21 FVRS1000
SALARPURIA REAL ESTATES PRIVATE LIMITED SR-2014 1 NCD 30SP19 FVRS1000
SALARPURIA REALTORS PRIVATE LIMITED SR-UNCD-1 1 NCD 31MR18 FVRS1000SALARPURIA REALTORS PRIVATE LIMITED SR-UNCD-1 1 NCD 25MR20 FVRS1000SALARPURIA REALTORS PRIVATE LIMITED SR-UNCD-1 1 NCD 30SP20 FVRS1000
SALEM TOLLWAYS LIMITED OCD 19MY18 FVRS10
SALIENT FINANCIAL SOLUTIONS LIMITED SR-1 NCD 06JL19 FVRS10LAC
SAMASTA MICROFINANCE LIMITED SR-F 12.78 XIRR NCD 27FB18 FVRS10LAC
SAMASTA MICROFINANCE LIMITED SR-151-200 12.51 XIRR NCD 29JU18 FVRS10LACSAMASTA MICROFINANCE LIMITED SR-1-150 11.4 XIRR NCD 07MR19 FVRS10LAC
1000000 1000000
1000000 1000000
1000000 1000000
100000 100000
100000.000 100000
100000 100000
100000 100000
20000.000 20000
10000000 10000000
10000000 10000000
10000000 10000000
1000000 1000000
100000 100000
SAMASTA MICROFINANCE LIMITED SR-F 16.9 NCD 29JU22 FVRS10LAC
SAMASTA MICROFINANCE LIMITED 15.25 NCD 30JU22 FVRS10LAC
SAMBANDH FINSERVE PRIVATE LIMITED SR-F 12.85 XIRR NCD 03OT18 FVRS10LACSAMRUDDHI REALTY LIMITED SR-1 20 NCD 31JL18 FVRS1LAC
SAMRUDDHI REALTY LIMITED TR-1 TO 4 20 NCD 03FB20 FVRS1LAC
SAMRUDDHI REALTY LIMITED SR-2 20 NCD 30AP20 FVRS1LAC
SAMRUDDHI REALTY LIMITED SR-3 20 NCD 30AP20 FVRS1LAC
SAMUNNATI FINANCIAL INTERMEDIATION & SERVICES PRIVATE LIMITED SR-A BR NCD 22SP20 SAMVARDHANA MOTHERSON INTERNATIONAL LIMITED LOA 30NV17 FVRS1CRSAMVARDHANA MOTHERSON INTERNATIONAL LIMITED LOA 19DC18 FVRS1CRSAMVARDHANA MOTHERSON INTERNATIONAL LIMITED LOA 03JN19 FVRS1CRSANDOR LIFE SCIENCES PRIVATE LIMITED NCD 08JN21 FVRS10LAC
SANDOR MEDICAIDS PRIVATE LIMITED SR-1-670 16.43 NCD 24AG19 FVRS1LAC
10000000 10000000
1000000 1000000
100000 100000
1000000 1000000
100.000 100
1000000 1000000
1000000 1000000
1000000 1000000
100000 100000
100000 100000
100000 100000
100000 100000
10 10
SANJAY CONSTRUCTION AND FINANCE PVT LTD 18 NCD 10SP19 FVRS1CR
SANKHYA FINANCIAL SERVICES PRIVATE LIMITED SR-I 9.5 NCD 29MR24 FVRS10LACSANMAR ENGINEERING SERVICES LIMITED 8 OCD 25AP21 FVRS1LAC
SANMAR ENGINEERING SERVICES LIMITED 3 NCD 18AP23 FVRS10LAC
SAPPHIRE INDUSTRIAL INFRASTRUCTURES PVT. LTD. 14 NCD 20DC35 FVRS100SARA ESTATES PRIVATE LIMITED SR-B NCD 11OT18 FVRS10LAC
SARA ESTATES PRIVATE LIMITED SR-C NCD 11JL19 FVRS10LAC
SARA ESTATES PRIVATE LIMITED SR-D NCD 11JN20 FVRS10LAC
SARE JUBILEE SHELTERS PRIVATE LIMITED 15 LOA 31MR22 FVRS1LAC
SARE JUBILEE SHELTERS PRIVATE LIMITED 15 LOA 31MR22 FVRS1LAC
SARE JUBILEE SHELTERS PRIVATE LIMITED 15 LOA 31MR22 FVRS1LAC
SARE JUBILEE SHELTERS PRIVATE LIMITED 15 LOA 31MR22 FVRS1LAC
SARE REALTY PROJECTS PRIVATE LIMITED TR-1 15.5 LOA 31MR22 FVRS10
10 10
100000 100000
18200 100000
10 10
26200 100000
10 10
10 10
34200.000 100000
10 10
10 10
10 10
10 10
10 10
SARE REALTY PROJECTS PRIVATE LIMITED TR-2 15.5 LOA 31MR22 FVRS10
SARE REALTY PROJECTS PRIVATE LIMITED SR-A RR LOA 31MR22 FVRS1LAC
SARE REALTY PROJECTS PRIVATE LIMITED SR-B RR LOA 31MR22 PPRS18200
SARE REALTY PROJECTS PRIVATE LIMITED SR-A 15.5 LOA 31MR22 FVRS10
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SARE SAMAAG REALTY PRIVATE LIMITED SR-1 15 LOA 31MR22 FVRS10
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SATELLITE VIJAY DEVELOPERS PRIVATE LIMITED SR-B 18 NCD 28FB19 FVRS1CR
SATELLITE VIJAY DEVELOPERS PRIVATE LIMITED SR-C 18 NCD 28FB19 FVRS1CR
SATELLITE VIJAY DEVELOPERS PRIVATE LIMITED SR-E 18 NCD 28FB19 FVRS1CRSATELLITE VIJAY DEVELOPERS PRIVATE LIMITED SR-D 18 NCD 28FB19 FVRS1CRSATELLITE VIJAY DEVELOPERS PRIVATE LIMITED SR-F 18 NCD 28FB19 FVRS1CRSATELLITE VIJAY DEVELOPERS PRIVATE LIMITED SR-G 18 NCD 28FB19 FVRS1CRSATELLITE VIJAY DEVELOPERS PRIVATE LIMITED SR-H 18 NCD 28FB19 FVRS1CR
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SATIN CREDITCARE NETWORK LIMITED SR-1-250 12 NCD 11NV19 FVRS10LACSATIN CREDITCARE NETWORK LIMITED SR-1 14.37 NCD 13NV19 FVRS10LACSATIN CREDITCARE NETWORK LIMITED SR-1-150 12.25 NCD 09DC19 FVRS10LACSATIN CREDITCARE NETWORK LIMITED 14.7 NCD 15JU20 FVRS25LAC LOA UPTO 14JL14SATIN CREDITCARE NETWORK LIMITED 16.9 NCD 20SP20 FVRS10LAC
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SHRADDHA SHELTERS PRIVATE LIMITED SR-C 18 NCD 28MY18 FVRS1CR
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SHRIRAM HOUSING FINANCE LIMITED SR-VIII TRCH 1 9.5 NCD 28JU18 FVRS10LACSHRIRAM HOUSING FINANCE LIMITED SR-V TRCH 1 NCD 08OT18 FVRS10LACSHRIRAM HOUSING FINANCE LIMITED SR-IX TRCH 3 8.97 NCD 12SP19 FVRS10LACSHRIRAM HOUSING FINANCE LIMITED SR-X 8.97 NCD 19SP19 FVRS10LACSHRIRAM HOUSING FINANCE LIMITED SR-III TR 2 8.45 NCD 25NV19 FVRS10LACSHRIRAM HOUSING FINANCE LIMITED SR-IV TRCH 2 9.25 NCD 26DC19 FVRS10LACSHRIRAM HOUSING FINANCE LIMITED SR-VI TRCH 1 9 NCD 27OT20 FVRS10LACSHRIRAM HOUSING FINANCE LIMITED TR-01 SR-B 10.25 NCD 10OT21 FVRS10LACSHRIRAM HOUSING FINANCE LIMITED TR-02 SR-A 10.25 NCD 13OT21 FVRS10LACSHRIRAM HOUSING FINANCE LIMITED SR-IV TRCH 3 9.35 NCD 26DC21 FVRS10LACSHRIRAM HOUSING FINANCE LIMITED SR-VII TRCH 1 9 NCD 29AP23 FVRS10LACSHRIRAM HOUSING FINANCE LIMITED SR-VII TRCH 2 9 NCD 02MY23 FVRS10LACSHRIRAM HOUSING FINANCE LIMITED TR-01 SR-A 10.3 NCD 10OT24 FVRS10LAC
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SHRIRAM INDUSTRIAL HOLDINGS LIMITED NCD 28JU19 FVRS10LAC
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED 10.2 NCD 23OT17 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED 10.2 NCD 23OT17 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED 10.2 NCD 06NV17 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED 10.2 NCD 08NV17 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-B5 OPT-I 9.55 NCD 10NV17 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C5 OPT-III 9.2 NCD 19DC17 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED 10.3 NCD 15JN18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C9 NCD 15JN18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED NCD 17JN18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED 9.69 NCD 23JN18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-B5 OPT-II 9.55 NCD 12FB18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C17 9.27 NCD 26FB18 FVRS10LAC
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SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C16 NCD 06MR18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-T-028 9.75 NCD 13MR18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-05 8.696 NCD 13MR18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-T-025 9.65 NCD 15MR18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C15 NCD 15MR18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C21 NCD 04AP18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C19 NCD 10AP18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-B5 OPT-III 9.55 NCD 11AP18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C25 9 NCD 20AP18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C18 NCD 26AP18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-12 OPT I 8.7229 NCD 05JU18 SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-R-01 10.6 NCD 07JU18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-B5 OPT-IV 9.55 NCD 11JU18 FVRS10LAC
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1000.000 1000
1000.000 1000
1000.000 1000
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SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-T-041 9.55 NCD 25JU18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-T-042 9.6 NCD 27JU18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED 11.45 LOA 29JU18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-12 OPT II 8.7355 NCD 05JL18 SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C14 NCD 19JL18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED 10.6 NCD 31JL18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-II 9.8 NCD 31JL18 FVRS1000SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-III 9.4 NCD 31JL18 FVRS1000SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-V NCD 31JL18 FVRS1000SHRIRAM TRANS12 NCD 04AG18 FVRS10LAC
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-12 OPT III 8.7495 NCD 04AG18 SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-T-045 10.7 NCD 06AG18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C26 NCD 28AG18 FVRS10LAC
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1000 1000
1000 1000
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100000 100000
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SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-08 OPT I 8.738 NCD 29AG18 SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-L-05 10.6 NCD 30AG18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-L-06 10.6 NCD 30AG18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-P-003 10.8 NCD 13SP18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-P-004 10.8 NCD 17SP18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-08 OPT II 8.7283 NCD 29SP18 SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-V-07-02 10.25 LOA 15OT18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-II 10.75 NCD 24OT18 FVRS1000SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-V NCD 24OT18 FVRS1000SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-U-02 10.5 LOA 28OT18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-U-01 10.5 LOA 28OT18 FVRS10LACSHRIRAM TRANS13 NCD 05NV18 FVRS1LAC
SHRIRAM TRANS13 NCD 07NV18 FVRS1LAC
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SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-T-046 10.7 NCD 12NV18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-E-07 OPT II 7.85 NCD 12DC18 SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-S OPT-I 10.75 NCD 13DC18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C29 8.75 NCD 21DC18 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-SD-05 9.9 LOA 28DC18 FVRS10LACSHRIRAM TRANS13 NCD 29DC18 FVRS1LAC
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-E-12 7.6 NCD 17JN19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-V-12-01 10.67 NCD 10MR19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C24 9.15 NCD 13MR19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C30 9.1 NCD 15MR19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-20 OP II 8.1145 NCD 29MR19 SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-V-12-02 10.3 NCD 05AP19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C28 NCD 11AP19 FVRS10LAC
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1000 1000
1000 1000
1000 1000
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SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-E-06 OPT I NCD 07JU19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C39 8.85 NCD 10JU19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-E-07 OPT I 7.95 NCD 12JU19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-E-08 OPT I 7.95 NCD 13JU19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-E-09 7.92 NCD 14JU19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D02 OPT I 9 NCD 05JL19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-II 10 NCD 15JL19 FVRS1000SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-IV 9.57 NCD 15JL19 FVRS1000SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-VII NCD 15JL19 FVRS1000SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-03 RR NCD 15JL19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-A1 BR NCD 19JL19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-16 OPT I NCD 23JL19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-08 OPT III 8.8 NCD 29JL19 FVRS10LAC
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SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-10 8.8 NCD 02AG19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-A2 BR NCD 05AG19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D02 OPT II 9 NCD 05AG19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-E-13 OPT II 7.7125 NCD 16AG19 SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-15 8.5 NCD 19AG19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-A3 BR NCD 28AG19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-A4 BR NCD 12SP19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-18 NCD 12SP19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-A7 9.75 NCD 19SP19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-06 NCD 20SP19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-07 NCD 20SP19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-19 8.25 NCD 20SP19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-20 OP III 8.25 NCD 27SP19 FVRS10LAC
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100000 100000
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100000 100000
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SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-20 OP I 8.15 NCD 30SP19 FVRS10LACSHRIRAM TRANS10.35 NCD 31OT19 FVRS1LAC
SHRIRAM TRANS10.35 NCD 22NV19 FVRS1LAC
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-21 7.92 NCD 25NV19 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C3 9.95 NCD 28NV19 FVRS10LACSHRIRAM TRANS10.25 NCD 31DC19 FVRS1LAC
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C11 9.35 NCD 17JN20 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-SUB-14-15-01 10.65 NCD 28JN20 SHRIRAM TRANS10.25 NCD 29JN20 FVRS1LAC
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C13 9.15 NCD 04FB20 FVRS10LACSHRIRAM TRANS10.25 NCD 15FB20 FVRS1LAC
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-22 OPT I 8 NCD 27FB20 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-23 8.1 NCD 24MR20 FVRS10LAC
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100000 100000
97580 100000
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SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-22 OPT II NCD 16AP20 FVRS10LACSHRIRAM TRANS10.9 NCD 19AP20 FVRS10LAC
SHRIRAM TRANS11 NCD 19AP20 FVRS10LAC
SHRIRAM TRANS11 NCD 20AP20 FVRS10LAC
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-09 OPT II 8.8228 NCD 27AP20 SHRIRAM TRANS10.75 NCD 03MY20 FVRS1LAC
SHRIRAM TRANS10.5 NCD 10MY20 FVRS1LAC
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-R-09 10.4 LOA 16MY20 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-SD-01 10.4 LOA 20MY20 FVRS10LACSHRIRAM TRANS10.75 NCD 28MY20 FVRS10LAC
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-E-05 7.95 NCD 29MY20 FVRS10LACSHRIRAM TRANS10.6 NCD 04JU20 FVRS10LAC
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-E-06 OPT II NCD 09JU20 FVRS10LAC
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1000 1000
1000 1000
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SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-E-08 OPT II 8 NCD 12JU20 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-E-10 NCD 23JU20 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-E-11 OPT I 7.84 NCD 26JU20 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-E-11 OPT II NCD 26JU20 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-E-14 7.8 NCD 17JL20 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-E-15 NCD 20AG20 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-P-002 10.75 NCD 21AG20 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-002 10.6 NCD 13SP20 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-III 10.75 NCD 24OT20 FVRS1000SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-VI NCD 24OT20 FVRS1000SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-FPI-01 7.6414 NCD 10NV20 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C27 8.8 NCD 04DC20 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C31 OP I 9.25 NCD 18MR21 FVRS10LAC
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1000 1000
1000 1000
1000 1000
1000000.000 1000000
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SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-P-011 10.5 NCD 28MR21 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C34 OP I 9.25 NCD 29MR21 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED 11.5 LOA 31MR21 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C35 OP I 9.15 NCD 13AP21 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C37 9.05 NCD 29AP21 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-SCR 01 8.3 NCD 05JU21 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C41 NCD 10JU21 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D01 9.05 NCD 30JU21 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-III 10.15 NCD 15JL21 FVRS1000SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-V 9.71 NCD 15JL21 FVRS1000SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-VIII NCD 15JL21 FVRS1000SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-F-01 NCD 26JL21 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-11 8.85 NCD 03AG21 FVRS10LAC
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500000 1000000
984930.000 1000000
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1000000.000 1000000
999756 1000000
1000000.000 1000000
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-14 8.5 NCD 16AG21 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-17 8.45 NCD 30AG21 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C-12B OPT I 10.6 NCD 13SP21 SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR F-03 7.6 NCD 17SP21 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-A8 9.85 NCD 19SP21 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-A9 9.85 NCD 19SP21 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C10 BR NCD 05JN22 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-PP-01 8.1 NCD 23MR22 PPRS5LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-L01 10.75 LOA 10JU22 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-E-13 OPT I NCD 18JL22 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED 10.85 LOA 20JL22 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-F-02 7.73 NCD 22AG22 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED 10.65 NCD 31DC22 FVRS10LAC
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SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-L-08 10.65 NCD 30JN23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-L-07 10.65 NCD 30JN23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-R-02 10.65 NCD 07MR23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-R-03 10.65 NCD 07MR23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-R-04 10.65 NCD 08MR23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-R-05 10.65 NCD 13MR23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-U-03 10.65 LOA 28MR23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-R-06 10.65 LOA 28MR23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-R-08 10.65 LOA 02MY23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-R-07 10.65 LOA 02MY23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-SD-03 10.25 LOA 19MY23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-SD-02 10.25 LOA 20MY23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C38 9.05 NCD 25MY23 FVRS10LAC
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SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C40 9.05 NCD 09JU23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-SD-06 10.15 LOA 24JU23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-SD-07 10.1 LOA 28JU23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-T-043 9.6 NCD 05JL23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-V-07-01 10.25 LOA 05JL23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-T-044 9.6 NCD 15JL23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D0-4 9.05 NCD 19JL23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-P-001 10.5 NCD 14AG23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-S-001 10.5 NCD 14AG23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-001 10.5 NCD 27AG23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-01 10.1 NCD 29SP23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D004 10.75 NCD 30SP23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D003 10.75 NCD 30SP23 FVRS10LAC
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SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-V-07-03 11 NCD 04OT23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D/005 10.75 NCD 09OT23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-S OPT-II 10.75 NCD 13DC23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-S-003 10.75 NCD 30DC23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-006 10.6 NCD 28MR24 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-P-012 10.6 NCD 28MR24 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-01 OPT I 8.5 NCD 30MY24 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-A6 10.25 NCD 18SP24 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-A10 10 NCD 19SP24 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-B1 10.25 NCD 10OT24 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-B4 10.1 NCD 31OT24 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-B6 10 NCD 13NV24 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C2 9.9 NCD 28NV24 FVRS10LAC
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SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C4 9.8 NCD 28NV24 FVRS10LACSHRIRAM TRANS11 NCD 30AG25 FVRS10LAC
SHRIRAM TRANS11 NCD 09SP25 FVRS10LAC
SHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C31 OP II 9.3 NCD 18MR26 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C34 OP II 9.3 NCD 27MR26 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C35 OP II 9.22 NCD 13AP26 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-C36 9.2 NCD 22AP26 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-D-13 8.87 NCD 08AG26 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-01 OPT II 8.5 NCD 01DC26 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-02 8.5 NCD 29SP23 FVRS10LACSHRIRAM TRANSPORT FINANCE COMPANY LIMITED SR-SD-04 10 LOA 29MY28 FVRS10LACSHRIRAM TRANS11.05 NCD 15OT28 FVRS10LAC
SHRISTI INFRASTRUCTURE DEVELOPMENT CORP LTD 10 NCD 30NV26 FVRS10LAC
100 100
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100 100
100 100
1000000 1000000
SHRIVISION TOWERS PRIVATE LIMITED SR-1 12 NCD 19DC24 FVRS100
SHUBHAM HOUSING DEVELOPMENT FINANCE COMPANY LIMITED SR-1-750 12.3 NCD 21JU23 SHUBHAM HOUSING DEVELOPMENT FINANCE COMPANY PRIVATE LIMITED 13 NCD 15AP22 SICAL LOGISTICS LIMITED 11 NCD 25JU21 FVRS10LAC
SICAL MULTIMODAL AND RAIL TRANSPORT LIMITED STRPP 1 11 NCD 31MR19 FVRS10LACSICAL MULTIMODAL AND RAIL TRANSPORT LIMITED STRPP 2 11 NCD 31MR20 FVRS10LACSICAL MULTIMODAL AND RAIL TRANSPORT LIMITED STRPP 3 11 NCD 31MR21 FVRS10LACSICAL MULTIMODAL AND RAIL TRANSPORT LIMITED STRPP 4 11 NCD 31MR22 FVRS10LACSICAL MULTIMODAL AND RAIL TRANSPORT LIMITED STRPP 5 11 NCD 31MR23 FVRS10LACSIDDHI RAJ HOUSING PROJECTS PRIVATE LIMITED 13.75 NCD 31MY20 FVRS10LACSIGNATUREGLOBAL (INDIA) PRIVATE LIMITED SR-A 18.5 LOA 31OT18 FVRS100
SIGNATUREGLOBAL (INDIA) PRIVATE LIMITED SR-B 19 LOA 30AP20 FVRS100
SILICA CERAMICA PRIVATE LIMITED RR NCD 02JN20 FVRS10LAC
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SIMPLEX INFRASTRUCTURES LIMITED 10.75 LOA 31DC22 FVRS10LACSIMPLEX INFRASTRUCTURES LIMITED 10.4 LOA 12FB23 FVRS10LACSIMPLEX INFRASTRUCTURES LIMITED SR-VII-A 11.25 LOA 17JU20 FVRS10LAC
SINEW DEVELOPERS PRIVATE LIMITED SR A 22.95 NCD 01MR20 FVRS1CRSINEW DEVELOPERS PRIVATE LIMITED SR B 22.95 NCD 01MR20 FVRS1CREQUITAS MICRO FINANCE PRIVATE LIMITED SR-1 RR LOA 11AP19 FVRS10LAC
SINGHIVI INVESTMENT & FINANCE PRIVATE LIMITED 14.04 LOA 01JU19 FVRS10LACSINTEX INDUSTRIES LIMITED 9.41 LOA 08OT20 FVRS10LAC
SINTEX INDUSTRIES LIMITED SR-I 10.7 NCD 11JU21 FVRS10LAC
SINTEX INDUSTRIES LIMITED SR-II 10.7 LOA 30SP21 FVRS10LAC
SINTEX PREFAB AND INFRA LIMITED 11.5 LOA 18FB18 FVRS10LAC
SINTEX PREFAB AND INFRA LIMITED 9.41 LOA 08OT20 FVRS10LAC
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SINTEX PREFAB AND INFRA LIMITED 10.7 LOA 30SP21 FVRS10LAC
SINTEX-BAPL LIMITED 9.36 LOA 27MY26 FVRS10LAC
SISTEMA SHYAM TELESERVICES LIMITED 8 NCD 14MY18 FVRS10LAC
SISTEMA SHYAM TELESERVICES LIMITED 8 NCD 22JL18 FVRS10LAC
SISTEMA SHYAM TELESERVICES LIMITED 8 NCD 09OT18 FVRS10LAC
SKEIRON RENEWABLE ENERGY PRIVATE LIMITED SR-A 0.00001 CCD 30SP21 FVRS10SKEIRON RENEWABLE ENERGY PRIVATE LIMITED 0.00001 CCD 19OT21 FVRS10SKIL SHIPYARD HOLDINGS PRIVATE LIMITED SR-I 14 NCD 21JN19 FVRS1CRSKS MICROFINANCE LIMITED SR-2 11.48 NCD 30MR18 FVRS10LAC
SKS MICROFINANCE LIMITED SR-3 11.95 NCD 15MY18 FVRS10LAC
SKS MICROFINANCE LIMITED SR-4 11.95 NCD 15MY18 FVRS10LAC
SKYLARK REALTORS PRIVATE LIMITED SR-I 13 NCD 31DC19 FVRS1CR
SKYLARK REALTORS PRIVATE LIMITED SR-II 13 NCD 31DC19 FVRS1CR
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SKYLARK REALTORS PRIVATE LIMITED SR-III 13 NCD 31DC19 FVRS1CR
SKYLARK REALTORS PRIVATE LIMITED SR-IV 13 NCD 31DC19 FVRS1CR
SKYLARK REALTORS PRIVATE LIMITED SR-V 13 NCD 31DC19 FVRS1CR
SKYLARK REALTORS PRIVATE LIMITED SR-VI 13 NCD 31DC19 FVRS1CR
SKYLARK REALTORS PRIVATE LIMITED SR-VII 13 NCD 31DC19 FVRS1CR
SKYLARK REALTORS PRIVATE LIMITED SR-VIII 13 NCD 31DC19 FVRS1CR
SKYLARK REALTORS PRIVATE LIMITED SR-A 16.53 NCD 31MR20 FVRS1CRSKYLARK REALTORS PRIVATE LIMITED SR-E 16.53 NCD 31AG20 FVRS1CRSKYLARK REALTORS PRIVATE LIMITED SR-D 16.53 NCD 31AG20 FVRS1CRSKYLARK REALTORS PRIVATE LIMITED SR-C 16.53 NCD 31AG20 FVRS1CRSKYLARK REALTORS PRIVATE LIMITED SR-F 16.53 NCD 31AG20 FVRS1CRSKYLARK REALTORS PRIVATE LIMITED SR-G 16.53 NCD 31AG20 FVRS1CRSKYLARK REALTORS PRIVATE LIMITED SR-H 16.53 NCD 31AG20 FVRS1CR
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SKYLARK REALTORS PRIVATE LIMITED SR-I 16.53 NCD 31AG20 FVRS1CRSKYLARK REALTORS PRIVATE LIMITED SR-A 13 NCD 31AG21 FVRS1CR
SKYSCAPE DEVELOPERS PRIVATE LIMITED SR-A 9.35 NCD 10AP20 FVRS1CR
SKYSCAPE DEVELOPERS PRIVATE LIMITED SR-B 9.35 NCD 10AP20 FVRS1CR
SL RESIDENTIAL LAYOUT PRIVATE LIMITED 13 NCD 30JU20 FVRS1LAC
SMAAASH ENTERTAINMENT PRIVATE LIMITED RR LOA 02AG21 FVRS1000
SMAAASH ENTERTAINMENT PRIVATE LIMITED RR LOA 28AG22 FVRS10LAC
SMALL BUSINESS FINCREDIT INDIA PRIVATE LIMITED SR-1 9.4 NCD 18SP20 FVRS10LAC SMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SR-II 8.2 BD 09MR18 FVRS10LACSMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SR-5 OPT 1 8.27 BD 20MR18 FVRS10LACSMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SR-III 8.2 BD 07JU18 FVRS10LACSMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SR-5 OPT 2 8.27 BD 20JU18 FVRS10LACSMALL INDUSTRIES DEVELOPMENT BANK OF INDIA SR-6 OPT 2 8.25 BD 20JU18 FVRS10LAC
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SNEHA ENCLAVE PRIVATE LIMITED NCD 24AP18 FVRS10LAC
SNEHA GARDENS PRIVATE LIMITED NCD 22MR19 FVRS10LAC
SNEHA KINETIC POWER PROJECTS PRIVATE LIMITED 9.5 LOA 19SP26 FVRS1LACSNEHA NIKETAN PRIVATE LIMITED NCD 22MR19 FVRS10LAC
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SOBHA LIMITED SR-IX 11.25 NCD 03AP18 FVRS1LAC
SOBHA LIMITED SR-XIII 11.25 NCD 17AP18 FVRS1LAC
SOBHA LIMITED SR-XIV 11.25 NCD 21AP18 FVRS1LAC
SOBHA LIMITED SR-III 12 LOA 29JL18 FVRS1LAC
SOBHA LIMITED SR-VI 12 NCD 18SP18 FVRS1LAC
SOBHA LIMITED SR-I 12.5 LOA 19JL19 FVRS1LAC
SOBHA LIMITED SR-IV 12 LOA 29JL19 FVRS1LAC
SOBHA LIMITED SR-VIII 12 NCD 29SP19 FVRS1LAC
SOBHA LIMITED SR-X 11.4 NCD 03MR20 FVRS1LAC
SOBHA LIMITED SR-XII 11.4 NCD 11MR20 FVRS1LAC
SOBHA LIMITED SR-XV 11.4 NCD 21MR20 FVRS1LAC
SOLAIRE POWER PRIVATE LIMITED 10 CCD 18MR25 FVRS10
SOLAIRE SURYA URJA PRIVATE LIMITED 10 CCD 22MR36 FVRS10
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SOLITAIRE POWERTECH PRIVATE LIMITED 9 CCD 26AG26 FVRS1000
SOLITAIRE POWERTECH PRIVATE LIMITED 9 CCD 03JN27 FVRS1000
SOLITAIRE POWERTECH PRIVATE LIMITED 9 CCD 05JN27 FVRS1000
SOLITAIRE POWERTECH PRIVATE LIMITED 9 CCD 22AP27 FVRS1000
SONATA FINANCE PRIVATE LIMITED 14.75 LOA 24JL18 FVRS10LAC
SONATA FINANCE PRIVATE LIMITED SR-F 14 NCD 25MR19 FVRS10LAC
SONATA FINANCE PRIVATE LIMITED RR LOA 30JN20 FVRS10LAC
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SONATA FINANCE PRIVATE LIMITED 14.7 LOA 30JU20 FVRS10LAC
SONATA FINANCE PRIVATE LIMITED 14.75 NCD 18DC20 FVRS10LAC
SONATA FINANCE PRIVATE LIMITED SR-1-670 12.77 NCD 26OT21 FVRS10LAC
SONATA FINANCE PRIVATE LIMITED SR-F 14 NCD 15AP22 FVRS10LAC
SONATA FINANCE PRIVATE LIMITED SR-F 16.25 NCD 15AP22 FVRS10LAC
SONATA FINANCE PRIVATE LIMITED SR-1-680 14 NCD 22JU22 FVRS10LAC
SONATA FINANCE PRIVATE LIMITED SR-1-780 12.77 NCD 31JL22 FVRS10LAC
SORT INDIA ENVIRO SOLUTIONS LIMITED SR-1-400 16.68 NCD 24AG19 FVRS1LACSOUTHERN HEALTH FOODS PRIVATE LIMITED SR-1 23 LOA 08JL18 FVRS10LAC
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SP JAMMU UDHAMPUR HIGHWAY LIMITED SR-6 9.1 LOA 30JU18 FVRS10LAC
SP JAMMU UDHAMPUR HIGHWAY LIMITED SR-7 9.1 LOA 31DC18 FVRS10LAC
SP JAMMU UDHAMPUR HIGHWAY LIMITED SR-8 9.1 LOA 30JU19 FVRS10LAC
SP JAMMU UDHAMPUR HIGHWAY LIMITED SR-9 9.1 LOA 31DC19 FVRS10LAC
SP JAMMU UDHAMPUR HIGHWAY LIMITED SR-10 9.1 LOA 30JU20 FVRS10LACSP JAMMU UDHAMPUR HIGHWAY LIMITED SR-11 9.25 LOA 31DC20 FVRS10LACSP JAMMU UDHAMPUR HIGHWAY LIMITED SR-12 9.25 LOA 30JU21 FVRS10LACSP JAMMU UDHAMPUR HIGHWAY LIMITED SR-13 9.25 LOA 31DC21 FVRS10LACSP JAMMU UDHAMPUR HIGHWAY LIMITED SR-14 9.25 LOA 30JU22 FVRS10LACSP JAMMU UDHAMPUR HIGHWAY LIMITED SR-15 9.25 LOA 31DC22 FVRS10LACSP JAMMU UDHAMPUR HIGHWAY LIMITED SR-16 9.15 LOA 30JU23 FVRS10LACSP JAMMU UDHAMPUR HIGHWAY LIMITED SR-17 9.15 LOA 30DC23 FVRS10LACSP JAMMU UDHAMPUR HIGHWAY LIMITED SR-18 9.15 LOA 30JU24 FVRS10LAC
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SP JAMMU UDHAMPUR HIGHWAY LIMITED SR-19 9.15 LOA 31DC24 FVRS10LACSP JAMMU UDHAMPUR HIGHWAY LIMITED SR-20 9.15 LOA 30JU25 FVRS10LACSP JAMMU UDHAMPUR HIGHWAY LIMITED SR-21 9.15 LOA 31DC25 FVRS10LACSP JAMMU UDHAMPUR HIGHWAY LIMITED SR-22 9.15 LOA 30JU26 FVRS10LACSP JAMMU UDHAMPUR HIGHWAY LIMITED SR-23 9.15 LOA 31DC26 FVRS10LACSP JAMMU UDHAMPUR HIGHWAY LIMITED SR-24 9.15 LOA 30JU27 FVRS10LACSP JAMMU UDHAMPUR HIGHWAY LIMITED SR-25 9.15 LOA 31DC27 FVRS10LACSP JAMMU UDHAMPUR HIGHWAY LIMITED SR-26 9.15 LOA 30JU28 FVRS10LACSP JAMMU UDHAMPUR HIGHWAY LIMITED SR-27 9.15 LOA 31DC28 FVRS10LACSP JAMMU UDHAMPUR HIGHWAY LIMITED SR-28 9.15 LOA 30JU29 FVRS10LACSP JAMMU UDHAMPUR HIGHWAY LIMITED SR-29 9.15 LOA 31DC29 FVRS10LACSP JAMMU UDHAMPUR HIGHWAY LIMITED SR-30 9.15 LOA 30JU30 FVRS10LACSP JAMMU UDHAMPUR HIGHWAY LIMITED SR-31 9.15 LOA 31DC30 FVRS10LAC
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SPANDANA SPHOORTY FINANCIAL LIMITED 12.3 NCD 21AG20 FVRe1
SPANDANA SPHOORTY FINANCIAL LIMITED RR NCD 25SP20 FVRS10LAC
SPANDANA SPHOORTY FINANCIAL LIMITED 13.5 NCD 28SP20 PPRS250000
SPANDANA SPHOORTY FINANCIAL LIMITED 14 NCD 18SP23 FVRS10LAC
SPARK BUILDERS AND INFRA PROJECTS PRIVATE LIMITED SR H 18 NCD 31JN18 FVRS1CRSPARK BUILDERS AND INFRA PROJECTS PRIVATE LIMITED SR D1 18 NCD 31JN18 FVRS1CR
SPARK BUILDERS AND INFRA PROJECTS PRIVATE LIMITED SR D2 18 NCD 31JN18 FVRS1CRSPARK BUILDERS AND INFRA PROJECTS PRIVATE LIMITED SR E4 18 NCD 31JN18 FVRS1CRSPARK BUILDERS AND INFRA PROJECTS PRIVATE LIMITED SR D3 & D4 18 NCD 31JN18 FVRS1CRSPARK BUILDERS AND INFRA PROJECTS PRIVATE LIMITED SR D5- D11 18 NCD 31JN18 FVRS1CRSPARK BUILDERS AND INFRA PROJECTS PRIVATE LIMITED SR I RR NCD 31MR19 FVRS20000SPARK BUILDERS AND INFRA PROJECTS PRIVATE LIMITED SR II RR NCD 30SP20 FVRS20000SPARK BUILDERS AND INFRAPROJECTS PRIVATE LIMITED SR A 18 NCD 31JN18 FVRS1CR
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SPARK ENVIRONMENTAL TECHNOLOGY LIMITED 12 OCD 11AP18 FVRS100
SPARKLE TERMINAL & TOWAGE SERVICES PRIVATE LIMITED 8.6 NCD 18SP27 FVRS10LACSPEEDAGE TRADE LIMITED 15 LOA 30MY22 FVRS10000
SPENTA ENCLAVE PRIVATE LIMITED SR-III 18 NCD 31MR19 FVRS1LAC
SPENTA ENCLAVE PRIVATE LIMITED SR-A 16.5 NCD 31MR21 FVRS1CR
SPENTA ENCLAVE PRIVATE LIMITED SR-B 15.5 NCD 31MR21 FVRS1CR
SPENTA ENCLAVE PRIVATE LIMITED SR-A RR OCD 30JU22 FVRS1CR
SPENTA SUN CITY PRIVATE LIMITED SR-A TRC-2 16 NCD 31MR20 FVRS1LAC
SPENTA SUN CITY PRIVATE LIMITED SR-B TRC-1 16 NCD 31MR20 FVRS1LAC
SPENTA SUN CITY PRIVATE LIMITED SR-B TRC-2 16 NCD 31MR20 FVRS1LAC
SPENTA SUN CITY PRIVATE LIMITED SR-A 16 NCD 31MR20 FVRS1LAC
SPENTA SUN CITY PRIVATE LIMITED SR-A OPT III 16 NCD 31MR20 FVRS1LAC
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SPINEL ENERGY & INFRASTRUCTURE LIMITED 9 CCD 31JL26 FVRS1000
SPR CONSTRUCTION PRIVATE LIMITED SR-III RR NCD 30SP18 FVRS10LAC
SPR CONSTRUCTION PRIVATE LIMITED SR-I 14 NCD 17JL19 FVRS10LAC
SPR CONSTRUCTION PRIVATE LIMITED SR-II 14 NCD 17JL19 FVRS1LAC
SPR CONSTRUCTION PRIVATE LIMITED SR-OCD/2016 14 OCD 18JL19 FVRS10LACSPRIT TEXTILES PRIVATE LIMITED 8 NCD 06JL18 FVRS10LAC
SPRIT TEXTILES PRIVATE LIMITED SR-SPRIT-ECL 12.25 NCD 21SP18 FVRS1CR SPRIT TEXTILES PRIVATE LIMITED SR-SPRIT-LTMF NCD 22FB19 FVRS10LAC
SPRIT TEXTILES PRIVATE LIMITED SR-HD1 12.5 LOA 20MR19 FVRS1CR
SPRIT TEXTILES PRIVATE LIMITED SR-SPRIT-125HD 11.1 NCD 20MR19 FVRS1CRSPRIT TEXTILES PRIVATE LIMITED SR-SPRIT-200II 11.1 NCD 22MR19 FVRS1CRSPRIT TEXTILES PRIVATE LIMITED SR-SPRIT-200I 11.1 NCD 12AP19 FVRS1CR
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SREI EQUIPMENT FINANCE LIMITED SR-I CAT I & II LOA 21FB18 FVRS1000
SREI EQUIPMENT FINANCE LIMITED SR-I CAT III LOA 21FB18 FVRS1000
SREI EQUIPMENT FINANCE LIMITED SR-II 9.75 LOA 11MY18 FVRS1000SREI EQUIPMENT FINANCE LIMITED SR-I 9.75 LOA 11MY18 FVRS1000SREI EQUIPMENT FINANCE LIMITED SR-III LOA 11MY18 FVRS1000
SREI EQUIPMENT FINANCE LIMITED SR-IV 9.75 LOA 11AG18 FVRS1000
SREI EQUIPMENT FINANCE LIMITED SR-V 10.2 LOA 11AG18 FVRS1000
SREI EQUIPMENT FINANCE LIMITED SR-VI LOA 11AG18 FVRS1000
SREI EQUIPMENT FINANCE LIMITED SR-D RR LOA 22AG18 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-II CAT I & II 8.9 LOA 17JN20 FVRS1000
SREI EQUIPMENT FINANCE LIMITED SR-II CAT III 9.12 LOA 17JN20 FVRS1000
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SREI EQUIPMENT FINANCE LIMITED SR-IV CAT III LOA 17JN20 FVRS1000
SREI EQUIPMENT FINANCE LIMITED SR-SEFL NCD 2016-A 10 NCD 28AP20 FVRS10LACSREI EQUIPMENT FINANCE LIMITED SR-J 9.95 NCD 28AP20 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-VII 9.75 LOA 11MY20 FVRS1000SREI EQUIPMENT FINANCE LIMITED SR-VIII 10.25 LOA 11MY20 FVRS1000SREI EQUIPMENT FINANCE LIMITED 11 NCD 30JU20 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED 11.1 NCD 20DC20 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-C OPT I 10.3 NCD 24AP21 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-G 10.15 NCD 01MY21 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-G 9.95 LOA 06OT21 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-V CAT I & II 9.11 LOA 17JN22 FVRS1000
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SREI EQUIPMENT FINANCE LIMITED SR-V CAT III 9.35 LOA 17JN22 FVRS1000
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SREI EQUIPMENT FINANCE LIMITED SR-VII CAT I & II LOA 17JN22 FVRS1000
SREI EQUIPMENT FINANCE LIMITED SR-VII CAT III LOA 17JN22 FVRS1000
SREI EQUIPMENT FINANCE LIMITED SR-IX 10.25 LOA 11MY22 FVRS1000SREI EQUIPMENT FINANCE LIMITED SR-N 10.18 NCD 09JU22 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-I 10.75 NCD 13AG22 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-I 9.25 LOA 08NV22 FVRS1000
SREI EQUIPMENT FINANCE LIMITED SR-II 9.3 LOA 08NV22 FVRS1000
SREI EQUIPMENT FINANCE LIMITED SR-III LOA 08NV22 FVRS1000
SREI EQUIPMENT FINANCE LIMITED 11.25 NCD 24JN23 FVRS10LAC
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SREI EQUIPMENT FINANCE LIMITED SR-K 9 LOA 02DC23 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-O 10.45 NCD 10MR24 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-I 9.8 NCD 25AP24 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-A 9.45 LOA 26MY24 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-B 9.32 LOA 31MY24 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-M 10.4 NCD 01JU24 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED 10.92 LOA 13JU24 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED 10.9 LOA 20JU24 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-C 9.23 LOA 22JU24 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-IV 9.35 LOA 08AG24 FVRS1000
SREI EQUIPMENT FINANCE LIMITED SR-V 9.4 LOA 08AG24 FVRS1000
SREI EQUIPMENT FINANCE LIMITED SR-VI LOA 08AG24 FVRS1000
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SREI EQUIPMENT FINANCE LIMITED SR-E 8.5 LOA 15SP24 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-F 8.99 LOA 03OT24 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED 11 NCD 16MR25 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-II 10.75 NCD 13AG25 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-III 10.5 NCD 20AG25 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-C OPT III 10.5 NCD 24SP25 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-E 10.6 NCD 11JN26 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-F 10.6 NCD 19JN26 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-H 10.6 NCD 04FB26 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-SEFL NCD 2015 10.7 NCD 17MR26 FVRS10LACSREI EQUIPMENT FINANCE LIMITED SR-SEFL NCD 2015 10 NCD 31MR26 FVRS10LACSREI EQUIPMENT FINANCE LIMITED SR-SEFL NCD 2016-B 10.75 NCD 25MY26 FVRS10LACSREI EQUIPMENT FINANCE LIMITED SR-SEFL NCD 2016-C 10.25 NCD 26MY26 FVRS10LAC
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1000000.000 1000000
SREI EQUIPMENT FINANCE LIMITED SR-SEFL NCD 2016-E 9.5 NCD 24AG26 FVRS10LACSREI EQUIPMENT FINANCE LIMITED SR-SEFL NCD 2016-F 10.75 NCD 04OT26 FVRS10LACSREI EQUIPMENT FINANCE LIMITED SR-H 10.75 NCD 07OT26 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-K 9.85 NCD 04NV26 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-L 9 LOA 20DC26 FVRS10LAC
SREI EQUIPMENT FINANCE LTD SR-D 9 LOA 23JU27 FVRS10LAC
SREI EQUIPMENT FINANCE LIMITED SR-VII 9.5 LOA 08AG27 FVRS1000
SREI EQUIPMENT FINANCE LIMITED SR-VIII 9.55 LOA 08AG27 FVRS1000
SREI EQUIPMENT FINANCE LIMITED SR-IX LOA 08AG27 FVRS1000
SREI EQUIPMENT FINANCE PRIVATE LTD 11.1 NCD 07AG18 FVRS10LACSREI EQUIPMENT FINANCE PRIVATE LTD 11.6 NCD 08AG18 FVRS10LACSREI EQUIPMENT FINANCE PRIVATE LTD 12 NCD 27SP18 FVRS10LAC
SREI EQUIPMENT FINANCE PRIVATE LTD 11.5 NCD 28SP18 FVRS10LAC
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000.000 1000000
1000000 1000000
1000000.000 1000000
1000000 1000000
1000000 1000000
100000 1000000
100000.000 100000
SREI EQUIPMENT FINANCE PRIVATE LTD 10.75 NCD 29AP19 FVRS10LACSREI EQUIPMENT FINANCE PRIVATE LTD 10.75 NCD 24MY19 FVRS10LACSREI EQUIPMENT FINANCE PRIVATE LTD 11 NCD 29MY19 FVRS10LAC
SREI EQUIPMENT FINANCE PRIVATE LTD10 NCD 23DC19 FVRS10LACSREI EQUIPMENT FINANCE PRIVATE LTD10 NCD 19MR20 FVRS10LACSREI EQUIPMENT FINANCE PRIVATE LTD10 NCD 31MR20 FVRS10LACSREI EQUIPMENT FINANCE PRIVATE LTD 10.85 NCD 29JU20 FVRS10LACSREI EQUIPMENT FINANCE PRIVATE LTD 11 NCD 27SP20 FVRS10LAC
SREI EQUIPMENT FINANCE PRIVATE LTD 11.5 NCD 17DC22 FVRS10LACSREI EQUIPMENT FINANCE PRIVATE LTD 11.25 NCD 07MY23 FVRS10LACSREI EQUIPMENT FINANCE PRIVATE LTD RR NCD PERPETUAL FVRS10LACSREI EQUIPMENT FINANCE PRIVATE LTD 11.5 NCD 31MR18 FVRS10LACSREI INFRASTRUCTURE FINANCE LIMITED 11.5 LOA 31OT17 FVRS1LAC
1000000.000 1000000
1000 1000
1000 1000
1000 1000
1000 1000
1000000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000 1000
1000 1000
SREI INFRASTRUCTURE FINANCE LIMITED 11.3 LOA 31OT17 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED SR-I LOA 10NV17 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED SR-III 10.5 LOA 12NV17 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED SR-IV 11 LOA 12NV17 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED SR-V LOA 12NV17 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED 11.5 LOA 28DC17 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED 11.35 LOA 02JN18 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED 11.5 LOA 18JN18 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED 11.4 NCD 24JN18 FVRS10LAC LOA UPTO 30JN13SREI INFRASTRUCTURE FINANCE LIMITED 11.5 LOA 31JN18 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED 11.5 LOA 01AP18 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED SR-I LOA 03AP18 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED SR-II 8.5 LOA 03AP18 FVRS1000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000.000 1000
1000.000 1000
1000000.000 1000000
1000000.000 1000000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
SREI INFRASTRUCTURE FINANCE LIMITED 11.5 LOA 16AP18 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED 11.5 NCD 24AP18 FVRS10LAC LOA UPTO 22AR13SREI INFRASTRUCTURE FINANCE LIMITED SR-A 11.5NCD 24AP18 FVRS10LAC LOA UPTO SREI INFRASTRUCTURE FINANCE LIMITED 11.5 NCD 28AP18 FVRS10LAC LOA UPTO 22AR13SREI INFRASTRUCTURE FINANCE LIMITED SR-V NCD 06MY18 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED SR-IV 11 NCD 06MY18 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED 11.1 LOA 01JU18 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED 11.1 LOA 22JU18 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED SR-III 10.35 NCD 26SP18 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-III 10.5 NCD 26SP18 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED SR-III 11.16 NCD 26SP18 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-IV 10.85 NCD 26SP18 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-IV 11 NCD 26SP18 FVRS1000
1000 1000
1000 1000
1000 1000
1000 1000
1000000.000 1000000
1000000 1000000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000000.000 1000000
SREI INFRASTRUCTURE FINANCE LIMITED SR-IV 11.75 NCD 26SP18 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-I 10 LOA 28OT18 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED SR-II 10.5 LOA 28OT18 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED SR-III LOA 28OT18 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED OPT-I 11 LOA 29NV18 FVRS10LACSREI INFRASTRUCTURE FINANCE LIMITED 11 LOA 27DC18 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED SR-V CAT I II 11.5 LOA 11FB19 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-V CAT III 11.75 LOA 11FB119 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-VI CAT I II 10.94 LOA 11FB19 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-VI CAT III 11.16 LOA 11FB19 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-VII CAT II RR LOA 11FB19 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-VII CAT III RR LOA 11FB19 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED 10.6 LOA 29AP19 FVRS10LAC
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000000 1000000
1000000 1000000
1000000.000 1000000
1000 1000
1000 1000
SREI INFRASTRUCTURE FINANCE LIMITED SR-A 10.6 LOA 29AP19 FVRS10LACSREI INFRASTRUCTURE FINANCE LIMITED SR-II 10.6 LOA 17MY19 FVRS10LACSREI INFRASTRUCTURE FINANCE LIMITED SR-I 10.6 LOA 17MY19 FVRS10LACSREI INFRASTRUCTURE FINANCE LIMITED SR-IV CAT 3 11.4 LOA 28MY19 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-V CAT 1 AND 2 11.5 LOA 28MY19 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-V CAT 3 12 LOA 28MY19 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-VI CAT 3 LOA 28MY19 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-IV CAT 1 AND 2 10.95 LOA 28MY19 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED OPT-II 11.5 LOA 10JU19 FVRS10LAC SREI INFRASTRUCTURE FINANCE LIMITED 11.35 LOA 16JU19 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED 11.55 LOA 17SP19 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED SR-II 9.35 LOA 06OT19 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED SR-III 9.75 LOA 06OT19 FVRS1000
1000 1000
1000.000 1000
1000.000 1000
1000.000 1000
1000.000 1000
1000.000 1000
1000.000 1000
1000.000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000000.000 1000000
SREI INFRASTRUCTURE FINANCE LIMITED SR-IV LOA 06OT19 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED SR-I 9.84 NCD 05NV19 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED SR-II 9.92 NCD 05NV19 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED SR-III CAT I & II 10.25 NCD 05NV19 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-III CAT III 10.3 NCD 05NV19 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-IV CAT I & II NCD 05NV19 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-IV CAT III NCD 05NV19 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-VI NCD 06NV19 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED SR-VI 10.72 LOA 12NV19 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-VII 11.25 LOA 12NV19 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-VIII LOA 12NV19 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED SR-V NCD 26DC19 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED 11.45 LOA 02JN20 FVRS10LAC
1000 1000
1000 1000
1000 1000
1000000 1000000
1000000.000 1000000
1000000.000 1000000
1000 1000
1000 1000
1000 1000
1000000 1000000
1000000 1000000
1000 1000
1000 1000
SREI INFRASTRUCTURE FINANCE LIMITED SR-III 8.88 LOA 27FB20 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-IV 9.25 LOA 27FB20 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-V LOA 27FB20 FVRS1000
SREI INFRA FINANCE10.2 NCD 23MR20 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED 10.75 LOA 29JU20 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED 10.75 LOA 17JL20 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED SR-V 10.75 LOA 28JL20 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-VI LOA 28JL20 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED SR-IV 10.25 LOA 28JL20 FVRS1000SREI INFRA FINANCE10.5 NCD 10NV20 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED 11.9 LOA 09SP21 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED SR-V 9.6 LOA 06OT21 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED SR-VI 10 LOA 06OT21 FVRS1000
1000 1000
1000000 1000000
100000 100000
100000 100000
100000 100000
1000 1000
1000 1000
1000 1000
1000 1000
1000.000 1000
1000000 1000000
100000.000 100000
1000000.000 1000000
SREI INFRASTRUCTURE FINANCE LIMITED SR-VII LOA 06OT21 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED 11.9 LOA 29OT21 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED 11.9 LOA 23DC21 FVRS1LAC
SREI INFRASTRUCTURE FINANCE LIMITED 11.9 LOA 11JN22 FVRS1LAC
SREI INFRASTRUCTURE FINANCE LIMITED 11.9 LOA 12JN22 FVRS1LAC
SREI INFRASTRUCTURE FINANCE LIMITED SR-VI 9.12 LOA 27FB22 FVRS1000SREI INFRASTRUCTURE FINANCE LIMITED SR-VII 9.5 LOA 27FB22 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED SR-VIII LOA 27FB22 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED SR-2 8.9 BD 22MR22 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED SR-1 8.9 BD 22MR22 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED 11.4 LOA 30MR22 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED 11.50 LOA 01JU22 FVRS1LAC
SREI INFRASTRUCTURE FINANCE LIMITED 11.4 LOA 08JU22 FVRS10LAC
1000000.000 1000000
100000.000 100000
1000000.000 1000000
1000000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
SREI INFRASTRUCTURE FINANCE LIMITED 11.4 LOA 31JL22 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED 11.5 LOA 31JL22 FVRS1LAC
SREI INFRASTRUCTURE FINANCE LIMITED 11.7 LOA 28SP22 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED 11.35 LOA 05OT22 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED 11.7 LOA 18OT22 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED 11.7 LOA 31OT22 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED 11.85 LOA 16JN23 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED 11.7 LOA 16JN23 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED 11.5 NCD 24JN23 FVRS10LAC LOA UPTO 30JN13SREI INFRASTRUCTURE FINANCE LIMITED SRA 11.5 NCD 24JN23 FVRS10LAC LOA UPTO SREI INFRASTRUCTURE FINANCE LIMITED 11.8 NCD 24JN23 FVRS10LAC LOA UPTO 22AR13SREI INFRASTRUCTURE FINANCE LIMITED 11.8 NCD 28JN23 FVRS10LAC LOA UPTO 22AR13SREI INFRASTRUCTURE FINANCE LIMITED 11.25 LOA 01MR23 FVRS10LAC
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000 1000000
1000000 1000000
1000 1000
1000 1000
1000000 1000000
100000 100000
1000000.000 1000000
1000000 1000000
SREI INFRASTRUCTURE FINANCE LIMITED 11.25 LOA 28MR23 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED SR-I 10.75 LOA 29JU23 FVRS10LACSREI INFRASTRUCTURE FINANCE LIMITED SR-II 10.75 LOA 29JU23 FVRS10LACSREI INFRASTRUCTURE FINANCE LIMITED 10.75 LOA 17JL23 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED OPT-III 11.1 LOA 29NV23 FVRS10LACSREI INFRASTRUCTURE FINANCE LIMITED OPT-III 11.4 LOA 10JU24 FVRS10LAC SREI INFRASTRUCTURE FINANCE LIMITED 10.05 LOA 09DC24 FVRS10LAC
SREI INFRASTRUCTURE FINANCE LIMITED SR-3 9.15 BD 22MR27 FVRS1000
SREI INFRASTRUCTURE FINANCE LIMITED SR-4 9.15 BD 22MR27 FVRS1000
SRF LIMITED 7.33 NCD 30JU20 FVRS10LAC
SRI SAI KRISHNA HYDRO ENERGIES PRIVATE LTD 11 LOA 15SP24 FVRS1LAC
STAR HEALTH AND ALLIED INSURANCE COMPANY LTD. SR-1 10.25 NCD 06SP24 FVRS10LACSTARLITE LIGHTING LIMITED RR LOA 27OT17 FVRS10LAC
1000000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
STARLITE LIGHTING LIMITED RR LOA 27OT18 FVRS10LAC
STARLITE LIGHTING LIMITED SR-A 9.33 LOA 07SP20 FVRS10LAC
STARLITE LIGHTING LIMITED SR-B 9.33 LOA 05MR21 FVRS10LAC
STARLITE LIGHTING LIMITED SR-C 9.33 LOA 07SP21 FVRS10LAC
STATE BANK OF BIKANER AND JAIPUR 9.02 BD 20MR22 FVRS10LAC
STATE BANK OF BIKANER AND JAIPUR9.78 BD 15OT22 FVRS10LACSTATE BANK OF BIKANER AND JAIPUR SR-I 8.3 LOA 20MR25 FVRS10LAC
STATE BANK OF BIKANER AND JAIPUR9.85 PERPETUAL BD FVRS10LACSTATE BANK OF HYDERABAD9.35 LOA 19MR23 FVRS10LACSTATE BANK OF HYDERABAD8.39 LOA 05JU24 FVRS10LACSTATE BANK OF HYDERABAD8.5 BD 21AG24 FVRS10LAC
STATE BANK OF HYDERABAD8.6 BD 08SP24 FVRS10LAC
STATE BANK OF HYDERABAD SR-XIV 8.32 LOA 31MR25 FVRS10LAC
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
10000 10000
10000.000 10000
10000.000 10000
1000000 1000000
1000000 1000000
1000000 1000000
STATE BANK OF HYDERABAD SR-XV 8.4 LOA 30DC25 FVRS10LAC
STATE BANK OF HYDERABAD SR-XVI 8.45 BD 08FB26 FVRS10LAC
STATE BANK OF HYDERABAD9.95 LOA PERPETUAL FVRS10LACSTATE BANK OF HYDERABADRR PERPETUAL BD FVRS10LACSBHRR PERPETUAL BD FVRS10LAC
SBI8.95 BD 06JU18 FVRS10LAC
SBI8.4 BD 29JU18 FVRS10LAC
SBIRR BD 04NV20 FVRS10000
STATE BANK OF INDIA 9.75 BD 16MR21 FVRS10000
STATE BANK OF INDIA 9.3 BD 16MR21 FVRS10000
SBI8.8 BD 05JU21 FVRS10LAC
SBI8.96 BD 12SP21 FVRS 10LAC
SBI10.2 BD 07JU22 FVRS10LAC
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
10000 10000
1000000.000 1000000
1000000 1000000
10000.000 10000
10000.000 10000
1000000 1000000
1000000 1000000
1000000 1000000
SBI10.1 BD 12SP22 FVRS10LAC
SBI8.9 BD 19DC23 FVRS10LAC
STATE BANK OF INDIA 9.69 BD 02JN24 FVRS10LAC
SBIRR BD 02MR24 FVRS10LAC
SBIRR BD 06MR24 FVRS10LAC
SBIRR BD 04NV25 FVRS10000
STATE BANK OF INDIA SR-1 8.33 BD 23DC25 FVRS10LAC
STATE BANK OF INDIA SR-II 8.45 BD 18FB26 FVRS10LAC
STATE BANK OF INDIA 9.95 BD 16MR26 FVRS10000
STATE BANK OF INDIA 9.45 BD 16MR26 FVRS10000
STATE BANK OF INDIA SR-III 8.45 BD 18MR26 FVRS10LAC
STATE BANK OF INDIA SR-IV 8.45 BD 21MR26 FVRS10LAC
SBIRR PERPETUAL BD FVRS10LAC
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
SBIRR PERPETUAL BD FVRS10LAC
STATE BANK OF INDIA SR-1 9 BD PERPETUAL FVRS10LAC
STATE BANK OF INDIA SR-II 8.75 BD PERPETUAL FVRS10LAC
STATE BANK OF INDIA SR-III 8.39 BD PERPETUAL FVRS10LAC
STATE BANK OF INDIA SR-IV 8.15 BD PERPETUAL FVRS10LAC
ST BK OF INDORE10.25 BD 22MR22 FVRS10LAC
ST BANK OF INDORERR BD 20MR24 FVRS10LAC
ST BK OF INDORE10.25 PERPETUAL BD FVRS10LAC
STATE BANK OF MYSORE8.95 LOA 15NV21 FVRS10LAC
STATE BANK OF MYSORE9.08 LOA 16JN23 FVRS10LAC
STATE BANK OF MYSORE SR-I 8.55 BD 17DC24 FVRS10LAC
STATE BANK OF MYSORE SR-I 8.4 BD 31DC25 FVRS10LAC
STATE BANK OF MYSORE SR-II 8.45 BD 18JN26 FVRS10LAC
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
STATE BANK OF MYSORE9.8 LOA PERPETUAL BD FVRS10LAC
STATE BANK OF MYSORERR PERPETUAL BD FVRS10LAC
STATE BANK OF PATIALA9.3 NCD 20DC22 FVRS10LAC
STATE BANK OF PATIALA9.3 NCD 20MR23 FVRS10LAC
STATE BANK OF PATIALARR NCD 13MR24 FVRS10LAC
STATE BANK OF PATIALA SR-I 8.29 LOA 22JN25 FVRS10LAC
STATE BANK OF PATIALARR NCD PERPETUAL FVRS10LAC
STATE BANK OF TRAVANCORE9.18 BD 08JN18 FVRS10LAC
STATE BANK OF TRAVANCORE SR-I 8.45 BD 30MR26 FVRS10LAC
STATE BANK OF TRAVANCORE 9.25 BD 26MR27 FVRS10LAC
STATE BANK OF TRAVANCORE9.95 PERPETUAL BD FVRS10LACSTATE BANK OF TRAVANCORE SR-I 8.5 BD PERPETUAL FVRS10LAC
STCI FINANCE LIMITED OPT A 9.4 NCD 01OT18 FVRS10LAC
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
5000000.000 5000000
1000000.000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
STCI FINANCE LIMITED 9.67 NCD 25JU19 FVRS10LAC
STCI FINANCE LIMITED 9.89 NCD 30JL19 FVRS10LAC
STCI FINANCE LIMITED OPT B 9.4 NCD 01OT20 FVRS10LAC
SAIL8.8 LOA 26OT17 FVRS10LAC
STEEL AUTHORITY OF INDIA LIMITED SR-XXXVIII/AY 8.38 NCD 16DC17 FVRS10LAC STEEL AUTHORITY OF INDIA LIMITED SR-I/BA 7.95 BD 09AP18 FVRS10LACSTEEL AUTHORITY OF INDIA LIMITED 8.25 LOA 06MY18 FVRS10LAC
STEEL AUTHORITY OF INDIA LIMITED SR-AT-I 9.30 LOA 25MY18 FVRS50LACSTEEL AUTHORITY OF INDIA LIMITED 9.3 BD 25MY18 FVRS10LAC LOA UPTO 24MY12STEEL AUTHORITY OF INDIA LIMITED SR-I/BB 8.35 BD 09JU18 FVRS10LAC
STEEL AUTHORITY OF INDIA LIMITED SR-I/BC 8.25 BD 27JL18 FVRS10LAC
STEEL AUTHORITY OF INDIA LIMITED SR-I/BD 8.18 BD 10AG18 FVRS10LAC
SAIL8.8 LOA 26OT18 FVRS10LAC
500000 500000
1000000 1000000
5000000.000 5000000
1000000.000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
SAIL8.9 LOA 01MY19 FVRS5LAC
SAIL7.7 LOA 11MY19 FVRS10LAC
STEEL AUTHORITY OF INDIA LIMITED SR-AT-II 9.30 LOA 25MY19 FVRS50LACSTEEL AUTHORITY OF INDIA LIMITED 9.3 BD 25MY19 FVRS10LAC LOA UPTO 24MY12SAIL8.8 LOA 22JU19 FVRS10LAC
SAIL8.75 LOA 15SP19 FVRS10LAC
SAIL8.8 LOA 26OT19 FVRS10LAC
SAIL8.6 LOA 19NV19 FVRS10LAC
SAILSR-AM-II 8.5 LOA 07DC19 FVRS10LAC
SAIL8.65 LOA 30DC19 FVRS10LAC
STEEL AUTHORITY OF INDIA LIMITED SR-XXXIX/AZ 8.3 BD 21JN20 FVRS10LAC SAIL8.65 LOA 01FB20 FVRS10LAC
SAIL8.75 LOA 23AP20 FVRS10LAC
1000000 1000000
5000000.000 5000000
1000000.000 1000000
1000000 1000000
1000000 1000000
5000000.000 5000000
1000000.000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
5000000.000 5000000
1000000.000 1000000
1000000 1000000
SAIL8.72 LOA 30AP20 FVRS10LAC
STEEL AUTHORITY OF INDIA LIMITED SR-AT-III 9.30 LOA 25MY20 FVRS50LACSTEEL AUTHORITY OF INDIA LIMITED 9.3 BD 25MY20 FVRS10LAC LOA UPTO 24MY12STEEL AUTHORITY OF INDIA LIMITED SR-I/BE 8.27 BD 25AG20 FVRS10LAC
SAIL8.8 LOA 26OT20 FVRS10LAC
STEEL AUTHORITY OF INDIA LIMITED SR-AT-IV 9.30 LOA 25MY21 FVRS50LACSTEEL AUTHORITY OF INDIA LIMITED 9.3 BD 25MY21 FVRS10LAC LOA UPTO 24MY12SAIL8.55 LOA 11AG21 FVRS10LAC
STEEL AUTHORITY OF INDIA LIMITED 9.3 LOA 23AG21 FVRS10LAC
SAIL8.8 LOA 26OT21 FVRS10LAC
STEEL AUTHORITY OF INDIA LIMITED SR-AT-V 9.30 LOA 25MY22 FVRS50LACSTEEL AUTHORITY OF INDIA LIMITED 9.3 BD 25MY22 FVRS10LAC LOA UPTO 24MY12SAIL8.8 LOA 26OT22 FVRS10LAC
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
100 100
1000000.000 1000000
100000 100000
STEEL AUTHORITY OF INDIA LIMITED SR-I/BF 8.35 BD 19NV22 FVRS10LAC
STEEL AUTHORITY OF INDIA LIMITED SR-I/BG 8.3 BD 01AG23 FVRS10LAC
STEEL AUTHORITY OF INDIA LIMITED SR-I/BH 8.3 BD 03AG23 FVRS10LAC
SAIL8.8 LOA 26OT23 FVRS10LAC
SAIL8.7 LOA 25AG24 FVRS10LAC
SAIL8.75 LOA 15SP24 FVRS10LAC
STEEL AUTHORITY OF INDIA LIMITED SR-XXXVII AX 9 LOA 14OT24 FVRS10LAC SAIL8.8 LOA 26OT24 FVRS10LAC
SAIL8.8 LOA 26OT25 FVRS10LAC
STEEL AUTHORITY OF INDIA LIMITED 9.35 LOA 09SP26 FVRS10LAC
STEMPEUTICS RESEARCH PRIVATE LIMITED 0.01 CCD 13NV21 FVRS100
STERLING GATED COMMUNITY PRIVATE LIMITED SR-I 16 NCD 30JU20 FVRS10LACSTERLING HABITATS PRIVATE LIMITED SR-2 NCD 30JU18 FVRS1LAC
100000 100000
1000000.000 1000000
10 10
10 10
10 10
1000000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000 1000000
STERLING HABITATS PRIVATE LIMITED SR-1B NCD 30SP18 FVRS1LAC
STERLING URBAN VENTURES PRIVATE LIMITED SR-1 RR NCD 31MR22 FVRS10LACSTERLITE GRID 1 LIMITED NCD 22JL19 FVRS10
STERLITE GRID 1 LIMITED NCD 29JL19 FVRS10
STERLITE GRID 1 LIMITED NCD 06AG19 FVRS10
STERLITE INDUSTRIES (INDIA) LIMITED 9.4 NCD 25OT22 FVRS10LAC
SESA STERLITE LIMITED 9.4 NCD 27NV22 FVRS10LAC
STERLITE INDUSTRIES (INDIA) LIMITED 9.24 NCD 06DC22 FVRS10LAC
STERLITE INDUSTRIES (INDIA) LIMITED 9.24 NCD 20DC22 FVRS10LAC
STERLITE INDUSTRIES (INDIA) LIMITED 9.1 NCD 05AP23 FVRS10LAC
STERLITE INDUSTRIES (INDIA) LIMITED 9.17 NCD 04JL23 FVRS10LAC
STERLITE INDUSTRIES (INDIA) LIMITED 9.17 NCD 05JL23 FVRS10LAC
STERLITE POWER GRID VENTURES LIMITED SR-I 10.4 NCD 15AP19 FVRS10LAC
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STERLITE POWER GRID VENTURES LIMITED SR-II 10.4 NCD 15AP19 FVRS10LACSTERLITE TECHNOLOGIES LIMITED SR-I 8.45 LOA 20MR20 FVRS10LAC
STERLITE TECHNOLOGIES LIMITED SR-II 8.45 LOA 22SP20 FVRS10LAC
SUBROS LIMITED SR-1 8.5 NCD 30AP20 FVRS10LAC
SUGAM VANIJYA HOLDINGS PRIVATE LIMITED SR-I 12 NCD 03FB35 FVRS1CRSUGEE ONE DEVELOPERS PRIVATE LIMITED SR-1 16.5 NCD 25SP20 FVRS20000
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SUJA SHOEI INDUSTRIES PRIVATE LIMITED SR-1 12.5 CCD 01FB20 FVRS1000
SUKAVALA RENEWABLE ENERGY PRIVATE LIMITED SR-A 17.05 LOA 31JN41 FVRS10SUKAVALA RENEWABLE ENERGY PRIVATE LIMITED SR-A 17.05 LOA 01AP41 FVRS10SUKAVALA RENEWABLE ENERGY PRIVATE LIMITED SR-A 17.05 LOA 12JU41 FVRS10SUKAVALA RENEWABLE ENERGY PRIVATE LIMITED SR-A 17.05 LOA 03JL41 FVRS10SUKAVALA RENEWABLE ENERGY PRIVATE LIMITED SR-A 17.05 LOA 02OT41 FVRS10
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SUKAVALA RENEWABLE ENERGY PRIVATE LIMITED SR-A 17.05 LOA 29DC41 FVRS10SUN PHARMA LABORATORIES LIMITED SR-1 7.94 NCD 22DC17 FVRS10LACSUN PHARMA LABORATORIES LIMITED SR-2 7.94 NCD 22MR19 FVRS10LACSUNBORNE ENERGY ANDHRA PRIVATE LIMITED 9.5 NCD 24JL27 FVRS1LAC
SUNCITY CONSTRUCTWELL PRIVATE LIMITED 15.5 LOA 22DC20 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD SR-224 NCD 17OT17 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD 9.7 NCD 20DC17 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD 9.7 NCD 04JN18 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD 9.59 NCD 23JN18 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD SR-237 NCD 07FB18 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD SR-239 9.1 NCD 23FB18 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD SR-240 9.1 NCD 27FB18 FVRS10LAC
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SUNDARAM BNP PARIBAS HOME FIN. LTD NCD 05MR18 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD SR-236 NCD 05MR18 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-277 7.9558 NCD 09MR18 FVRS10LACSUNDARAM BNP PARIBAS HOME FIN. LTD 9.5 NCD 19MR18 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD SR-249 NCD 22MR18 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD SR-248 9.04 NCD 23MR18 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD SR-251 NCD 09AP18 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD NCD 10AP18 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD SR-238 NCD 10AP18 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-264 NCD 16AP18 FVRS10LACSUNDARAM BNP PARIBAS HOME FIN. LTD 9.33 NCD 20AP18 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD SR-247 NCD 25AP18 FVRS10LAC
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SUNDARAM BNP PARIBAS HOME FIN. LTD 9.15 NCD 20MY18 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-256 NCD 22MY18 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-255 NCD 29MY18 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-257 NCD 10JL18 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-258 8.9277 NCD 12JL18 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-276 8.42 NCD 02AG18 FVRS10LACSUNDARAM BNP PARIBAS HOME FIN. LTD 10.45 NCD 08AG18 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-284 NCD 28AG18 FVRS10LACSUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-259-261 8.7 NCD 09OT18 FVRS10LACSUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-263 8.7 NCD 15OT18 FVRS10LACSUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-265 8.7 NCD 14DC18 FVRS10LACSUNDARAM BNP PARIBAS HOME FIN. LTD 10.25 LOA 18JN19 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD SR-182/183 10.07 NCD 21JN19 FVRS10LAC
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SUNDARAM BNP PARIBAS HOME FIN. LTD 10.35 LOA 08FB19 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD SR-190 10.17 NCD 08FB19 FVRS10LACSUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-283 7.75 NCD 08FB19 FVRS10LACSUNDARAM BNP PARIBAS HOME FIN. LTD 10.35 LOA 22FB19 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD SR-200 NCD 27FB19 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-266 8.97 NCD 01MR19 FVRS10LACSUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-267 8.85 NCD 11MR19 FVRS10LACSUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-279 NCD 15MR19 FVRS10LACSUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-280 NCD 15MR19 FVRS10LACSUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-288/289 7.67 NCD 14JU19 FVRS10LACSUNDARAM BNP PARIBAS HOME FIN. LTD 10.5 LOA 28JU19 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-269 NCD 28JU19 FVRS10LACSUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-290 7.47 NCD 28JU19 FVRS10LAC
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SUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-270 NCD 12JL19 FVRS10LACSUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-271 8.75 NCD 12JL19 FVRS10LACSUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-275 8.65 NCD 15JL19 FVRS10LACSUNDARAM BNP PARIBAS HOME FIN. LTD SR-204 TO 208 9.65 NCD 18JL19 FVRS10LACSUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-274 NCD 23JL19 FVRS10LACSUNDARAM BNP PARIBAS HOME FIN. LTD 10.5 BD 23AG19 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD SR-215 9.7 NCD 11SP19 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-272 8.75 NCD 12SP19 FVRS10LACSUNDARAM BNP PARIBAS HOME FIN. LTD SR-219 9.7 NCD 13SP19 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD SR-225 9.7 NCD 26SP19 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD SR-233 9.56 NCD 17OT19 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-281 7.6 NCD 28NV19 FVRS10LACSUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-282 7.6 NCD 29NV19 FVRS10LAC
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SUNDARAM BNP PARIBAS HOME FIN. LTD SR-252 8.95 NCD 13AP20 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-287 NCD 30JU20 FVRS10LACSUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-278 NCD 03JL20 FVRS10LACSUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-273 8.75 NCD 10JL20 FVRS10LACSUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-291 7.4 NCD 28AG20 FVRS10LACSUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-292 7.4 NCD 04SP20 FVRS10LACSUNDARAM BNP PARIBAS HOME FINANCE LIMITED SR-262 8.7 NCD 09OT20 FVRS10LACSUNDARAM BNP PARIBAS HOME FIN. LTD 10.5 LOA 28JU22 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD 9.9 NCD 28FB23 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD SR-10 9.45 NCD 16DC24 FVRS10LAC
SUNDARAM BNP PARIBAS HOME FIN. LTD SR-11 9.25 NCD 24FB25 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-O 17 8.55 NCD 27OT17 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-O 18 8.55 NCD 16NV17 FVRS10LAC
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SUNDARAM FINANCE LIMITED SR-O 19 8.7 NCD 04DC17 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-O 21 8.7 NCD 08DC17 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-O 23 8.85 NCD 22DC17 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-O 22 8.85 NCD 05JN18 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-N 60 9.1 NCD 12JN18 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-N 57 NCD 15JN18 FVRS10LAC
SUNDARAM FINANCE LIMITED 9.50 NCD 29JN18 FVRS10LAC LOA UPTO 12AR13SUNDARAM FINANCE LIMITED SR-O 20 8.6695 NCD 07MR18 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 13 7.9064 NCD 14MR18 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 1 8.5687 NCD 19MR18 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-N 61 9.05 NCD 12AP18 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 4 8.58 NCD 18AP18 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 8 8.58 NCD 25AP18 FVRS10LAC
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SUNDARAM FINANCE LIMITED SR-M-1 9.3 LOA 27AP18 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 9 8.6 NCD 09MY18 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-M-6 9.1 LOA 29MY18 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-O 9 8.8671 NCD 12JU18 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-O 11 8.9 NCD 29JU18 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-M-18 10.32 LOA 13AG18 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 14 8 NCD 14SP18 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 16 NCD 21SP18 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 17 7.72 NCD 08OT18 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 18 7.65 NCD 08OT18 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 19 7.7 NCD 24OT18 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 20 7.8 NCD 21NV18 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 21 7.65 NCD 21NV18 FVRS10LAC
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SUNDARAM FINANCE LIMITED SR-P 22 7.45 NCD 30NV18 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 23 7.66 NCD 17JN19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 24 NCD 18JN19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 26 NCD 06FB19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 27 7.8 NCD 20FB19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-Q3 7.6671 NCD 15MR19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-Q11 7.363 NCD 18MR19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 2 8.6 NCD 12AP19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 3 8.61 NCD 12AP19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-Q1 7.73 NCD 12AP19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-Q4 7.69 NCD 24AP19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 7 8.6 NCD 25AP19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-N-5 9.98 NCD 06MY19 FVRS10LAC
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SUNDARAM FINANCE LIMITED SR-N-10 9.85 NCD 20MY19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-Q7 7.65 NCD 07JU19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 5 8.5866 NCD 14JU19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 11 8.7 NCD 17JU19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-Q10 7.45 NCD 21JU19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-Q12 7.29 NCD 28JU19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-N 15 9.6 NCD 25JL19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-Q-13 7.3 NCD 16AG19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-N 29 9.4554 NCD 28AG19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-Q-14 7.4 NCD 30AG19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 15 8 NCD 13SP19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 28 7.8236 NCD 20SP19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-Q-17 7.35 NCD 09OT19 FVRS10LAC
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SUNDARAM FINANCE LIMITED SR-Q8 7.62 NCD 16DC19 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 29 7.85 NCD 28FB20 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 25 7.6997 NCD 23MR20 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 30 7.85 NCD 31MR20 FVRS10LAC
SUNDARAM FIN9.85 LOA 07MY20 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 10 8.67 NCD 27MY20 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-Q2 7.7952 NCD 08JU20 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-Q9 7.5501 NCD 20JL20 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-Q-15 7.47 NCD 01SP20 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-Q-16 7.35 NCD 09NV20 FVRS10LAC
SUNDARAM FINANCE LIMITED 9.93 LOA 22DC20 FVRS10LAC
SUNDARAM FINANCE LIMITED 9.93 NCD 28JN21 FVRS10LAC LOA UPTO 27JN11SUNDARAM FINANCE LIMITED 9.93 NCD 07AP21 FVRS10LAC
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SUNDARAM FINANCE LIMITED SR-P 6 8.6 NCD 20AP21 FVRS10LAC
SUNDARAM FINANCE LIMITED 10.15 LOA 29JL21 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-K24 10.02 LOA 09AG21 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-K-67 9.9 LOA 30MR22 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-L-19 10.3 LOA 27JL22 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-L-31 10.3 LOA 28SP22 FVRS10LAC
SUNDARAM FINANCE LIMITED 9.75 NCD 31JN23 FVRS10LAC LOA UPTO 30JN13SUNDARAM FINANCE LIMITED SR-N 50 9.8 NCD 10NV24 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-N 51 9.8 NCD 12NV24 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-N 52 9.6 NCD 27NV24 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-O 6 9.25 NCD 22MY25 FVRS10LAC
SUNDARAM FINANCE LIMITED SR-P 12 8.8 NCD 03AG26 FVRS10LAC
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56 56
144 144
SUNDARAM FINANCE LIMITED SR-Q 6 8.45 NCD 07JU27 FVRS10LAC
SUNNY VIEW ESTATES PRIVATE LIMITED SR-1 10.6 NCD 24FB18 FVRS10LACSUNSHINE HOUSING & INFRASTRUCTURE PVT LTD 19.2 LOA 28FB20 FVRS1LACSUNSHINE HOUSING PRIVATE LIMITED 20.4 LOA 30AP18 FVRS1LAC
SUNSTREAM CITY PRIVATE LIMITED BD 29MR25 FVRS10000
SUNTECK REALTY LIMITED SR-B 11.75 LOA 13JN18 FVRS1LAC
SUNTECK REALTY LIMITED SR-C 11.75 LOA 13JN19 FVRS1LAC
SUNTECK REALTY LIMITED SR-D 11.75 LOA 13JN20 FVRS1LAC
SUNTRACK COMMERCE PRIVATE LIMITED NCD 22MR19 FVRS10LAC
SUNTRACK COMMERCE PRIVATE LIMITED NCD 07NV19 FVRS10LAC
SUNWORLD DEVELOPERS PRIVATE LIMITED 17 LOA 29FB20 FVRS1LAC
SUNWORLD ENERGY PRIVATE LIMITED BR CCD 26JU46 FVRS56
SUNWORLD SOLAR POWER PRIVATE LIMITED 0.01 CCD 26JN46 FVRS144
144 144
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10 10
10000 10000
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1000 1000
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SUNWORLD SOLAR POWER PRIVATE LIMITED 0.01 CCD 31AG46 FVRS144
SUPER REALTECH PRIVATE LIMITED SR-A 17 NCD 23SP18 FVRS1LAC
SUPRASANNA SOLAIRE ENERGY PRIVATE LIMITED 10 CCD 20FB25 FVRS10
SUPREME REALTY PVT LTD10 LOA 27MR18 FVRS10000
SURAJ ESTATE DEVELOPERS PRIVATE LIMITED SR-B 19 NCD 31MR19 FVRS10LACSURAJ ESTATE DEVELOPERS PRIVATE LIMITED SR-A 19 NCD 30JU19 FVRS10LACSURAJ VINIYOG PRIVATE LIMITED NCD 07NV19 FVRS10LAC
SURAKSHA REALTY LIMITED SR-III NCD 19JN18 FVRS50LAC
SURAKSHA REALTY LIMITED SR-IV NCD 17AG18 FVRS50LAC
SURBHI INVESTMENTS & TRADING COMPANY PRIVATE LIMITED SR-A 2.5 OCD 21OT28 FVRS1000SURYODAY MICRO FINANCE LIMITED SR-014 11.55 NCD 28OT19 FVRS1LAC
SURYODAY MICRO FINANCE LIMITED SR-1-600 BR NCD 06DC19 FVRS10LAC
SURYODAY MICRO FINANCE LIMITED SR-1-500 RR NCD 10JN20 FVRS10LAC
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10000000 10000000
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SURYODAY MICRO FINANCE LIMITED SR-F012 13.1011 NCD 30SP20 FVRS10LAC
SURYODAY MICRO FINANCE LIMITED SR-F-011 15.85 NCD 23AP21 FVRS10LAC
SURYODAY MICRO FINANCE LIMITED SR-F-013 12.7 NCD 26JL22 FVRS1LAC
SURYODAY MICRO FINANCE PRIVATE LIMITED SR-F010 14.1 NCD 13JL18 FVRS10LAC
SURYODAY MICRO FINANCE PRIVATE LIMITED SR-F 14 NCD 30MR19 FVRS10LACSURYODAY MICRO FINANCE PRIVATE LIMITED SR-005 13.63 LOA 28MY19 FVRS10LACSURYODAY MICRO FINANCE PRIVATE LIMITED SR-F007 17.5 NCD 18DC20 FVRS10LACSURYODAY MICRO FINANCE PRIVATE LIMITED SR-F008 14.9 NCD 18DC20 FVRS10LACSURYODAY MICRO FINANCE PRIVATE LIMITED SR-F009 14.25 NCD 13MY21 FVRS10LACSUSTAINABLE AGRO-COMMERCIAL FINANCE LIMITED SR 1 RR LOA 30JU21 FVRS1CRSUTLEJ HOUSING PRIVATE LIMITED SR-II 18 NCD 30JU19 FVRS1LAC
SV CREDITLINE PVT. LTD. SR-1-260 13.5267 NCD 30NV20 FVRS10LAC
SV CREDITLINE PVT. LTD. SR-F 18 NCD 18DC20 FVRS10LAC
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100 100
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SV CREDITLINE PVT. LTD. SR-F 15 NCD 18DC20 FVRS10LAC
SV CREDITLINE PVT. LTD. SR-1-260 13.5267 NCD 05JN21 FVRS10LAC
SV CREDITLINE PVT. LTD. SR-1-4165 14.3 NCD 24AG22 FVRS1LAC
SVASTI MICROFINANCE PRIVATE LIMITED SR-F 12.78 XIRR NCD 27FB18 FVRS10LACSVASTI MICROFINANCE PRIVATE LIMITED SR-1-100 12.51 XIRR NCD 29JU18 FVRS10LACSVASTI MICROFINANCE PRIVATE LIMITED SR-1-75 12.36 XIRR NCD 12OT18 FVRS10LACSVASTI MICROFINANCE PRIVATE LIMITED SR-1-75 11.4 XIRR NCD 07MR19 FVRS10LACSVASTI MICROFINANCE PRIVATE LIMITED SR-1-100 14.75 NCD 30DC19 FVRS10LACSVL LIMITED RR LOA 20SP20 FVRS10LAC
SWARNA TOLLWAY PRIVATE LIMITED 10.75 NCD 31MR20 FVRS10000
SWASTI POWER PRIVATE LIMITED 9.5 LOA 15SP26 FVRS1LAC
SWAWS CREDIT CORPORATION INDIA PVT LIMITED 12 OCD 31MR18 FVRS100SWIL 12.5 OFCD 01AP10 FV RS 100
100 100
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SWIL 12.5 OFCD 01AP18 FV RS 100
SYLVANUS PROPERTIES LIMITED 9.5 LOA 11JU18 FVRS10LAC
SYNDICATE BANK8.6 LOA 26DC18 FVRS10LAC
SYNDICATE BANK8.49 BD 15JU19 FVRS10LAC
SYNDICATE BANK 9 LOA 31DC22 FVRS10LAC
SYNDICATE BANK 8.95 LOA 02DC24 FVRS10LAC
SYNDICATE BANK 8.75 LOA 23MR25 FVRS10LAC
SYNDICATE BANK 8.58 LOA 28SP25 FVRS10LAC
SYNDICATE BANK 8.62 LOA 18DC25 FVRS10LAC
SYNDICATE BANK 8 LOA 03MY27 FVRS10LAC
SYNDICATE BANK9.9 PERPETUAL BD FVRS10LAC
SYNDICATE BANK9.4 LOA PERPETUAL FVRS10LAC
SYNDICATE BANKRR PERPETUAL BD FVRS10LAC
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10 10
10 10
10 10
10 10
10 10
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TATA CAPITAL HOUSING FINANCE LIMITED SR-M 8.66 NCD 12JL19 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-G 7.6 NCD 12JL19 FVRS10LAC
TATA CAPITAL HOUSING FINANCE LIMITED SR-H 7.54 NCD 19JL19 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-B OP-II 9.6 NCD 22JL19 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-N 8.615 NCD 29JL19 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-P 8.42 NCD 08AG19 FVRS10LAC
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TATA CAPITAL HOUSING FINANCE LIMITED SR-Y RR NCD 17MR20 FVRS10LAC
TATA CAPITAL HOUSING FINANCE LIMITED SR-C 7.71 NCD 29AP20 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-F 7.7 NCD 15JU20 FVRS10LAC
TATA CAPITAL HOUSING FINANCE LIMITED SR-E 7.75 NCD 30JU20 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-T OPT I 8.95 NCD 09JL20 FVRS10LAC
TATA CAPITAL HOUSING FINANCE LIMITED SR-Z 8.86 NCD 07AG20 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-AA 8.85 NCD 17AG20 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-AB 8.85 NCD 20AG20 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-I 7.4 NCD 31AG20 FVRS10LAC
TATA CAPITAL HOUSING FINANCE LIMITED SR-AH 8.7 NCD 14OT20 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-AI 8.7 NCD 16OT20 FVRS10LAC
TATA CAPITAL HOUSING FINANCE LIMITED SR-AM OPT II 8.6 NCD 06NV20 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-AS 8.7 NCD 22JN21 FVRS10LAC
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TATA CAPITAL HOUSING FINANCE LIMITED SR-A 8.73 NCD 12AP21 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-K 8.7 NCD 05JL21 FVRS10LAC
TATA CAPITAL HOUSING FINANCE LIMITED 10.17 NCD 29JL21 FVRS10LAC
TATA CAPITAL HOUSING FINANCE LIMITED SR-T 8.2 NCD 15SP21 FVRS10LAC
TATA CAPITAL HOUSING FINANCE LIMITED 10 NCD 29SP21 FVRS10LAC
TATA CAPITAL HOUSING FINANCE LIMITED 10 NCD 28OT21 FVRS10LAC
TATA CAPITAL HOUSING FINANCE LIMITED 10 NCD 04NV21 FVRS10LAC
TATA CAPITAL HOUSING FINANCE LIMITED SR-W 7.585 NCD 28DC21 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-E 10.15 NCD 25JN22 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED 10.15 NCD 12MR22 FVRS10LAC
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TATA CAPITAL HOUSING FINANCE LIMITED 10 NCD 30MY22 FVRS10LAC
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TATA CAPITAL HOUSING FINANCE LIMITED SR-AP OPT I 8.7 NCD 12JN23 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED 9.5 NCD 18JN23 FVRS10LAC
TATA CAPITAL HOUSING FINANCE LIMITED SR-U 9.5 NCD 10MR23 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-E 9.75 BD 28MR23 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-A 9.7 BD 15AP23 FVRS10LAC
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TATA CAPITAL HOUSING FINANCE LIMITED SR-E 8.63 NCD 04MY23 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-C 9.3 BD 19MY23 FVRS10LAC
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TATA CAPITAL HOUSING FINANCE LIMITED SR-AP OPT II 8.7 NCD 12JN24 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-E 10 BD 18MR24 FVRS10LAC
TATA CAPITAL HOUSING FINANCE LIMITED SR-A 10.15 BD 26SP24 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-R 9.22 NCD 09DC24 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-V 9.05 NCD 23JN25 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-A 9.25 BD 28AP25 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-O 8.85 NCD 16JU25 FVRS10LAC
TATA CAPITAL HOUSING FINANCE LIMITED SR-B 9.25 BD 22JL25 FVRS10LAC
TATA CAPITAL HOUSING FINANCE LIMITED SR-AE 8.87 NCD 29AG25 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-C 9.2 BD 16SP25 FVRS10LAC
TATA CAPITAL HOUSING FINANCE LIMITED SR-D 9.2 BD 19SP25 FVRS10LAC
TATA CAPITAL HOUSING FINANCE LIMITED SR-AG 8.7 NCD 08OT25 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-E 8.99 BD 04NV25 FVRS10LAC
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TATA CAPITAL HOUSING FINANCE LIMITED SR-AM OPT I 8.6 NCD 06NV25 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-F 9 BD 15DC25 FVRS10LAC
TATA CAPITAL HOUSING FINANCE LIMITED SR-G 9 BD 17DC25 FVRS10LAC
TATA CAPITAL HOUSING FINANCE LIMITED SR-H 9 BD 13MR26 FVRS10LAC
TATA CAPITAL HOUSING FINANCE LIMITED SR-AU OP I 8.78 NCD 30MR26 FVRS10LACTATA CAPITAL HOUSING FINANCE LIMITED SR-J 8.7 NCD 30JU26 FVRS10LAC
TATA CAPITAL HOUSING FINANCE LIMITED SR-A 8.92 BD 04AG26 FVRS10LACTATA CAPITAL LIMITED SR-A 9 NCD 28JU18 FVRS10LAC
TATA CAPITAL LIMITED SR-B 9 NCD 25JL18 FVRS10LAC
TATA CAPITAL LIMITED SR-C 8.93 NCD 27JL18 FVRS10LAC
TATA CAPITAL LIMITED 10.1 NCD 17AG18 FVRS10LAC
TATA CAPITAL LIMITED SR-D OPT I 8.75 NCD 17AG18 FVRS10LAC
TATA CAPITAL LIMITED 10.15 NCD 23SP18 FVRS10LAC
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TATA CAPITAL LIMITED 10.15 NCD 21OT18 FVRS10LAC
TATA CAPITAL LIMITED SR-A 8.23 NCD 26AP19 FVRS10LAC
TATA CAPITAL LIMITED SR-B 8.2 NCD 31MY19 FVRS10LAC
TATA CAPITAL LIMITED SR-C 8.05 NCD 21JU19 FVRS10LAC
TATA CAPITAL LIMITED10.5 NCD 04AG19 FVRS10LAC
TATA CAPITAL LIMITED SR-D OPT II 8.65 NCD 19AG19 FVRS10LAC
TATA CAPITAL LIMITED10.25 NCD 09SP19 FVRS10LAC
TATA CAPITAL LIMITED10.25 NCD 28OT19 FVRS5LAC
TATA CAPITAL LIMITED9.8 NCD 28OT19 FVRS5LAC
TATA CAPITAL LIMITEDNCD 30NV19 FVRS5LAC
TATA CAPITAL LIMITED10.25 NCD 15DC19 FVRS5LAC
TATA CAPITAL LIMITED9.8 NCD 18DC19 FVRS5LAC
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TATA CAPITAL LIMITED SR-D 7.7466 NCD 05MR20 FVRS10LAC
TATA CAPITAL LIMITEDRR LOA PERPETUAL FVRS5LAC
TATA CAPITAL LIMITED RR LOA PERPETUAL FVRS5LAC
TATA CAPITAL LIMITED 10 LOA PERPETUAL FVRS5LAC
TATA CAPITAL LIMITED SR-B 11.25 NCD PERPETUAL FVRS5LAC
TATA CAPITAL LIMITED RR NCD PERPETUAL FVRS5LAC
TATA CAPITAL LIMITED SR-D 10.75 NCD PERPETUAL FVRS5LAC
TATA CHEM10 NCD 02JL19 FVRS10LAC
TATA CLEANTECH CAPITAL LIMITED SR-G 8.57 NCD 06NV17 FVRS10LAC
TATA CLEANTECH CAPITAL LIMITED SR-A 9.05 NCD 20AP18 FVRS10LACTATA CLEANTECH CAPITAL LIMITED SR-B OP II 9.15 NCD 18MY18 FVRS10LACTATA CLEANTECH CAPITAL LIMITED SR-D OPT II 8.9 NCD 03AG18 FVRS10LAC
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TATA CLEANTECH CAPITAL LIMITED SR-E 7.8 NCD 26JL19 FVRS10LAC
TATA CLEANTECH CAPITAL LIMITED SR-G 7.7 NCD 08AG19 FVRS10LAC
TATA CLEANTECH CAPITAL LIMITED SR-A 8.12 NCD 15MY20 FVRS10LAC
TATA CLEANTECH CAPITAL LIMITED SR-B 8.12 NCD 15MY20 FVRS10LAC
TATA CLEANTECH CAPITAL LIMITED SR-D 8.08 NCD 05JU20 FVRS10LAC
TATA CLEANTECH CAPITAL LIMITED SR-C 9 NCD 20JL20 FVRS10LAC
TATA CLEANTECH CAPITAL LIMITED SR-F 7.81 NCD 03AG20 FVRS10LAC
TATA CLEANTECH CAPITAL LIMITED SR-E 8.9 NCD 04SP20 FVRS10LAC
TATA CLEANTECH CAPITAL LIMITED SR-F 8.75 NCD 19OT20 FVRS10LAC
TATA CLEANTECH CAPITAL LIMITED SR-B 8.1 NCD 15OT21 FVRS10LAC
TATA CLEANTECH CAPITAL LIMITED SR-C 8.11 NCD 03JU24 FVRS10LAC
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TATA HOUSING DEVELOPMENT COMPANY LIMITED 10.2 NCD 27NV17 FVRS10LACTATA HOUSING DEVELOPMENT COMPANY LIMITED SR-1A 9.55 NCD 25JN19 FVRS10LACTATA HOUSING DEVELOPMENT COMPANY LIMITED SR-1B 9.55 NCD 26AP19 FVRS10LACTATA HOUSING DEVELOPMENT COMPANY LIMITED SR-1-1000 8.19 NCD 23DC19 FVRS10LACTATA HOUSING DEVELOPMENT COMPANY LIMITED SR-1-2000 8.25 NCD 27FB20 FVRS10LACTATA HOUSING DEVELOPMENT COMPANY LIMITED SR-1-2000 8.5 NCD 20AP20 FVRS10LACTATA HOUSING DEVELOPMENT COMPANY LIMITED SR-1001-2000 8.19 NCD 23AP20 TATA HOUSING DEVELOPMENT COMPANY LIMITED SR-1-4000 8.19 NCD 23AP20 FVRS10LACTATA INDUSTRIES LIMITED 7.45 LOA 03JU18 FVRS10LAC
TATA INDUSTRIES LIMITED 7.25 NCD 03JU18 FVRS10LAC
TATA INTERNATIONAL LIMITED 9.3 NCD PERPETUAL FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-I 9.1 NCD 20NV17 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-G NCD 22DC17 FVRS10LAC
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TATA MOTORS FINANCE LIMITED SR-C 9.7748 NCD 26FB18 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-A NCD 09MR18 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-I 9.1611 NCD 09MR18 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-D NCD 15MR18 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-P NCD 20MR18 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-Q 9.2538 NCD 20MR18 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-R 9.25 NCD 22MR18 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-H NCD 30MR18 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-F NCD 27AP18 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-O NCD 08JU18 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-N 9.2 NCD 10JU18 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-X 9 NCD 28JU18 FVRS10LAC
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TATA MOTORS FINANCE LIMITED SR-Y 8.58 NCD 17AG18 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-D NCD 25SP18 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-B NCD 08OT18 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-E NCD 15OT18 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-Z 7.95 NCD 25NV18 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-K NCD 26NV18 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-AA 7.86 NCD 02DC18 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-N 9.25 NCD 17DC18 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-AC 8.05 NCD 28DC18 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-AC NCD 27FB19 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-V 10.25 NCD 05MR19 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-E NCD 12MR19 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-AF 10.2556 NCD 19MR19 FVRS10LAC
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TATA MOTORS FINANCE LIMITED SR-X 10.25 NCD 20MR19 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-A NCD 03AP19 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-B 9.2 NCD 08AP19 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-L NCD 11AP19 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-A NCD 24AP19 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-H NCD 06MY19 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-J 9.2 NCD 31MY19 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-L 9.2 NCD 10JU19 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-T 9.3 NCD 28JU19 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-V NCD 23JL19 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-A 9.85 NCD 10OT19 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-D 9.85 NCD 17OT19 FVRS10LAC
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TATA MOTORS FINANCE LIMITED SR-A NCD 10JN20 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-D NCD 24JN20 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-B NCD 26MR20 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-C NCD 15AP20 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-E NCD 12MY20 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-E NCD 25AG20 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-M 9.25 NCD 17DC20 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-C 9.2 NCD 06AP21 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-G 9.2 NCD 13MY21 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-K 9.2 NCD 10JU21 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-M NCD 10JU21 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-S 9.3 NCD 28JU21 FVRS10LAC
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TATA MOTORS FINANCE LIMITED SR-A 10.6 NCD 12SP24 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-C 9.7 NCD 19DC24 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-A RR NCD PERPETUAL FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-M 10.25 NCD 10JN19 FVRS10LAC
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TATA MOTORS FINANCE LIMITED SR-B 11 NCD 02MR22 FVRS5LAC
TATA MOTORS FINANCE LIMITED 11 NCD 26MR22 FVRS5LAC
TATA MOTORS FINANCE LIMITED SR-A 11 NCD 22MY22 FVRS5LAC
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TATA MOTORS FINANCE LIMITED 10.46 NCD 28DC22 FVRS10LAC
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TATA MOTORS FINANCE LIMITED SR-A 10.15 NCD 28MY23 FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-B 10.35 NCD 26SP24 FVRS10LAC
TATA MOTORS FINANCE LIMITEDRR NCD PERPETUAL FVRS5LACTATA MOTORS FINANCE LIMITED SR-A RR NCD PERPETUAL FVRS5LAC
TATA MOTORS FINANCE LIMITED SR-B RR NCD PERPETUAL FVRS5LAC
TATA MOTORS FINANCE LIMITED RR NCD PERPETUAL FVRS10LAC
TATA MOTORS FINANCE LIMITED SR-A RR NCD PERPETUAL FVRS10LAC
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TATA MOTORS LIMITED SR-E-27 A 8.25 LOA 28JN19 FVRS10LAC
TATA MOTORS LIMITED 9.69 NCD 29MR19 FVRS10LAC
TATA MOTORS LIMITED SR-E-26 D OPT-I 9.71 LOA 01OT19 FVRS10LAC
TATA MOTORS LIMITED SR-E-27 I TR 1 7.28 LOA 29JL20 FVRS10LAC
TATA MOTORS LIMITED SR-E-26 D OPT-II 9.73 LOA 01OT20 FVRS10LAC
TATA MOTORS LIMITED SR-E-27 B 8.4 LOA 26MY21 FVRS10LAC
TATA MOTORS LIMITED SR-E-27 I TR 2 7.4 LOA 29JU21 FVRS10LAC
TATA MOTORS LIMITED SR-E-27 E 7.5 LOA 20OT21 FVRS10LAC
TATA MOTORS LIMITED SR-E-26 G 9.02 LOA 10DC21 FVRS10LAC
TATA MOTORS LIMITED SR-E-27 F 7.71 LOA 03MR22 FVRS10LAC
TATA MOTORS LIMITED SR-E-27 H 7.5 LOA 22JU22 FVRS10LAC
TATA MOTORS LIMITED SR-E-26 F 9.35 LOA 10NV23 FVRS10LAC
TATA MOTORS LIMITED SR-E-26 B 9.81 LOA 20AG24 FVRS10LAC
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TATA MOTORS LIMITED 9.45 NCD 29MR18 FVRS10LAC
TATA MOTORS LIMITED 10 NCD 28MY19 FVRS10LAC
TATA MOTORS9.95 LOA 02MR20 FVRS10LAC
TATA MOTORS9.9 NCD 07MY20 FVRS10LAC
TATA MOTORS9.75 NCD 24MY20 FVRS10LAC
TATA MOTORS9.7 NCD 18JU20 FVRS10LAC
TATA MOTORS10.25 LOA 30AP25 FVRS10LAC
TATA MOTORS LIMITED SR-E-27 D 8 LOA 01AG19 FVRS10LAC
TATA MOTORS LIMITED SR-E-26 E 9.6 LOA 29OT22 FVRS10LAC
TATA MOTORS LIMITED SR-E-26 C 9.77 LOA 12SP24 FVRS10LAC
TATA POWER RENEWABLE ENERGY LIMITED 8.45 NCD 25MY22 FVRS10LAC
TATA POWER RENEWABLE ENERGY LIMITED SR-I BR NCD 15JU22 FVRS10LAC
TATA POWER RENEWABLE ENERGY LIMITED BR NCD 22JN25 FVRS10LAC
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TATA POWER RENEWABLE ENERGY LIMITED SR-II BR NCD 15JU26 FVRS10LAC
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TATA SKY LIMITED SR-4 (b) LOA 30MY19 FVRS10LAC
TATA SKY LIMITED SR-4 (c) LOA 30MY19 FVRS10LAC
TATA SKY LIMITED SR-3 LOA 18MR20 FVRS10LAC
TATA SONS LIMITED 9.77 LOA 13JN18 FVRS10LAC
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TATA SONS LIMITED 7.75 NCD 31JN18 FVRS10LAC
TATA SONS LIMITED 8.85 NCD 02MY18 FVRS10LAC
TATA SONS LIMITED SR-II 9.76 NCD 13DC18 FVRS10LAC
TATA SONS LIMITED 9.78 LOA 13JN19 FVRS10LAC
TATA SONS LIMITED 7.8 NCD 31JN19 FVRS10LAC
TATA SONS LIMITED 9.9 LOA 20MR19 FVRS10LAC
TATA SONS LIMITED 9.43 NCD 02JU19 FVRS10LAC
TATA SONS LIMITED 9.25 NCD 19JU19 FVRS10LAC
TATA SONS LIMITED 7.55 NCD 14DC19 FVRS10LAC
TATA SONS LIMITED 8.6 NCD 22JN20 FVRS10LAC
TATA SONS LIMITED 7.85 NCD 31JN20 FVRS10LAC
TATA SONS LIMITED 7.9 NCD 01MR20 FVRS10LAC
TATA SONS LIMITED 7.9 NCD 02MR20 FVRS10LAC
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TATA SONS LIMITED 7.9 NCD 03MR20 FVRS10LAC
TATA SONS LIMITED 7.9 NCD 06MR20 FVRS10LAC
TATA SONS LTD.8.99 NCD 07JU20 FVRS10LAC
TATA SONS LTD.8.97 NCD 15JL20 FVRS10LAC
TATA SONS LIMITED 7.3 NCD 14AG20 FVRS10LAC
TATA SONS LIMITED 7.4 NCD 14AG20 FVRS10LAC
TATA SONS LIMITED 7.35 NCD 18AG20 FVRS10LAC
TATA SONS LIMITED 7.4 NCD 21AG20 FVRS10LAC
TATA SONS LIMITED 7.35 NCD 28AG20 FVRS10LAC
TATA SONS LIMITED 8.55 NCD 31AG20 FVRS10LAC
TATA SONS LTD.9.1 NCD 06SP20 FVRS10LAC
TATA SONS LTD.9.18 NCD 23NV20 FVRS10LAC
TATA SONS LIMITED 7.85 NCD 31JN21 FVRS10LAC
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TATA SONS LIMITED 8.07 NCD 05AG21 FVRS10LAC
TATA SONS LIMITED 8.01 NCD 02SP21 FVRS10LAC
TATA SONS LIMITED 7.6 NCD 14DC21 FVRS10LAC
TATA SONS LIMITED 8.25 NCD 23MR22 FVRS10LAC
TATA SONS LIMITED SR-2 8.25 NCD 23MR22 FVRS10LAC
TATA SONS LIMITED 9.54 NCD 25AP22 FVRS10LAC
TATA SONS LIMITED 9.69 NCD 12JU22 FVRS10LAC
TATA SONS LIMITED 9.7 NCD 25JL22 FVRS10LAC
TATA SONS LIMITED 9.7 NCD 16AG22 FVRS10LAC
TATA SONS LIMITED 7.4 NCD 16AG22 FVRS10LAC
TATA SONS LIMITED 9.71 NCD 29AG22 FVRS10LAC
TATA SONS LIMITED 9.67 NCD13SP22 FVRS10LAC
TATA SONS LIMITED 8.85 NCD 02MY23 FVRS10LAC
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TATA SONS LIMITED 8.32 NCD 21MY23 FVRS10LAC
TATA SONS LIMITED SR-III 9.71 NCD 13DC23 FVRS10LAC
TATA SONS LIMITED 9.74 LOA 13JN24 FVRS10LAC
TATA SONS LIMITED 9.9 LOA 20MR24 FVRS10LAC
TATA SONS LIMITED 9.44 NCD 02JU24 FVRS10LAC
TATA SONS LIMITED 9.3 NCD 19JU24 FVRS10LAC
TATA SONS LIMITED 8.5 NCD 22JN25 FVRS10LAC
TATA SONS LIMITED 8.55 NCD 31AG25 FVRS10LAC
TATA SONS LIMITED 8.48 NCD 02FB26 FVRS10LAC
TATA SONS LIMITED 8.08 NCD 05AG26 FVRS10LAC
TATA SONS LIMITED 8.04 NCD 02SP26 FVRS10LAC
TATA SONS LIMITED 9.4 NCD 27NV27 FVRS10LAC
TATA SONS LIMITED NCD 06AG29 FVRS10LAC
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1000000 1000000
1000000 1000000
850000 1000000
1000000.000 1000000
1000000.000 1000000
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TATA SONS LIMITED NCD 03SP29 FVRS10LAC
TATA SONS LIMITED 7.9 NCD 04JN32 PPRS2LAC
TATA STEEL LIMITED 8.15 NCD 04OT26 FVRS10LAC
TATA STEEL LIMITED 10.25 NCD 21DC30 FVRS10LAC
TATA STEEL LIMITED 10.25 NCD 06JN31 FVRS10LAC
TATA STEEL LIMITED 11.8 NCD PERPETUAL FVRS10LAC
TATA STEEL LIMITED 11.5 NCD PERPETUAL FVRS10LAC
TATA STEEL LIMITED10.4 NCD 15MY19 FVRS10LAC
TATA STEEL LIMITED11 NCD 19MY19 FVRS10LAC
TATA STEEL LIMITED 2 NCD 23AP22 FVRS10LAC
TATA STEEL LIMITED SR-I 9.15 NCD 24JN19 FVRS10LAC
TATA STEEL LIMITED SR-II 9.15 NCD 24JN21 FVRS10LAC
TATA TELESERVICES (MAHARASHTRA) LTD SR-I 11.3 LOA 22MY18 FVRS10LAC
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1000000.000 1000000
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1000000 1000000
100000 100000
100000 100000
100000 100000
1000000.000 1000000
100000 100000
10000000 10000000
10000.000 10000
TATA TELESERVICES (MAHARASHTRA) LTD SR-II 11.3 LOA 22MY19 FVRS10LAC
TATA TELESERVICES (MAHARASHTRA) LTD SR-III 11.3 LOA 22MY20 FVRS10LAC
TATA TELESERVICES LIMITED 11 LOA 28JU18 FVRS10LAC
TATA TELESERVIC11.69 LOA 14AG25 FVRS10LAC
TATA VALUE HOMES LIMITED 9.75 NCD 30AP18 FVRS10LAC
TATA VALUE HOMES LIMITED 8.8 NCD 27SP19 FVRS10LAC
TATTVA & MITTAL LIFESPACES PRIVATE LIMITED SR-1 17.5 NCD 31MY18 FVRS1LACTATTVA & MITTAL LIFESPACES PRIVATE LIMITED SR-2 17.5 NCD 30NV20 FVRS1LACTATTVA & MITTAL LIFESPACES PRIVATE LIMITED SR-3 17.5 NCD 30NV20 FVRS1LACTECHNO ELECTRIC & ENG. CO. LTD. 10.24 NCD 28JN18 FVRS10LAC
TEJASSARNIKA HYDRO ENERGIES PRIVATE LIMITED 11 LOA 11SP24 FVRS1LACTGS INVESTMENT AND TRADE PRIVATE LIMITED SR-A 8.45 LOA 31JN20 FVRS1CRTHAR COMMERCIAL FINANCE PRIVATE LIMITED 12 LOA 31MR27 FVRS10000
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THDC INDIA LIMITED SR-1 7.59 LOA 03OT26 FVRS10LAC
BANK RAJASTHAN11.5 BD 05JN19 FVRS10LAC
BANK RAJASTHAN10.5 LOA 08JU19 FVRS10LAC
BANK RAJASTHAN10.5 BD 22SP21 FVRS10LAC
THE BOMBAY BURMAH TRADING CORPORATION LIMITED 8.44 LOA 30AP20 FVRS10LACTHE CATHOLIC SYRIAN BANK LTD SR-I 11.7 BD 31MR19 FVRS10LAC
DHANALAKSHMI BNRR LOA 30JL25 FVRS10LAC
G. E. SHIPPING9.4 NCD 06JN18 FVRS10LAC
G. E. SHIPPING9.19 NCD 24DC18 FVRS10LAC
G. E. SHIPPING9.4 NCD 06JN19 FVRS10LAC
G. E. SHIPPING9.35 NCD 08FB19 FVRS10LAC
G. E. SHIPPING9.8 NCD 03JL19 FVRS10LAC
G. E. SHIPPING9.75 NCD 20AG19 FVRS10LAC
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G. E. SHIPPING9.6 NCD 10NV19 FVRS10LAC
THE GREAT EASTERN SHIPPING COMPANY LIMITED 9.7 NCD 02FB21 FVRS 10LACTHE GREAT EASTERN SHIPPING COMPANY LIMITED 9.7 NCD 15AP21 FVRS10LACTHE GREAT EASTERN SHIPPING COMPANY LIMITED 9.7 NCD 25AP21 FVRS10LACTHE GREAT EASTERN SHIPPING COMPANY LIMITED 9.7 NCD 07JN23 FVRS10LACTHE GREAT EASTERN SHIPPING COMPANY LIMITED 9.7 NCD 18JN23 FVRS10LACTHE GREAT EASTERN SHIPPING COMPANY LIMITED 7.99 NCD 18JN24 FVRS10LACTHE GREAT EASTERN SHIPPING COMPANY LIMITED 8.05 NCD 31AG24 FVRS10LACTHE GREAT EASTERN SHIPPING COMPANY LIMITED 7.99 NCD 18JN25 FVRS10LACTHE GREAT EASTERN SHIPPING COMPANY LIMITED 8.7 NCD 31MY25 FVRS10LACTHE GREAT EASTERN SHIPPING COMPANY LIMITED 8.24 NCD 10NV25 FVRS10LACTHE GREAT EASTERN SHIPPING COMPANY LIMITED 8.7 NCD 06MY26 FVRS10LACTHE GREAT EASTERN SHIPPING COMPANY LIMITED 8.24 NCD 10NV26 FVRS10LAC
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1000000.000 1000000
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1000000 1000000
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1000000 1000000
500000 500000
THE GREAT EASTERN SHIPPING COMPANY LIMITED 8.25 NCD 25MY27 FVRS10LACINDIA CEMENTS LIMITED SR-1 10 LOA 26FB21 FVRS10LAC
INDIAN HOTELS2 NCD 09DC19 FVRS10LAC
THE INDIAN HOTELS COMPANY LIMITED 7.85 NCD 20AP20 FVRS10LAC
THE INDIAN HOTELS COMPANY LIMITED 9.95 NCD 27JL21 FVRS10LAC
THE INDIAN HOTELS COMPANY LIMITED 10.1 NCD 18NV21 FVRS10LAC
THE INDIAN HOTELS COMPANY LIMITED 7.85 NCD 15AP22 FVRS10LAC
J AND K BANK9 LOA 30DC19 FVRS10LAC
KARUR VYSYA BNK9.86 LOA 25SP19 FVRS10LAC
THE LAKSHMI VILAS BANK LIMITED SR-VII A 11.4 LOA 10FB18 FVRS10LACTHE LAKSHMI VILAS BANK LIMITED SR-VII BD 11.4 LOA 10FB22 FVRS10LACTHE LAKSHMI VILAS BANK LIMITED SR VIII 11.8 LOA 24MR24 FVRS10LACTHE LAKSHMI VILAS BANK LIMITED SR-X 10.7 LOA 09JU24 FVRS5LAC
500000 500000
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1000000 1000000
2500000 2500000
100000 100000
THE LAKSHMI VILAS BANK LIMITED SR-IX 11.5 LOA 30SP25 FVRS5LAC
MYSORE PAPER8.49 LOA 16JL20 FVRS10LAC
THE MYSORE PAPER MILLS LIMITED SR-I/2012 9.65 LOA 15MY22 FVRS10LACTHE MYSORE PAPER MILLS LIMITED 8.95 BD 20JU23 FVRS10LAC
THE RAMCO CEMENTS LIMITED SR-C 8.55 LOA 30OT17 FVRS10LAC
SOUTH INDN BANK9.75 LOA 20AP20 FVRS10LAC
THE SOUTH INDIAN BANK LTD. SR-A 10.25 LOA 31OT25 FVRS10LAC
TIIC LTD SLR SR-01 9.85 BD 07MR24 FVRS10LAC
THE TATA POWER COMPANY LIMITED SR-1 9.32 NCD 17NV17 FVRS10LACTATA POWER10.1 NCD 25AP18 FVRS10LAC
TATA POWER10.4 NCD 20JU18 FVRS10LAC
TATA POWER9.15 NCD 23JL18 FVRS25LAC
TATA POWER9.15 NCD 17SP18 FVRS1LAC
2500000 2500000
1000000 1000000
100000 100000
1000000 1000000
2500000 2500000
100000 100000
2000000 2000000
100000 100000
2000000 2000000
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1000000.000 1000000
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2000000 2000000
TATA POWER9.15 NCD 23JL19 FVRS25LAC
THE TATA POWER COMPANY LIMITED 7.7 NCD 02AG19 FVRS10LAC
TATA POWER9.15 NCD 17SP19 FVRS1LAC
THE TATA POWER COMPANY LIMITED SR-2 9.48 NCD 17NV19 FVRS10LACTATA POWER9.15 NCD 23JL20 FVRS25LAC
TATA POWER9.15 NCD 17SP20 FVRS1LAC
TATA POWER9.15 NCD 23JL21 FVRS20LAC
TATA POWER9.15 NCD 17SP21 FVRS1LAC
TATA POWER9.15 NCD 23JL22 FVRS20LAC
TATA POWER9.15 NCD 17SP22 FVRS1LAC
THE TATA POWER COMPANY LIMITED 9.4 NCD 28DC22 FVRS10LAC
THE TATA POWER COMPANY LIMITED BR NCD 12JN23 FVRS10LAC
TATA POWER9.15 NCD 23JL23 FVRS20LAC
100000 100000
2000000 2000000
100000 100000
2000000 2000000
162500 162500
1000000.000 1000000
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1000000 1000000
500000 500000
500000 500000
10000 10000
500000 500000
500000.000 500000
TATA POWER9.15 NCD 17SP23 FVRS1LAC
TATA POWER9.15 NCD 23JL24 FVRS20LAC
TATA POWER9.15 NCD 17SP24 FVRS1LAC
TATA POWER9.15 NCD 23JL25 FVRS20LAC
TATA POWER9.15 NCD 17SP25 FVRS1LAC
THE TATA POWER COMPANY LIMITED RR NCD 21AG72 FVRS10LAC
THE TATA POWER COMPANY LIMITED RR NCD PERPETUAL FVRS10LACTHEA KITCHEN PRIVATE LIMITED 19.75 NCD 09NV19 FVRS10LAC
THIRUMENI FINANCE PRIVATE LIMITED SR-F 14.3 NCD 14DC18 FVRS5LAC
THIRUMENI FINANCE PRIVATE LIMITED SR-G 13.34 NCD 10MR19 FVRS5LACTHIRUMENI FINANCE PRIVATE LIMITED SR-F 14.6 NCD 05NV19 FVRS10000
THIRUMENI FINANCE PRIVATE LIMITED SR-H 12.72 NCD 16DC19 FVRS5LACTHIRUMENI FINANCE PRIVATE LIMITED SR-K 3.07 NCD 24AG21 FVRS5LAC
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100000 100000
100000 100000
10 10
100000 100000
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10 10
100000 100000
100 100
THIRUMENI FINANCE PRIVATE LIMITED SR-J 12.3 NCD 31JL22 FVRS10LAC
THIRUMENI FINANCE PRIVATE LIMITED SR-I 12.75 NCD 27AP23 FVRS10LACTHIRUMENI FINANCE PRIVATE LIMITED CLASS A CCD 31DC31 FVRS1LAC
THIRUMENI FINANCE PRIVATE LIMITED CLASS A CCD 28MR32 FVRS1LAC
THIRUMENI FINANCE PRIVATE LIMITED CLASS B CCD 05MY32 FVRS10
THIRUMENI FINANCE PRIVATE LIMITED CLASS A CCD 06MY32 FVRS1LAC
THOMAS COOK (I) LIMITED 10.52 NCD 15AP18 FVRS10LAC
THOMAS COOK (I) LIMITED SR-1 9.37 LOA 31AG18 FVRS10LAC
THOMAS COOK (I) LIMITED SR-2 9.37 LOA 30AG19 FVRS10LAC
THOMAS COOK (I) LIMITED SR-3 9.37 LOA 31AG20 FVRS10LAC
THOMSUN REALTORS PRIVATE LIMITED CCD 14MY28 FVRS10
THREE C GREEN DEVELOPERS PVT. LTD. 19 NCD 08JL18 FVRS1LAC
THREE C SHELTERS PRIVATE LIMITED 0.01 OCD PERPETUAL FVRS100
20 20
20000 20000
19400 20000
20000 20000
20000 20000
20000 20000
20000 20000
20000 20000
18600 20000
18600 20000
20000.000 20000
20000 20000
20000 20000
THUKKAPUR SOLAR PRIVATE LIMITED 16.99 CCD 07DC34 FVRS20
TIERRA FARM ASSETS COMPANY PRIVATE LIMITED SR-1 18.25 NCD 11JN20 FVRS20000TIERRA FARM ASSETS COMPANY PRIVATE LIMITED SR-2 18.25 NCD 16FB20 FVRS20000TIERRA FARM ASSETS COMPANY PRIVATE LIMITED SR-3 18.25 NCD 30MR20 FVRS20000TIERRA FARM ASSETS COMPANY PRIVATE LIMITED SR-4 18.25 NCD 24MY20 FVRS20000TIERRA FARM ASSETS COMPANY PRIVATE LIMITED SR-5 18.25 NCD 29JU20 FVRS20000TIERRA FARM ASSETS COMPANY PRIVATE LIMITED SR-6 18.25 NCD 19AG20 FVRS20000TIERRA FARM ASSETS COMPANY PRIVATE LIMITED SR-7 18.25 NCD 09SP20 FVRS20000TIERRA FARM ASSETS COMPANY PRIVATE LIMITED SR-8 18.25 NCD 06OT20 FVRS20000TIERRA FARM ASSETS COMPANY PRIVATE LIMITED SR-9 18.25 NCD 01DC20 FVRS20000TIERRA FARM ASSETS COMPANY PRIVATE LIMITED SR-10 18.25 NCD 21MR21 FVRS20000TIERRA FARM ASSETS COMPANY PRIVATE LIMITED SR-11 18.25 NCD 24MR21 FVRS20000TIERRA FARM ASSETS COMPANY PRIVATE LIMITED SR-13 18.25 NCD 03MY21 FVRS20000
20000.000 20000
18600 20000
18600.000 20000
18600.000 20000
18600.000 20000
1000000 1000000
10 10
1000 1000
1000 1000
1000.000 1000
10000000 10000000
10000000 10000000
10000000 10000000
TIERRA FARM ASSETS COMPANY PRIVATE LIMITED SR-14 18.25 NCD 19MY21 FVRS20000TIERRA FARM ASSETS COMPANY PRIVATE LIMITED SR-15 18.25 NCD 21JU21 FVRS20000TIERRA FARM ASSETS COMPANY PRIVATE LIMITED SR-16 18.25 NCD 28JU21 FVRS20000TIERRA FARM ASSETS COMPANY PRIVATE LIMITED SR-17 18.25 NCD 28JL21 FVRS20000TIERRA FARM ASSETS COMPANY PRIVATE LIMITED SR-18 18.25 NCD 10AG21 FVRS20000TMT VINIYOGAN LIMITED NCD 22FB19 FVRS10LAC
TN URJA PRIVATE LIMITED 0.1 CCD 22FB36 FVRS10
TORNADO SOLARFARMS LIMITED 0.01 CCD 31MR20 FVRS1000
TORNADO SOLARFARMS LIMITED 0.01 CCD 31MR21 FVRS1000
TORNADO SOLARFARMS LIMITED 0.01 CCD 30JU21 FVRS1000
TORRENT PHARMACEUTICALS LIMITED SR-I A 9.2 LOA 22JU18 FVRS1CR
TORRENT PHARMACEUTICALS LIMITED SR-I B 9.2 LOA 24JU19 FVRS1CR
TORRENT PHARMACEUTICALS LIMITED SR-II 9.2 LOA 24MR20 FVRS1CR
10000000 10000000
10000000 10000000
10000000 10000000
10000000 10000000
10000000 10000000
10000000 10000000
10000000 10000000
10000000.000 10000000
10000000 10000000
10000000 10000000
10000 10000
1000000 1000000
10000000.000 10000000
TORRENT PHARMACEUTICALS LIMITED SR-I C 9.2 LOA 24JU20 FVRS1CR
TORRENT PHARMACEUTICALS LIMITED 7.8 LOA 29DC20 FVRS1CRTORRENT PHARMACEUTICALS LIMITED 7.95 LOA 13DC21 FVRS1CRTORRENT POWER LIMITED SR 2A 10.35 NCD 25MR21 FVRS1CR
TORRENT POWER LIMITED SR 3A 8.95 LOA 06AP21 FVRS1CR
TORRENT POWER LIMITED SR 2B 10.35 NCD 25MR22 FVRS1CR
TORRENT POWER LIMITED SR 3B 8.95 LOA 06AP22 FVRS1CR
TORRENT POWER LIMITED 10.35 NCD 26SP22 FVRS1CR LOA UPTO 20DC12TORRENT POWER LIMITED SR 2C 10.35 NCD 25MR23 FVRS1CR
TORRENT POWER LIMITED SR 3C 8.95 LOA 06AP23 FVRS1CR
TORUS BUILDCON PRIVATE LIMITED OCD 08JN25 FVRS10000
TOTAL ENVIORNMENT MACHINE-CRAFT PRIVATE LIMITED 17 NCD 15OT22 FVRS10LACTOTAL ENVIRONMENT BUILDING SYSTEMS PVT LTD SR-A 8 LOA 03OT23 FVRS1CR
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TOTAL ENVIRONMENT CONSTRUCTIONS PRIVATE LIMITED SR-A 8 LOA 05OT23 FVRS1CRTOTAL ENVIRONMENT CONSTRUCTIONS PRIVATE LIMITED SR-B 8 LOA 05OT23 FVRS1CRTOURISM FIN COR9.5 BD 30AP19 FVRS10LAC
TOURISM FIN CORSR-MB XXXIX 9.5 BD 30AP19 FVRS10LAC
TOURISM FIN COR8.9 BD 29NV20 FVRS10LAC
TOURISM FINANCE CORPORATION OF INDIA LIMITED 10.15 LOA 01SP21 FVRS10LACTOURISM FINANCE CORPORATION OF INDIA LIMITED 10.2 LOA 16NV21 FVRS10LACTOURISM FINANCE CORPORATION OF INDIA LIMITED 9.65 LOA 19AP22 FVRS10LACTOURISM FINANCE CORPORATION OF INDIA LIMITED 9.95 LOA 01JL22 FVRS10LACTOURISM FINANCE CORPORATION OF INDIA LIMITED 9.95 LOA 21AG22 FVRS10LACTOURISM FINANCE CORPORATION OF INDIA LIMITED 9.5 LOA 25FB23 FVRS10LACTOURISM FINANCE CORPORATION OF INDIA LIMITED 8.81 LOA 09NV25 FVRS1LACTOURISM FINANCE CORPORATION OF INDIA LIMITED 9.6 LOA 25FB28 FVRS10LAC
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TOURISM FINANCE CORPORATION OF INDIA LIMITED 9.65 LOA 25FB33 FVRS10LACTOYOTA FINANCIAL SERVICES INDIA LIMITED SR-2 8.7 LOA 24NV17 FVRS10LAC TOYOTA FINANCIAL SERVICES INDIA LIMITED SR-8 8.2 LOA 25JN18 FVRS10LACTOYOTA FINANCIAL SERVICES INDIA LIMITED SR-3 8.4 LOA 12MR18 FVRS10LACTOYOTA FINANCIAL SERVICES INDIA LIMITED SR-4 8.54 LOA 04JU18 FVRS10LAC
TOYOTA FINANCIAL SERVICES INDIA LIMITED SR-5 8.53 LOA 20AG18 FVRS10LACTOYOTA FINANCIAL SERVICES INDIA LIMITED SR-6 8.133 LOA 29SP18 FVRS10LACTOYOTA FINANCIAL SERVICES INDIA LIMITED 8.35 LOA SERIES 7 OPT-1 30DC18 FVRS10LACTOYOTA FINANCIAL SERVICES INDIA LIMITED SR-9 8.58 LOA 28JU19 FVRS10LACTOYOTA FINANCIAL SERVICES INDIA LIMITED SR-10 OPT 2 7.93 LOA 28JL19 FVRS10LACTOYOTA FINANCIAL SERVICES INDIA LIMITED SR-11 7.512 LOA 14OT19 FVRS10LACTOYOTA FINANCIAL SERVICES INDIA LIMITED 8.45 LOA SERIES 7 OPT-2 30DC19TOYOTA FINANCIAL SERVICES INDIA LIMITED SR-13 7.27 LOA 10FB20 FVRS10LAC
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100 100
1000 1000
100000 100000
1000000 1000000
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TOYOTA FINANCIAL SERVICES INDIA LIMITED SR-14 7.62 LOA 24MR20 FVRS10LACTOYOTA FINANCIAL SERVICES INDIA LIMITED SR-12 7.67 LOA 27AP20 FVRS10LACTOYOTA FINANCIAL SERVICES INDIA LIMITED SR-16 7.45 LOA 29JU20 FVRS10LACTOYOTA FINANCIAL SERVICES INDIA LIMITED SR-15 7.75 LOA 30JU20 FVRS10LACTOYOTA FINANCIAL SERVICES INDIA LIMITED SR-17 7.4 LOA 12JN21 FVRS10LACTPG WHOLESALE PRIVATE LIMITED 0.5 CCD 13MR21 FVRS100
TRANSCON DEVELOPERS PRIVATE LIMITED 18 OCD 30JU19 FVRS1000
TRANSCON DEVELOPERS PRIVATE LIMITED TR-1 & 2 9 NCD 25MY20 FVRS1LAC
TRANSMISSION CORPORATION OF A.P. LTD8.6 LOA 31MR18 FVRS10LACTRANSMISSION CORPORATION OF A.P. LTD8.55 LOA 07MR19 FVRS10LACTRANSMISSION CORPORATION OF A.P. LTDOP-2 8.95 09SP21 FVRS10LACTRANSMISSION CORPORATION OF A.P. LTD8.69 LOA 15FB22 FVRS10LACTRANSMISSION CORPORATION OF A.P. LTD8.65 LOA 07MR24 FVRS10LAC
10000000 10000000
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10000 10000
100 100
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20000 20000
20000 20000
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1000000 1000000
TRENDS IN VOGUE PRIVATE LIMITED 8.5 NCD 12SP18 FVRS1CR
TRENT LIMITED 7.84 NCD 10SP19 FVRS10LAC
TRICHY TOLLWAY PRIVATE LIMITED SR-A 9.5 NCD 15DC24 FVRS10000
TRICHY TOLLWAY PRIVATE LIMITED SR-A 17.45 CCD 13OT25 FVRS100
TRICONE PROJECTS INDIA LIMITED TRANCHE I 16 NCD 28JN19 FVRS10LAC
TRICONE PROJECTS INDIA LIMITED TRANCHE II 18 NCD 28JN19 FVRS10LAC
TRICONE PROJECTS INDIA LIMITED 16 NCD 19JU20 FVRS10LAC
TRIDHAATU MUMBAI STRUCTURES PRIVATE LIMITED SR-I 17 NCD 11FB20 FVRS10LACTRIDHAATU MUMBAI STRUCTURES PRIVATE LIMITED SR-I 13.75 NCD 11FB20 FVRS10LACTRIDHAATU REALTY AND INFRA PRIVATE LIMITED SR-I 16 NCD 31MR19 FVRS20000TRIDHAATU REALTY AND INFRA PRIVATE LIMITED SR-II 16 NCD 30SP20 FVRS20000TRIDHAATU REALTY AND INFRA PRIVATE LIMITED SR-III 16 NCD 30SP21 FVRS20000TRIL AMRITSAR PROJECTS LIMITED 9.27 NCD 20JU29 FVRS10LAC
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1000 1000
1000 1000
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100000 100000
100000 100000
1000000 1000000
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1000000 1000000
100000 100000
100000 100000
TRIL INFOPARK LIMITED 10.5 NCD 18MR18 FVRS10LAC
TRIL IT4 PRIVATE LIMITED 8.53 LOA 24AP20 FVRS10LAC
TRIL IT4 PRIVATE LIMITED SR I RR NCD 14MR28 FVRS10LAC
TRINAYANI REALTORS PRIVATE LIMITED SR-UNCD-1 1 NCD 30SP19 FVRS1000
TRINAYANI REALTORS PRIVATE LIMITED SR-UNCD-2 1 NCD 08MR20 FVRS1000TRUE VALUE HOMES (INDIA) PRIVATE LIMITED 15 LOA 03AG19 FVRS10LACTRUEWIN REALTY LIMITED SR-TRL 01 12 LOA 10JU19 FVRS1LAC
TRUST INVESTMENT ADVISORS PRIVATE LIMITED SR-1 9.25 NCD 31MY19 FVRS1LACTUBE INVESTMENTS OF INDIA LIMITED 8.9 LOA 25SP18 FVRS10LAC
TUBE INVESTMENTS OF INDIA LIMITED 8.79 LOA 26OT18 FVRS10LAC
TUBE INVESTMENTS OF INDIA LIMITED 7.55 LOA 20FB20 FVRS10LAC
TULIP TELECOM LIMITED SR-III 12.75 LOA 30DC17 FVRS1LAC
TULIP TELECOM LIMITED SR-VI 12.75 LOA 06FB18 FVRS1LAC
100000 100000
100000.000 100000
100000 100000
100000 100000
100000 100000
1000000 1000000
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100000 100000
TULIP TELECOM LIMITED STRPPs SR-IX 12.75 LOA 27MR18 FVRS1LAC
TULIP TELECOM LIMITED 12.75 LOA 26AP18 FVRS1LAC
TYCHE TECHNOLOGIES PRIVATE LIMITED SR-A 13.5 NCD 08AP20 FVRS1LAC
TYCHE TECHNOLOGIES PRIVATE LIMITED SR-B 14.5 NCD 08AP20 FVRS1LAC
U.P. POWER CORPORATION LIMITED 9.68 BD 14OT18 FVRS1LAC
U.P. POWER CORPORATION LIMITED SR-III-A 8.97 BD 15FB21 FVRS10LAC
U.P. POWER CORPORATION LIMITED SR-III-B 8.97 BD 15FB22 FVRS10LAC
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VANA ENTERPRISES LIMITED CCD 23AP19 FVRS100
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VATIKA ONE INDIA NEXT PRIVATE LIMITED 15 NCD 21MY18 FVRS10LAC
VATIKA ONE INDIA NEXT PRIVATE LIMITED SR-A RR NCD 31DC22 FVRS10LAC
VATIKA ONE INDIA NEXT PRIVATE LIMITED SR-B RR NCD 31DC22 PPRS851111
VAYU URJA BHARAT PRIVATE LIMITED SR-I BR OCD 24JN37 FVRS10
VECTOR GREEN ENERGY PRIVATE LIMITED 15 OCD 16FB37 FVRS1LAC
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VECTOR GREEN SUNSHINE LIMITED 16 LOA 02JU37 FVRS10LAC
VECTOR PROJECT (I) PVT LTD SR-1 14 LOA 06OT19 FVRS1LAC
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VEDANTA LIMITED 8.65 NCD 27SP19 FVRS10LAC
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VELANKANI INFORMATION SYSTEMS PVT. LTD. SR-E 11 NCD 31MY23 FVRS10LACVELANKANI INFORMATION SYSTEMS PVT. LTD. SR-F 11 NCD 31MY23 FVRS10LAC
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VOLKSWAGEN FINANCE PRIVATE LIMITED SR-A 02 8.47 NCD 20SP19 FVRS10LACVOLKSWAGEN FINANCE PRIVATE LIMITED SR-A 02 8.65 NCD 29MY20 FVRS10LAC
VOLKSWAGEN FINANCE PRIVATE LIMITED SR-B 8.05 NCD 19JU20 FVRS10LAC
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VYSHALI ENERGY PRIVATE LIMITED 9.5 LOA 24AG26 FVRS1LAC
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WADHWA RESIDENCY PRIVATE LIMITED SR-B 19 CCD 01AG25 FVRS100
WALCHANDNAGAR INDUSTRIES LIMITED SR-I RR LOA 30SP23 FVRS1LAC
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WARDHA SOLAR (MAHARASHTRA) PRIVATE LIMITED SR-I 10.5 LOA 16FB37 FVRS100WSPF 9.2 BD 20DC17 FV RS 1 LAC
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WATERMARK INFRATECH PVT. LTD. OCD 29OT22 FVRS100
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100 100
100 100
100 100
10 10
10.000 10
1000000 1000000
WELLNEST INDIA PROJECTS PRIVATE LIMITED SR-A 16.5 LOA 22MR20 FVRS1CR
WELSHOP TRADING PRIVATE LIMITED CCD 17JN18 FVRS10
WELSHOP TRADING PRIVATE LIMITED RR NCD 23JN18 FVRS1LAC
WELSPUN CAPTIVE POWER GENERATION LIMITED SR-1 STRPP 2 9.84 NCD 30MR18 FVRS10LACWELSPUN CAPTIVE POWER GENERATION LIMITED SR-1 STRPP 3 9.84 NCD 30MY19 FVRS10LACWELSPUN CORP LIMITED 11 LOA 09NV22 FVRS10LAC
WELSPUN CORP LIMITED9.55 LOA 03AG25 FVRS10LAC
WELSPUN DELHI MEERUT EXPRESSWAY PRIVATE LIMITED CCD 30SP21 FVRS100WELSPUN DELHI MEERUT EXPRESSWAY PRIVATE LIMITED CCD 29DC21 FVRS100WELSPUN DELHI MEERUT EXPRESSWAY PRIVATE LIMITED CCD 26FB22 FVRS100WELSPUN ENERGY RAJASTHAN PRIVATE LIMITED RR CCD 15AP25 FVRS10WELSPUN ENERGY THERMAL PRIVATE LIMITED CCD 31MR27 FVRS10
WELSPUN RENEWABLES ENERGY PRIVATE LIMITED SR-1 8 NCD 31JN22 FVRS10LAC
11 11
10 10
10 10
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000.000 100000
100000.000 100000
100000.000 100000
100000.000 100000
100000.000 100000
WELSPUN SOLAR MADHYA PRADESH PRIVATE LIMITED RR CCD 31MR24 FVRS11
WELSPUN STEEL LIMITED CCD 19DC17 FVRS10
WELSPUN STEEL LIMITED CCD 11JN18 FVRS10
WEST BENGAL FIN CORP9.3 BD 12DC18 FVRS1LAC
WEST BENGAL FIN CORP8.9 BD 25MR19 FVRS1LAC
WEST BENGAL FIN CORP8.6 BD 30DC19 FVRS1LAC
WEST BENGAL FIN CORP8.6 BD 03MR20 FVRS1LAC
WEST BENGAL FINANCIAL CORPORATION 9.6 BD 05SP21 FVRS1LACWEST BENGAL FINANCIAL CORPORATION 9.48 BD 27MR22 FVRS1LACWEST BENGAL FINANCIAL CORPORATION 9.52 BD 02MY22 FVRS1LACWEST BENGAL FINANCIAL CORPORATION 9.7 BD 21JU22 FVRS1LACWEST BENGAL FINANCIAL CORPORATION 9.7 BD 31AG22 FVRS1LACWEST BENGAL FINANCIAL CORPORATION 9.65 BD 30JN23 FVRS1LAC
100000 100000
100000 100000
100000 100000
1000000 1000000
1000000 1000000
30000000 28000000
10000000 9296000
1000000 1000000
1000000 1000000
1000000 1000000
1000000.000 600000
1000000 1000000
1000000 1000000
WEST BENGAL FINANCIAL CORPORATION SR-XV 9.7 BD 24FB24 FVRS1LACWEST BENGAL FINANCIAL CORPORATION SR-XV 9.8 BD 08JL24 FVRS1LACWEST BENGAL FINANCIAL CORPORATION SR-XV 3RD ISSUE 9.8 BD 05MY26 FVRS1LACWEST BENGAL INFRA DEV FIN CORP9.15 BD 06AP20 FVRS10LACWEST BENGAL INFRA DEV FIN CORP9.2 BD 06AP20 FVRS10LAC
WEST BENGAL STATE ELECTRICITY BOARD8.5 BD 01JN18 FVRS 280 LACWEST BENGAL STATE ELECTRICITY BOARD8.5 BD 01JN18 FV RS 9296000WEST BENGAL STATE ELECTRICITY DIST CO LTD9.34 LOA 16AG25 FVRS10LACWEST BENGAL STATE ELECTRICITY DIST CO LTD9.34 LOA 25OT25 FVRS10LACWEST BENGAL STATE ELECTRICITY DIST CO LTD SR-III 10.85 LOA 04AG26 FVRS10LACWEST BENGAL STATE ELECTRICITY TRANS.CO.LTD 9.75 BD 16OT19 FVRS6LACWEST BENGAL STATE ELECTRICITY TRANS.CO.LTD 10.29 BD 26JL21 FVRS10LACWEST GUJARAT EXPRESSWAY LTDRR NCD 30JU20 FVRS10LAC
100000 100000
100000 100000
100000 100000
10000000 10000000
10000000 10000000
10000000 10000000
10000000 10000000
10000000 10000000
10000000 10000000
10000000 10000000
20000.000 20000
10000 10000
99043.43 99043.43
WEST GUJARAT EXPRESSWAY LIMITED SR-A 10.2 LOA 31JN23 FVRS1LACWEST GUJARAT EXPRESSWAY LIMITED SR-C 8 LOA 15SP23 FVRS1LACWEST GUJARAT EXPRESSWAY LIMITED SR-B 11.05 LOA 15SP23 FVRS1LACWESTBURY CONSTRUCTION PRIVATE LIMITED SR A 18 NCD 31JN18 FVRS1CRWESTBURY CONSTRUCTION PRIVATE LIMITED SR C1 18 NCD 31JN18 FVRS1CRWESTBURY CONSTRUCTION PRIVATE LIMITED SR C2 18 NCD 31JN18 FVRS1CR
WESTBURY CONSTRUCTION PRIVATE LIMITED SR C3 18 NCD 31JN18 FVRS1CRWESTBURY CONSTRUCTION PRIVATE LIMITED SR D1 18 NCD 31JN18 FVRS1CRWESTBURY CONSTRUCTION PRIVATE LIMITED SR D2 18 NCD 31JN18 FVRS1CRWESTBURY CONSTRUCTION PRIVATE LIMITED SR D3 18 NCD 31JN18 FVRS1CRWESTBURY CONSTRUCTION PRIVATE LIMITED 18 NCD 31MR19 FVRS20000WESTERLY RETAIL PRIVATE LIMITED RR NCD 08FB37 FVRS10000
WESTERN UP TOLLWAY LTD SR-B 10.6 NCD 28FB25 FVRS99043.43
99043.430 99043.430
100 100
100 100
10 10
100.000 100
100000 100000
100000 100000
100000.000 100000
100000 100000
100000 100000
100000 100000
1000000 1000000
1000000 1000000
WESTERN UP TOLLWAY LTD SR-D 9.7 NCD 28FB25 FVRS99043.43
WESTERN UP TOLLWAY LTD SR-C BR NCD 28FB26 FVRS100
WESTERN UP TOLLWAY LTD SR-A BR NCD 08MR26 FVRS100
WHISPERING HEIGHTS REAL ESTATE PRIVATE LIMITED 13 CCD 20SP27 FVRS10WHISPERING HEIGHTS REAL ESTATE PRIVATE LIMITED SR-A 13 NCD 17SP37 FVRS100WINSOL SOLAR FIELDS (POLEPALLY) PRIVATE LIMITED 12 CCD 30NV18 FVRS1LACWINSOL SOLAR FIELDS (POLEPALLY) PRIVATE LIMITED 12 CCD 31MR19 FVRS1LACWINSOL SOLAR FIELDS (POLEPALLY) PRIVATE LIMITED 12 CCD 30MY19 FVRS1LACWINSOL SOLAR FIELDS (POLEPALLY) PRIVATE LIMITED 12 CCD 13JL19 FVRS1LACWINSOL SOLAR FIELDS (POLEPALLY) PRIVATE LIMITED 12 CCD 22AG19 FVRS1LACWINSOL SOLAR FIELDS (POLEPALLY) PRIVATE LIMITED 12 CCD 08DC19 FVRS1LACWOODSIDE PARKS LIMITED 11.7 LOA 18MR19 FVRS10LAC
WRITERS AND PUBLISHERS PRIVATE LIMITED RR LOA 30JN20 FVRS10LAC
1000000 1000000
1000000.000 1000000
1000000 1000000
1000000 1000000
10 10
10 10
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
WRITERS AND PUBLISHERS PRIVATE LIMITED RR LOA 30AP20 FVRS10LAC
WRITERS AND PUBLISHERS PRIVATE LIMITED SR-NEW ISSUE RR LOA 30AP20 FVRS10LACXANDER FINANCE PRIVATE LIMITED SR-I 11.5 LOA 03FB18 FVRS10LAC
XANDER FINANCE PRIVATE LIMITED SR-II 11.5 LOA 03AG18 FVRS10LAC
YARROW INFRASTRUCTURE PRIVATE LIMITED RR CCD 21NV26 FVRS10
YARROW INFRASTRUCTURE PRIVATE LIMITED RR CCD 15AG27 FVRS10
YES BANK LIMITED9.65 BD 22JN20 FVRS10LAC
YES BANK LIMITED9.65 BD 30AP20 FVRS10LAC
YES BANK LIMITED9.3 BD 30AP20 FVRS10LAC
YES BANK LIMITED 10.3 BD 25JL21 FVRS10LAC
YES BANK LIMITED 10.20 BD 28OT21 FVRS10LAC
YES BANK LIMITED 9.9 BD 28MR22 FVRS10LAC
YES BANK LIMITED10.4 BD 20AP22 FVRS10LAC
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
YES BANK LIMITED 10 BD 23AG22 FVRS10LAC
YES BANK LIMITED 10 BD 10SP22 FVRS10LAC
YES BANK LIMITED 10 BD 16OT22 FVRS10LAC
YES BANK LIMITED 9.9 BD 31OT22 FVRS10LAC
YES BANK LIMITED10.7 BD 08NV22 FVRS10LAC
YES BANK LIMITED11.75 BD 15SP23 FVRS10LAC
YES BANK LIMITED 7.62 BD 29DC23 FVRS10LAC
YES BANK LIMITED SR-I 8.85 BD 24FB25 FVRS10LAC
YES BANK LIMITED 9.15 BD 30JU25 FVRS10LAC
YES BANK LIMITED 8.95 BD 05AG25 FVRS10LAC
YES BANK LIMITEDRR BD 14AG25 FVRS10LAC
YES BANK LIMITEDRR BD 08SP25 FVRS10LAC
YES BANK LIMITED 8.9 BD 31DC25 FVRS10LAC
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000.000 1000000
1000000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
YES BANK LIMITED 9 BD 15JN26 FVRS10LAC
YES BANK LIMITED 9.05 BD 20JN26 FVRS10LAC
YES BANK LIMITED 9 BD 31MR26 FVRS10LAC
YES BANK LIMITED 8 BD 30SP26 FVRS10LAC
YES BANK LIMITED 10.25 BD 29JU27 FVRS10LAC
YES BANK LIMITED 10.15 BD 28SP27 FVRS10LAC
YES BANK LIMITED 7.8 BD 29SP27 FVRS10LAC
YES BANK LIMITED 7.8 BD 01OT27 FVRS10LAC
YES BANK LIMITED 10.25 BD 10NV27 FVRS10LAC
YES BANK LIMITED 10.05 BD 27DC27 FVRS10LAC
YES BANK LIMITED10.25 PERPETUAL BD FVRS10LAC
YES BANK LIMITED10.25 PERPETUAL BD FVRS10LAC
YES BANK LIMITEDRR PERPETUAL BD FVRS10LAC
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000.000 1000
1000.000 1000
1000.000 1000
1000.000 1000
1000.000 1000
1000.000 1000
1000.000 1000
1000.000 1000
1000.000 1000
YES BANK LIMITEDRR PERPETUAL BD FVRS10LAC
YES BANK LIMITED SR-I 10.5 BD PERPETUAL FVRS10LAC
YES BANK LIMITED 9.5 BD PERPETUAL FVRS10LAC
YES CAPITAL (INDIA) PRIVATE LIMITED SR 1 NCD 12OT20 FVRS10LAC
YG REALTY PRIVATE LIMITED CLASS-B RR CCD 25JU25 FVRS1000
YG REALTY PRIVATE LIMITED CLASS-C RR CCD 25JU25 FVRS1000
YG REALTY PRIVATE LIMITED CLASS-D RR CCD 25JU25 FVRS1000
YG REALTY PRIVATE LIMITED CLASS-E RR CCD 25JU25 FVRS1000
YG REALTY PRIVATE LIMITED CLASS -A RR CCD 25JU25 FVRS1000
YG REALTY PRIVATE LIMITED CLASS-F RR CCD 07AG25 FVRS1000
YG REALTY PRIVATE LIMITED CLASS-G RR CCD 20JN26 FVRS1000
YG REALTY PRIVATE LIMITED CLASS-H RR CCD 08OT26 FVRS1000
YG REALTY PRIVATE LIMITED CLASS-I RR CCD 31MR27 FVRS1000
1000.000 1000
1000000 1000000
100000.000 100000
100000.000 100000
100000 100000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
100000 100000
100000 100000
YG REALTY PRIVATE LIMITED CLASS-J RR CCD 31MR27 FVRS1000
YG REALTY PRIVATE LIMITED SR-E LOA 23AP27 FVRS10LAC
YOGAKSHEMAM LOANS LIMITED 11.5 NCD 26SP19 FVRS1LAC
YUDHVEER BUILDCON PRIVATE LIMITED NCD 14JU21 FVRS1LAC
YUTNESH DEVELOPERS PRIVATE LIMITED NCD 14JU21 FVRS1LAC
ZEE LEARN LIMITED SR-ZLL LOA 08JL20 FVRS10LAC
ZEN LEFIN PRIVATE LIMITED SR-2 12.51 NCD 29JU18 FVRS10LAC
ZEN LEFIN PRIVATE LIMITED SR-1-150 12.26 XIRR NCD 12OT18 FVRS10LACZEN LEFIN PRIVATE LIMITED SR-1-150 11.4 XIRR NCD 07MR19 FVRS10LACZEN LEFIN PRIVATE LIMITED SR-1-170 13.25 NCD 28JL22 FVRS10LAC
ZODIAC DEVELOPERS PRIVATE LIMITED 18 NCD 01MR18 FVRS1LAC
ZUKA POWER PRIVATE LIMITED 11.5 LOA 08FB20 FVRS1LAC
Redemption Coupon Rate
8/12/2016 8/24/2019 16.43%
8/4/2016 4/25/2018 9.95%
3/1/2017 4/15/2019 9.25%
8/4/2016 4/29/2019 9.95%
2/6/2017 4/9/2020 9.75%
2/8/2017 4/9/2020 9.75%
2/13/2017 4/15/2020 9.25%
4/24/2017 4/15/2020 9.35%
5/15/2017 4/24/2020 0%
8/4/2016 4/27/2020 9.95%
4/24/2017 4/15/2021 9.35%
6/20/2016 4/29/2021 10%
Issue Date/Date of Allotment
10/14/2016 10/12/2018 12.26% XIRR
3/7/2017 3/7/2019 11.4% XIRR
3/15/2017 3/15/2020 12.64%
8/30/2016 8/30/2022 15.50%
9/9/2016 9/9/2022 15.5%
9/15/2017 9/15/2022 12.96%
10/5/2017 10/5/2022 12.96%
8/21/2017 8/21/2022
11/27/2014 11/27/2017
3/26/2013 3/26/2018
6/21/2013 3/26/2018
11/27/2014 11/27/2018
11/27/2014 11/27/2019
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
ICICI BANK BASE RATE + SPREAD 2.25%
ICICI BANK BASE RATE + SPREAD 2.25% PRESENTLY
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
12/16/2014 4/18/2018
1/9/2015 4/26/2018
5/30/2014 4/5/2019
12/16/2014 4/18/2019
9/21/2016 4/30/2019 2.6%
12/16/2014 11/18/2019
5/30/2014 4/5/2020
1/30/2015 4/13/2020
2/27/2015 4/13/2020
9/21/2016 4/15/2020 2.6%
1/11/2017 4/28/2020 0%
1/11/2017 4/28/2020 0%
9/21/2016 4/15/2021 2.6%
RESET RATE (REFER REMARKS)
0% (NCD SHALL BE REDEEMABLE AT A PREMIUM OF SUCH AMOUNT WHICH GIVES RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARK)
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
3/20/2017 6/25/2021 0%
9/21/2016 4/15/2022 2.6%
3/20/2017 6/27/2022 0%
7/23/2015 6/30/2018 24%
7/23/2015 6/30/2018
1/25/2017 12/15/2022 19.75%
4/17/2017 12/15/2022 19.75%
7/26/2016 3/31/2022 17.57%
11/8/2016 12/7/2017 0%
12/18/2015 12/17/2019 18%
2/5/2014 12/31/2017 15%
8/18/2016 8/17/2021 12%
2/26/2015 2/26/2018 18.5%
RESET RATE (REFER REMARKS)
10/5/2015 10/5/2018 18%
8/11/2014 8/10/2024 11%
7/5/2016 6/15/2022 19.25%
6/15/2017 6/14/2022 16%
7/4/2017 7/4/2022 16%
2/29/2016 2/27/2018 12.78% XIRR
4/22/2016 5/13/2019 14.3%
11/3/2016 11/30/2020 14.25%
3/30/2016 3/30/2021 13.5267%
4/29/2016 4/29/2021 13.5267%
7/25/2016 7/25/2021 13.5267%
12/31/2015 4/15/2022 15%
3/10/2017 6/12/2020 13.05%
4/1/2015 4/1/2018 11.25%
4/1/2015 4/1/2018 NA
4/1/2015 4/1/2018 11.25%
5/18/2016 5/18/2018 10.25%
5/18/2016 5/18/2018 0%
4/1/2015 4/1/2019 11.5%
4/1/2015 4/1/2019 11.5%
4/1/2015 4/1/2019 NA
5/18/2016 5/18/2019 10.5%
5/18/2016 5/18/2019 10.5%
5/18/2016 5/18/2019 0%
5/18/2016 5/18/2020 11%
5/18/2016 5/18/2020 11%
5/18/2016 5/18/2020 0%
3/29/2016 4/15/2022 13.5%
2/12/2016 2/11/2021 1%
3/31/2016 3/30/2021 1%
10/1/2014 9/30/2019 1%
4/1/2013 3/31/2018 1%
3/26/2015 3/25/2020 1%
10/1/2015 9/30/2020 1%
5/20/2017 5/19/2018 0%
1/6/2017 7/6/2019 0%
2/29/2016 2/27/2018 12.78% XIRR
7/1/2016 6/29/2018 12.51% XIRR
3/7/2017 3/7/2019 11.4% XIRR
6/29/2016 6/29/2022 16.9%
7/4/2016 6/30/2022 15.25%
10/3/2016 10/3/2018 12.85% XIRR
11/2/2016 7/31/2018 20%
8/3/2016 2/3/2020 20%
11/2/2016 4/30/2020 20%
11/2/2016 4/30/2020 20%
9/22/2017 9/22/2020 NIFTY 50 INDEX LINKED
9/1/2016 11/30/2017 0%
11/19/2015 12/19/2018 0%
12/3/2015 1/3/2019 ZERO COUPON
1/8/2016 1/8/2021 0%
8/12/2016 8/24/2019 16.43%
9/11/2015 9/10/2019 18%
3/31/2017 3/29/2024 9.5%
4/25/2014 4/25/2021 8%
4/18/2016 4/18/2023 3%
8/8/2017 12/20/2035 14%
1/11/2017 10/11/2018 NA
1/11/2017 7/11/2019 NA
1/11/2017 1/11/2020 NA
4/28/2010 3/31/2022 15%
12/28/2007 3/31/2022 15%
6/30/2010 3/31/2022 15%
7/30/2010 3/31/2022 15%
1/19/2011 3/31/2022 15.5%
7/30/2011 3/31/2022 15.5%
4/13/2017 3/31/2022
4/13/2017 3/31/2022
1/19/2011 3/31/2022 15.5%
4/13/2017 3/31/2022
2/21/2014 3/31/2022 15%
4/18/2011 3/31/2022 15.5%
9/27/2017 3/31/2022
6/18/2007 3/31/2022 15%
8/10/2007 3/31/2022 15%
10/19/2007 3/31/2022 15%
8/4/2008 3/31/2022 15%
5/17/2009 3/31/2022 15%
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
8/13/2009 3/31/2022 15%
2/16/2010 3/31/2022 15%
11/4/2015 9/30/2019 16%
10/10/2017 9/30/2022 16%
7/15/2014 7/15/2021 0%
5/8/2015 2/28/2019 18%
5/20/2015 2/28/2019 18%
6/22/2015 2/28/2019 18%
7/17/2015 2/28/2019 18%
7/17/2015 2/28/2019 18%
8/7/2015 2/28/2019 18%
8/17/2015 2/28/2019 18%
8/27/2015 2/28/2019 18%
9/3/2015 2/28/2019 18%
9/11/2015 2/28/2019 18%
9/14/2015 2/28/2019 18%
12/15/2011 12/13/2020
12/15/2011 12/13/2020 0.01%
12/15/2011 12/13/2020 0.01%
12/15/2011 12/13/2020 0.01%
6/30/2016 6/30/2018 12.5%
9/14/2012 9/14/2018 RESET RATE
9/24/2015 9/24/2018 14.65%
10/3/2016 10/3/2018 11% XIRR
6/30/2016 12/31/2018 12.5%
12/22/2015 1/13/2019 14%
0.01% (EFFECTIVE FROM 1ST APRIL 2015)
3/29/2016 3/28/2019 14.3%
4/5/2016 4/4/2019 14.3%
5/27/2016 5/28/2019 13%
6/30/2016 6/30/2019 12.5%
7/31/2015 7/31/2019 13.75%
9/20/2017 9/20/2019 13.50%
9/27/2013 9/27/2019 14.7%
7/15/2014 10/16/2019 18% ON XIRR
11/11/2016 11/11/2019 12%
9/26/2014 11/13/2019 14.37%
12/26/2016 12/9/2019 12.25%
7/15/2014 6/15/2020 14.7%
3/20/2015 9/20/2020 16.9%
11/3/2016 11/30/2020 13.35%
3/30/2015 12/18/2020 17.75%
5/8/2015 12/18/2020 14.5%
6/30/2015 6/30/2021
10/5/2015 9/15/2021 14.15%
12/30/2015 4/15/2022 15.5%
6/28/2016 9/28/2022 15.5%
6/29/2016 9/30/2022 15%
10/3/2017 10/3/2022 12.06%
6/29/2016 12/31/2022 15%
6/29/2016 3/31/2023 15%
6/29/2016 6/30/2023 15%
6/15/2016 6/15/2025 13.25%
SBI BASE RATE LINKED (SBI BASE + 6.15% i.e. 15.85% CURRENTLY)
10/1/2014 9/30/2019 1%
10/1/2015 9/30/2020 1%
9/28/2016 9/27/2019 0%
11/24/2016 9/30/2019 14%
1/22/2008 1/22/2018 9.95%
3/28/2012 3/28/2019 9.85%
9/28/2012 9/28/2019 9.5%
8/9/2017 8/7/2020 7.55%
11/26/2014 11/26/2021 9%
2/25/2016 4/25/2022 9.65%
7/17/2017 5/17/2023 8.30%
10/17/2016 10/17/2023 8.1%
8/25/2010 8/25/2020 8.75%
7/29/2011 7/29/2021 9.22%
1/9/2015 1/9/2020 ZERO COUPON
1/15/2015 1/15/2028 15%
3/18/2015 3/18/2028 15%
3/20/2015 3/20/2028 15%
9/8/2017 8/10/2021 6%
8/11/2017 8/10/2022 13.5%
3/30/2015 12/15/2028 10%
7/30/2016 7/30/2021 12.7%
4/23/2013 4/23/2031 ZERO COUPON
7/25/2017 7/24/2027 9.5%
7/25/2017 7/24/2027 9.5%
7/25/2017 7/24/2027 9.5%
7/25/2017 7/24/2027 9.5%
11/2/2016 11/1/2028 13.5%
7/25/2017 7/24/2027 9.5%
7/25/2017 7/24/2027 9.5%
7/25/2017 7/24/2027 9.5%
1/13/2017 1/13/2023
7/25/2017 7/24/2027 9.5%
11/2/2016 11/1/2028 13.5%
11/9/2016 11/8/2026
11/4/2011 11/4/2041 13%
12/15/2008 12/15/2059 13%
10/30/2014 10/30/2017 9.36%
10/30/2014 12/30/2017 9.36%
SBI BASE RATE PLUS 500 BASIS POINTS ON THE DATE OF ISSUE OF NCD
RESET RATE (REFER REMARKS)
7/8/2011 7/8/2021 11.40%
5/21/2014 5/21/2019 NA
5/21/2014 5/21/2019 NA
1/30/2016 1/31/2019 18%
3/29/2016 1/31/2019 18%
3/29/2016 1/31/2019 18%
3/29/2016 1/31/2019 18%
2/29/2016 1/31/2019 18%
3/23/2016 1/31/2019 18%
3/29/2016 1/31/2019 18%
7/7/2016 1/31/2019 18%
7/11/2016 1/31/2019 18%
7/28/2016 1/31/2019 18%
9/7/2016 2/23/2018 17%
9/28/2016 2/23/2042 17%
6/9/2017 6/8/2042 13%
7/6/2015 6/30/2019 18%
7/8/2015 7/7/2018 17.25%
7/14/2014 7/13/2018 12%
7/14/2014 7/13/2018 12%
11/16/2016 10/31/2018 18%
5/12/2015 5/12/2028 15%
5/20/2015 5/20/2028 15%
5/26/2015 5/26/2028 15%
6/1/2015 6/1/2028 15%
6/5/2015 6/5/2028 15%
6/15/2015 6/15/2028 15%
9/24/2015 8/8/2018 9.87%
8/4/2015 9/13/2018 9.9%
1/13/2016 3/12/2019 9.75%
2/24/2016 4/15/2019 9.75%
3/15/2016 4/15/2019 9.75%
6/3/2016 6/3/2019 11%
6/21/2016 6/3/2019 11%
7/29/2016 6/3/2019 11%
7/29/2016 6/3/2019 11%
11/28/2016 11/28/2019 9.95%
12/7/2016 11/28/2019 9.95%
12/13/2016 11/28/2019 9.95%
2/20/2017 11/28/2019 9.95%
1/13/2015 4/30/2018 10.81%
12/29/2015 4/30/2019
3/31/2010 3/31/2018 13.75%
3/29/2010 3/31/2018
5/30/2017 5/27/2020 0%
6/2/2017 6/2/2020 0%
6/12/2017 7/10/2020 0%
3/31/2017 3/31/2022 12%
11/23/2015 12/23/2018 14.25%
8/9/2017 8/9/2021 17%
3/2/2017 3/31/2022 14.5%
3/2/2017 3/31/2022
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
3/2/2017 3/31/2022
9/3/2016 9/3/2018 22%
10/7/2015 10/6/2035
10/7/2015 10/6/2035
8/24/2017 8/23/2020 13.25%
3/10/2017 6/12/2020 13.05%
9/27/2013 9/26/2018 6%
10/7/2015 12/31/2019 17%
3/31/2017 9/30/2021
10/27/2015 12/31/2019 18%
4/11/2016 12/31/2019 18%
5/29/2015 5/28/2018 18%
6/12/2015 5/28/2018 18%
RESET RATE (REFER REMARKS)
SBI BASE RATE LINKED. SBI BASE RATE PLUS 5% PER ANNUM UPTO MAXIMUM OF 15%SBI BASE RATE LINKED. SBI BASE RATE PLUS 5% PER ANNUM UPTO MAXIMUM OF 15%
RESET RATE (REFER REMARKS)
6/23/2015 5/28/2018 18%
8/28/2015 5/28/2018 18%
12/28/2015 5/28/2018 18%
2/2/2016 5/28/2018 18%
3/3/2016 5/28/2018 18%
4/18/2016 5/28/2018 18%
5/19/2016 5/28/2018 18%
7/5/2016 5/28/2018 18%
5/26/2017 5/28/2018 18%
3/23/2007 3/23/2022 9.75% (Refer Remark)
8/14/2007 8/14/2022 10.75%
8/14/2007 8/14/2022 10.75%
2/16/2016 3/16/2019 14.25%
3/1/2014 3/1/2018
8/5/2015 8/4/2025 0%
4/3/2012 3/31/2024 11.7%
12/24/2012 3/31/2024 11.3%
10/10/2016 9/30/2021 19%
10/30/2016 10/30/2021 16%
10/10/2017 9/30/2022 16%
12/30/2016 6/30/2020 14%
7/22/2016 3/31/2020
5/23/2016 3/31/2022
8/18/2017 3/31/2023
7/13/2016 9/30/2020
8/12/2016 8/24/2019 15.75%
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
6/8/2016 5/16/2026 10.7%
1/27/2017 1/16/2027 10.7%
6/9/2017 5/5/2027 10.7%
1/7/2013 1/7/2018 14%
6/10/2015 6/30/2018 18%
11/10/2016 12/31/2019 0%
11/23/2010 11/23/2017 10.50%
12/13/2010 12/13/2017 10.60%
1/4/2014 1/4/2018 10.75%
1/4/2014 1/4/2018 NA
7/25/2016 3/22/2018 8.8455%
3/27/2015 3/27/2018 9.1%
8/12/2015 8/10/2018 9.07%
10/30/2015 10/30/2018 8.95%
6/23/2017 12/24/2018 7.95%
1/4/2014 1/4/2019 10.75%
1/4/2014 1/4/2019 NA
1/4/2014 1/4/2019 10.75%
1/16/2012 1/16/2019 11.85%
2/27/2012 2/27/2019 11.85%
3/15/2012 3/15/2019 11.85%
3/26/2012 3/26/2019 11.85%
5/3/2014 5/3/2019 10.85% (REFER REMARKS)
5/3/2014 5/3/2019 NA
10/7/2016 10/7/2019 8.25%
12/31/2012 12/31/2019 11.15%
1/7/2013 1/7/2020 11.15%
3/10/2017 4/16/2020 0% (8.2% XIRR)
6/14/2017 5/27/2020 0% (8.15% XIRR)
6/17/2015 6/17/2020 9.3%
6/22/2015 6/22/2020 9.3%
6/14/2017 6/30/2020 0% (8.15% XIRR)
2/4/2011 2/4/2021 10.75%
3/30/2015 4/4/2018 0%
4/7/2015 4/9/2018 0%
4/7/2015 4/20/2018 0%
3/4/2015 4/24/2018 0%
3/23/2015 4/26/2018 0%
1/19/2012 7/19/2018 12.15%
12/23/2011 12/23/2021 12.20%
1/13/2012 1/13/2022 12.20%
3/22/2013 3/22/2023 10.75%
6/25/2013 6/25/2023 10.20%
6/28/2013 6/28/2023 10.15%
7/3/2013 7/3/2023 10.15%
8/12/2014 8/12/2024 10.6%
2/27/2015 2/27/2025 9.9%
4/16/2015 4/16/2025 9.9%
12/2/2014 12/1/2017
12/26/2014 12/26/2017 9.3%
8/12/2016 2/12/2018 8.7584%
8/12/2016 4/25/2018 0%
KMBL BENCHMARK LINKED
6/28/2016 6/28/2018 9.50%
10/6/2015 10/8/2018 0%
9/12/2016 9/12/2019 8.97%
9/21/2016 9/19/2019 8.97%
11/25/2016 11/25/2019 8.45%
12/26/2014 12/26/2019 9.25%
10/27/2015 10/27/2020 9%
10/10/2014 10/10/2021 10.25%
10/13/2014 10/13/2021 10.25%
12/26/2014 12/26/2021 9.35%
4/29/2016 4/29/2023 9%
5/2/2016 5/2/2023 9%
10/10/2014 10/10/2024 10.3%
6/30/2015 6/28/2019 0% XIRR
10/23/2012 10/23/2017 10.2%
10/23/2012 10/23/2017 10.2%
11/6/2012 11/6/2017 10.2%
11/8/2012 11/8/2017 10.2%
11/11/2014 11/10/2017 9.55%
12/19/2014 12/19/2017 9.2%
1/15/2013 1/15/2018 10.3%
12/31/2014 1/15/2018 0%
1/17/2013 1/17/2018 ZERO COUPON
1/29/2013 1/23/2018 9.69%
11/11/2014 2/12/2018 9.55%
2/26/2015 2/26/2018 9.27%
2/24/2015 3/6/2018 0%
3/13/2013 3/13/2018 9.75%
7/21/2016 3/13/2018 8.696%
3/15/2013 3/15/2018 9.65%
2/24/2015 3/15/2018 0%
3/30/2015 4/4/2018 0%
3/2/2015 4/10/2018 0%
11/11/2014 4/11/2018 9.55%
4/20/2015 4/20/2018 9%
3/2/2015 4/26/2018 0%
8/5/2016 6/5/2018 8.7229%
3/7/2013 6/7/2018 10.6%
11/11/2014 6/11/2018 9.55%
6/25/2013 6/25/2018 9.55%
6/27/2013 6/27/2018 9.6%
1/2/2012 6/29/2018 11.45%
8/5/2016 7/5/2018 8.7355%
2/24/2015 7/19/2018 0%
12/31/2012 7/31/2018 10.6%
8/1/2013 7/31/2018 9.8% (REFER REMARKS)
8/1/2013 7/31/2018 9.4% (REFER REMARK)
8/1/2013 7/31/2018 NA (REFER REMARK)
8/4/2008 8/4/2018 12.00%
8/5/2016 8/4/2018 8.7495%
8/6/2013 8/6/2018 10.7%
8/17/2015 8/28/2018 0%
7/29/2016 8/29/2018 8.738%
1/30/2013 8/30/2018 10.6%
1/30/2013 8/30/2018 10.6%
9/13/2013 9/13/2018 10.8% p.a.
9/17/2013 9/17/2018 10.8%
7/29/2016 9/29/2018 8.7283%
7/15/2013 10/15/2018 10.25%
10/24/2013 10/24/2018 10.75% (REFER REMARK)
10/24/2013 10/24/2018 NA (REFER REMARK)
3/28/2013 10/28/2018 10.5%
3/28/2013 10/28/2018 10.5%
11/5/2008 11/5/2018 13.00%
11/7/2008 11/7/2018 13.00%
8/12/2013 11/12/2018 10.7%
6/12/2017 12/12/2018 7.85%
12/13/2013 12/13/2018 10.75%
12/22/2015 12/21/2018 8.75%
5/29/2013 12/28/2018 9.90%
12/29/2008 12/29/2018 13.00%
7/17/2017 1/17/2019 7.60%
12/10/2013 3/10/2019 10.67%
4/17/2015 3/13/2019 9.15%
3/15/2016 3/15/2019 9.1%
9/30/2016 3/29/2019 8.1145%
12/26/2013 4/5/2019 10.30%
12/14/2015 4/11/2019 0%
6/9/2017 6/7/2019 0%
6/9/2016 6/10/2019 8.85%
6/12/2017 6/12/2019 7.95%
6/13/2017 6/13/2019 7.95%
6/16/2017 6/14/2019 7.92%
7/5/2016 7/5/2019 9%
7/15/2014 7/15/2019 10%
7/15/2014 7/15/2019 9.57%
7/15/2014 7/15/2019 NA
7/15/2016 7/15/2019
7/21/2014 7/19/2019
8/22/2016 7/23/2019 0%
7/29/2016 7/29/2019 8.8%
RESET RATE (REFER REMARKS)
KOTAK BANK BASE RATE LINKED
8/2/2016 8/2/2019 8.8%
8/5/2014 8/5/2019
7/5/2016 8/5/2019 9%
7/18/2017 8/16/2019 7.7125%
8/19/2016 8/19/2019 8.5%
8/28/2014 8/28/2019
9/12/2014 9/12/2019
9/14/2016 9/12/2019 0%
9/19/2014 9/19/2019 9.75%
7/26/2016 9/20/2019 0%( XIRR @ 8.8%)
7/28/2016 9/20/2019 0% (XIRR @ 8.8%)
9/22/2016 9/20/2019 8.25%
9/30/2016 9/27/2019 8.25%
KOTAK BANK BASE RATE LINKED
KOTAK BANK BASE RATE LINKED
KOTAK BANK BASE RATE LINKED
9/30/2016 9/30/2019 8.15%
10/31/2009 10/31/2019 10.35%
11/24/2009 11/22/2019 10.35%
11/25/2016 11/25/2019 7.92%
11/28/2014 11/28/2019 9.95%
12/31/2009 12/31/2019 10.25%
1/19/2015 1/17/2020 9.35%
7/28/2014 1/28/2020 10.65%
1/29/2010 1/29/2020 10.25%
2/4/2015 2/4/2020 9.15%
2/15/2010 2/15/2020 10.25%
2/27/2017 2/27/2020 8%
3/24/2017 3/24/2020 8.1%
2/27/2017 4/16/2020 0% (8% XIRR)
4/19/2010 4/19/2020 10.90%
4/19/2010 4/19/2020 11.00%
4/20/2010 4/20/2020 11.00%
8/1/2016 4/27/2020 8.8228%
5/3/2010 5/3/2020 10.75%
5/10/2010 5/10/2020 10.50%
5/16/2013 5/16/2020 10.4%
5/20/2013 5/20/2020 10.4%
5/28/2010 5/28/2020 10.75%
5/29/2017 5/29/2020 7.95%
6/4/2010 6/4/2020 10.60%
6/9/2017 6/9/2020 0%
6/13/2017 6/12/2020 8%
6/23/2017 6/23/2020 0%
6/27/2017 6/26/2020 7.84%
6/27/2017 6/26/2020 0%
7/19/2017 7/17/2020 7.8%
7/24/2017 8/20/2020 0%
8/21/2013 8/21/2020 10.75%
9/13/2013 9/13/2020 10.6%
10/24/2013 10/24/2020 10.75% (REFER REMARK)
10/24/2013 10/24/2020 NA (REFER REMARK)
8/10/2017 11/10/2020 7.6414%
12/4/2015 12/4/2020 8.8%
3/18/2016 3/18/2021 9.25%
3/28/2014 3/28/2021 10.50%
3/29/2016 3/29/2021 9.25%
3/31/2011 3/31/2021 11.50%
4/13/2016 4/13/2021 9.15%
4/29/2016 4/29/2021 9.05%
7/5/2016 6/5/2021 8.3%
6/10/2016 6/10/2021 0%( XIRR 8.92%)
6/30/2016 6/30/2021 9.05%
7/15/2014 7/15/2021 10.15%
7/15/2014 7/15/2021 9.71%
7/15/2014 7/15/2021 NA
7/25/2017 7/26/2021 0%
8/3/2016 8/3/2021 8.85%
8/16/2016 8/16/2021 8.5%
8/30/2016 8/30/2021 8.45%
9/14/2011 9/13/2021 10.60%
9/19/2017 9/17/2021 7.60%
9/19/2014 9/19/2021 9.85%
9/19/2014 9/19/2021 9.85%
1/5/2015 1/5/2022
3/23/2017 3/23/2022 8.1%
6/11/2012 6/10/2022 10.75%
7/18/2017 7/18/2022 0%
7/20/2012 7/20/2022 10.85%
8/22/2017 8/22/2022 7.73%
12/31/2012 12/31/2022 10.65%
BENCHMARK+SPREAD i.e 10% - 0.1% RESULTING INTO YIELD OF 9.9% PAYABLE MONTHLY
1/30/2013 1/30/2023 10.65%
1/30/2013 1/30/2023 10.65%
3/7/2013 3/7/2023 10.65%
3/7/2013 3/7/2023 10.65%
3/8/2013 3/8/2023 10.65%
3/13/2013 3/13/2023 10.65%
3/28/2013 3/28/2023 10.65%
3/28/2013 3/28/2023 10.65%
5/2/2013 5/2/2023 10.65%
5/2/2013 5/2/2023 10.65%
5/21/2013 5/19/2023 10.25%
5/20/2013 5/20/2023 10.25%
5/25/2016 5/25/2023 9.05%
6/9/2016 6/9/2023 9.05%
6/24/2013 6/24/2023 10.15%
6/28/2013 6/28/2023 10.1%
7/5/2013 7/5/2023 9.60%
7/5/2013 7/5/2023 10.25%
7/15/2013 7/15/2023 9.6%
7/19/2016 7/19/2023 9.05%
8/14/2013 8/14/2023 10.5%
8/14/2013 8/14/2023 10.5%
8/27/2013 8/27/2023 10.50%
9/30/2015 9/29/2023 10.1%
9/30/2013 9/30/2023 10.75%
9/30/2013 9/30/2023 10.75%
10/4/2013 10/4/2023 11%
10/9/2013 10/9/2023 10.75%
12/13/2013 12/13/2023 10.75%
12/30/2013 12/30/2023 10.75%
3/28/2014 3/28/2024 10.60%
3/28/2014 3/28/2024 10.60%
12/1/2016 5/30/2024 8.5%
9/18/2014 9/18/2024 10.25%
9/19/2014 9/19/2024 10%
10/10/2014 10/10/2024 10.25%
10/31/2014 10/31/2024 10.1%
11/13/2014 11/13/2024 10%
11/28/2014 11/28/2024 9.9%
11/28/2014 11/28/2024 9.8%
8/30/2010 8/30/2025 11.00%
9/9/2010 9/9/2025 11.00%
3/18/2016 3/18/2026 9.3%
3/29/2016 3/27/2026 9.3%
4/13/2016 4/13/2026 9.22%
4/22/2016 4/22/2026 9.2%
8/8/2016 8/8/2026 8.87%
12/1/2016 12/1/2026 8.5%
12/29/2016 12/29/2026 8.5%
5/29/2013 5/29/2028 10%
10/15/2010 10/15/2028 11.05%
11/30/2016 11/30/2026 10%
12/19/2014 12/19/2024 12%
6/21/2016 6/21/2023 12.3%
3/28/2016 4/15/2022 13%
6/27/2016 6/25/2021 11%
3/31/2017 3/31/2019 11%
3/31/2017 3/31/2020 11%
3/31/2017 3/31/2021 11%
3/31/2017 3/31/2022 11%
3/31/2017 3/31/2023 11%
6/27/2016 5/31/2020 13.75%
7/22/2016 10/31/2018 18.5%
5/3/2016 4/30/2020 19%
12/2/2016 1/2/2020 RESET RATE (REFER REMARKS)
7/16/2014 7/16/2018 10.05%
7/16/2014 7/16/2019 10.05%
7/24/2015 6/17/2020 11.25%
1/22/2015 4/25/2018
1/22/2015 1/22/2020
12/26/2013 12/26/2020 11.25%
3/11/2014 3/11/2021 11.25%
3/18/2014 3/18/2021 11.25%
3/28/2014 3/28/2021 11.25%
7/9/2014 7/9/2021 11.15%
7/28/2014 7/28/2021 11.15%
6/29/2012 6/29/2022 11%
12/6/2012 12/6/2022 10.75%
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
12/31/2012 12/31/2022 10.75%
2/12/2013 2/12/2023 10.4%
6/17/2015 6/17/2020 11.25%
3/2/2015 3/1/2020 22.95%
3/2/2015 3/1/2020 22.95%
4/11/2012 4/11/2019
6/1/2011 6/1/2019 14.04%
10/8/2015 10/8/2020 9.41%
6/11/2014 6/11/2021 10.7%
9/30/2014 9/30/2021 10.7%
2/18/2009 2/18/2018 11.50%
10/8/2015 10/8/2020 9.41%
6/11/2014 6/11/2021 10.70%
RESET RATE (REFER REMARKS)
9/30/2014 9/30/2021 10.70%
5/27/2016 5/27/2026 9.36%
5/14/2015 5/14/2018 8%
7/22/2015 7/22/2018 8%
10/9/2015 10/9/2018 8%
2/28/2017 9/30/2021 0.00001%
10/20/2016 10/19/2021 0.00001%
1/22/2015 1/21/2019 14%
3/30/2015 3/30/2018 11.48%
5/15/2015 5/15/2018 11.95%
5/15/2015 5/15/2018 11.95%
3/20/2017 12/31/2019 13%
3/27/2017 12/31/2019 13%
4/18/2017 12/31/2019 13%
4/26/2017 12/31/2019 13%
5/6/2017 12/31/2019 13%
5/18/2017 12/31/2019 13%
6/6/2017 12/31/2019 13%
7/13/2017 12/31/2019 13%
9/29/2016 3/31/2020 16.53%
10/21/2016 8/31/2020 16.53%
10/20/2016 8/31/2020 16.53%
10/17/2016 8/31/2020 16.53%
10/25/2016 8/31/2020 16.53%
10/27/2016 8/31/2020 16.53%
11/29/2016 8/31/2020 16.53%
3/9/2017 8/31/2020 16.53%
9/19/2017 8/31/2021 13%
1/3/2017 4/10/2020 9.35%
6/19/2017 4/10/2020 9.35%
6/21/2017 6/30/2020 13%
8/3/2016 8/2/2021
8/29/2017 8/28/2022
9/20/2017 9/18/2020 9.40%
3/9/2015 3/9/2018 8.2%
3/20/2015 3/20/2018 8.27%
3/9/2015 6/7/2018 8.2%
3/20/2015 6/20/2018 8.27%
3/30/2015 6/20/2018 8.25%
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
2/26/2016 2/26/2019 8.28%
2/17/2016 3/15/2019 8.04%
1/29/2016 3/26/2019 7.98%
2/2/2016 3/26/2019 7.98%
2/10/2016 3/26/2019 8.05%
2/16/2016 3/26/2019 8.05%
2/18/2016 3/28/2019 8.06%
5/19/2017 6/19/2020 7.09%
3/25/2015 4/24/2018
3/25/2015 4/24/2018
3/25/2015 3/22/2019
9/20/2016 9/19/2026 9.5%
3/25/2015 3/22/2019
0% (EQUIVALENT TO 11% PER ANNUM PAYABLE ON REDEMPTION)
0% (EQUIVALENT TO 11% PER ANNUM PAYABLE ON REDEMPTION)
0% (EQUIVALENT TO 11% PER ANNUM PAYABLE ON REDEMPTION)
0% (EQUIVALENT TO 11% PER ANNUM PAYABLE ON REDEMPTION)
3/3/2016 4/3/2018 11.25%
3/17/2016 4/17/2018 11.25%
3/21/2016 4/21/2018 11.25%
7/29/2015 7/29/2018 12%
9/18/2015 9/18/2018 12%
7/20/2015 7/19/2019 12.5%
7/29/2015 7/29/2019 12%
9/29/2015 9/29/2019 12%
3/3/2016 3/3/2020 11.4%
3/11/2016 3/11/2020 11.4%
3/21/2016 3/21/2020 11.4%
3/18/2015 3/18/2025 10%
3/22/2016 3/22/2036 10%
3/18/2015 3/18/2025 10%
7/2/2013 7/1/2025 ZERO COUPON
8/18/2017 11/3/2036 14%
8/30/2017 3/31/2038 14%
7/20/2016 7/17/2026 9%
8/29/2016 8/26/2026 9%
1/7/2017 1/3/2027 9%
1/9/2017 1/5/2027 9%
4/24/2017 4/22/2027 9%
7/24/2014 7/24/2018 14.75%
3/25/2015 3/25/2019 14%
1/31/2014 1/30/2020 RESET RATE
3/21/2017 3/23/2020 12.165%
6/30/2015 6/30/2020 14.7%
4/6/2015 12/18/2020 14.75%
10/26/2016 10/26/2021
3/3/2016 4/15/2022 14%
3/2/2016 4/15/2022 16.25%
6/22/2016 6/22/2022 14%
7/31/2017 7/31/2022 12.77%
8/12/2016 8/24/2019 16.68%
7/5/2017 7/8/2018 23%
12/9/2016 12/12/2018 3%
2/3/2014 2/3/2029 9.95%
5/30/2014 5/30/2029 10%
8/6/2015 12/31/2017 8.9%
12.77% (NET OF WITHHOLDING TAXES)
8/6/2015 6/30/2018 9.1%
8/6/2015 12/31/2018 9.1%
8/6/2015 6/30/2019 9.1%
8/6/2015 12/31/2019 9.1%
8/6/2015 6/30/2020 9.1%
8/6/2015 12/31/2020 9.25%
8/6/2015 6/30/2021 9.25%
8/6/2015 12/31/2021 9.25%
8/6/2015 6/30/2022 9.25%
8/6/2015 12/31/2022 9.25%
8/6/2015 6/30/2023 9.15%
8/6/2015 12/31/2023 9.15 %
8/6/2015 6/30/2024 9.15%
8/6/2015 12/31/2024 9.15%
8/6/2015 6/30/2025 9.15%
8/6/2015 12/31/2025 9.15%
8/6/2015 6/30/2026 9.15 %
8/6/2015 12/31/2026 9.15 %
8/6/2015 6/30/2027 9.15%
8/6/2015 12/31/2027 9.15%
8/6/2015 6/30/2028 9.15 %
8/6/2015 12/31/2028 9.15%
8/6/2015 6/30/2029 9.15%
8/6/2015 12/31/2029 9.15%
8/6/2015 6/30/2030 9.15%
8/6/2015 12/31/2030 9.15%
8/21/2017 8/21/2020 12.3%
9/26/2017 9/25/2020
9/28/2017 9/28/2020 13.5%
9/18/2017 9/18/2023 14%
3/10/2015 1/31/2018 18%
6/12/2015 1/31/2018 18%
8/7/2015 1/31/2018 18%
8/7/2015 1/31/2018 18%
10/8/2015 1/31/2018 18%
12/28/2015 1/31/2018 18%
1/22/2016 3/31/2019
6/30/2016 9/30/2020
7/10/2014 1/31/2018 18%
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
4/12/2013 4/11/2018 12%
9/18/2017 9/18/2027 8.60%
5/31/2017 5/30/2022 15%
8/13/2015 3/31/2019 18%
3/30/2017 3/31/2021 16.5%
3/30/2017 3/31/2021 15.5%
9/12/2017 6/30/2022
7/13/2016 3/31/2020 16%
7/5/2016 3/31/2020 16%
7/13/2016 3/31/2020 16%
6/13/2016 3/31/2020 16%
7/19/2016 3/31/2020 16%
5/16/2006 3/31/2018 9.00%
RESET RATE (REFER REMARKS)
8/26/2016 7/31/2026 9%
5/31/2016 9/30/2018
3/29/2016 7/17/2019 14%
7/19/2016 7/17/2019 14%
1/18/2016 7/18/2019 14%
9/22/2017 7/6/2018 8%
9/22/2015 9/21/2018 12.25%
8/22/2017 2/22/2019 0%
11/19/2014 3/20/2019 12.5%
5/10/2016 3/20/2019 11.1%
2/26/2016 3/22/2019 11.1%
2/12/2016 4/12/2019 11.1%
8/11/2017 3/25/2021
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
8/3/2017 9/24/2021 0%
1/17/2017 2/21/2018 NA
1/17/2017 2/21/2018 NA
5/11/2015 5/11/2018 9.75%
5/11/2015 5/11/2018 9.75%
5/11/2015 5/11/2018 NA
5/11/2015 8/11/2018 9.75%
5/11/2015 8/11/2018 10.2%
5/11/2015 8/11/2018 NA
8/22/2016 8/22/2018
1/17/2017 1/17/2020 8.9%
1/17/2017 1/17/2020 9.12%
1/17/2017 1/17/2020 9.25%
RESET RATE (REFER REMARKS)
1/17/2017 1/17/2020 9.5%
1/17/2017 1/17/2020 NA
1/17/2017 1/17/2020 NA
4/28/2016 4/28/2020 10%
10/28/2016 4/28/2020 9.95%
5/11/2015 5/11/2020 9.75%
5/11/2015 5/11/2020 10.25%
3/31/2015 6/30/2020 11%
12/20/2013 12/20/2020 11.1%
9/24/2015 4/24/2021 10.3%
2/1/2016 5/1/2021 10.15%
10/6/2016 10/6/2021 9.95%
1/17/2017 1/17/2022 9.11%
1/17/2017 1/17/2022 9.35%
1/17/2017 1/17/2022 9.5%
1/17/2017 1/17/2022 9.75%
1/17/2017 1/17/2022 NA
1/17/2017 1/17/2022 NA
5/11/2015 5/11/2022 10.25%
3/9/2017 6/9/2022 10.18%
8/13/2015 8/13/2022 10.75%
8/8/2017 11/8/2022 9.25%
8/8/2017 11/8/2022 9.30%
8/8/2017 11/8/2022 NA
1/24/2013 1/24/2023 11.25%
3/29/2016 3/29/2023 10.7%
9/24/2015 4/24/2023 10.4%
12/2/2016 12/2/2023 9%
3/10/2017 3/10/2024 10.45%
10/25/2016 4/25/2024 9.8%
5/26/2017 5/26/2024 9.45%
5/31/2017 5/31/2024 9.32%
3/1/2017 6/1/2024 10.4%
6/13/2014 6/13/2024 10.92%
6/20/2014 6/20/2024 10.90%
6/22/2017 6/22/2024 9.23%
8/8/2017 8/8/2024 9.35%
8/8/2017 8/8/2024 9.40%
8/8/2017 8/8/2024 NA
9/15/2017 9/15/2024 8.5%
10/3/2017 10/3/2024 8.99%
3/16/2015 3/16/2025 11%
8/13/2015 8/13/2025 10.75%
8/20/2015 8/20/2025 10.5%
9/24/2015 9/24/2025 10.5%
1/11/2016 1/11/2026 10.6%
1/19/2016 1/19/2026 10.6%
2/4/2016 2/4/2026 10.6%
3/17/2016 3/17/2026 10.7%
3/31/2016 3/31/2026 10%
5/25/2016 5/25/2026 10.75%
5/26/2016 5/26/2026 10.25%
8/24/2016 8/24/2026 9.5%
10/4/2016 10/4/2026 10.75%
10/7/2016 10/7/2026 10.75%
11/4/2016 11/4/2026 9.85%
12/20/2016 12/20/2026 9%
6/23/2017 6/23/2027 9%
8/8/2017 8/8/2027 9.50%
8/8/2017 8/8/2027 9.55%
8/8/2017 8/8/2027 NA
5/7/2013 8/7/2018 11.10%
2/8/2013 8/8/2018 11.6%
9/27/2011 9/27/2018 12%
3/28/2013 9/28/2018 11.5%
6/29/2013 4/29/2019 10.75%
7/24/2013 5/24/2019 10.75%
11/29/2013 5/29/2019 11%
12/23/2009 12/23/2019 10.00%
3/19/2010 3/19/2020 10.00%
3/31/2010 3/31/2020 10.00%
6/29/2013 6/29/2020 10.85%
9/27/2013 9/27/2020 11%
12/17/2012 12/17/2022 11.5%
5/7/2013 5/7/2023 11.25%
12/30/2011 Perpetual Reset rate (Refer Remark)
3/31/2011 3/31/2018 11.50%
7/31/2012 10/31/2017 11.5
10/31/2012 10/31/2017 11.3%
10/6/2016 11/10/2017 NA
11/12/2014 11/12/2017 10.5%
11/12/2014 11/12/2017 11%
11/12/2014 11/12/2017 NA
9/28/2012 12/28/2017 11.5%
1/2/2013 1/2/2018 11.35%
10/18/2012 1/18/2018 11.5%
1/24/2013 1/24/2018 11.4%
10/31/2012 1/31/2018 11.5%
1/1/2013 4/1/2018 11.50%
2/27/2017 4/3/2018
2/27/2017 4/3/2018 8.5%
NA (EFFECTIVE YIELD 8.54%)
1/16/2013 4/16/2018 11.5%
1/24/2013 4/24/2018 11.5%
1/24/2013 4/24/2018 11.5%
1/28/2013 4/28/2018 11.5%
5/6/2013 5/6/2018 NA
5/6/2013 5/6/2018 11%
3/1/2013 6/1/2018 11.10%
3/22/2013 6/22/2018 11.1%
9/26/2013 9/26/2018 10.35%
9/26/2013 9/26/2018 10.50%
9/26/2013 9/26/2018 11.16%
9/26/2013 9/26/2018 10.85%
9/26/2013 9/26/2018 11%
9/26/2013 9/26/2018 11.75%
7/28/2015 10/28/2018 10%
7/28/2015 10/28/2018 10.5%
7/28/2015 10/28/2018 NA
11/29/2013 11/29/2018 11%
12/27/2013 12/27/2018 11%
2/11/2014 2/11/2019 11.5%
2/11/2014 2/11/2019 11.75%
2/11/2014 2/11/2019 10.94%
2/11/2014 2/11/2019 11.16%
2/11/2014 2/11/2019
2/11/2014 2/11/2019
6/29/2013 4/29/2019 10.6%
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
6/29/2013 4/29/2019 10.6%
7/17/2013 5/17/2019 10.6%
7/17/2013 5/17/2019 10.6%
5/28/2014 5/28/2019 11.4%
5/28/2014 5/28/2019 11.5%
5/28/2014 5/28/2019 12%
5/28/2014 5/28/2019
5/28/2014 5/28/2019 10.95%
6/10/2014 6/10/2019 11.50%
6/16/2014 6/16/2019 11.35%
9/17/2012 9/17/2019 11.55%
10/6/2016 10/6/2019 9.35%
10/6/2016 10/6/2019 9.75%
ZERO COUPON (EFFECTIVE YEILD CAT III 12%)
10/6/2016 10/6/2019 NA
11/5/2012 11/5/2019 9.84%
11/5/2012 11/5/2019 9.92%
11/5/2012 11/5/2019 10.25%
11/5/2012 11/5/2019 10.3%
11/5/2012 11/5/2019 NA
11/5/2012 11/5/2019 NA
5/6/2013 11/6/2019 NA
11/12/2014 11/12/2019 10.72%
11/12/2014 11/12/2019 11.25%
11/12/2014 11/12/2019 NA
9/26/2013 12/26/2019 NA
1/2/2013 1/2/2020 11.45%
2/27/2017 2/27/2020 8.88%
2/27/2017 2/27/2020 9.25%
2/27/2017 2/27/2020 NA
3/23/2010 3/23/2020 10.20%
6/29/2013 6/29/2020 10.75%
7/17/2013 7/17/2020 10.75%
7/28/2015 7/28/2020 10.75%
7/28/2015 7/28/2020 NA
7/28/2015 7/28/2020 10.25%
11/10/2010 11/10/2020 10.50%
9/9/2011 9/9/2021 11.90%
10/6/2016 10/6/2021 9.6%
10/6/2016 10/6/2021 10%
10/6/2016 10/6/2021 NA
10/29/2011 10/29/2021 11.90%
12/23/2011 12/23/2021 11.90%
1/11/2012 1/11/2022 11.90%
1/12/2012 1/12/2022 11.90%
2/27/2017 2/27/2022 9.12%
2/27/2017 2/27/2022 9.5%
2/27/2017 2/27/2022 NA
3/22/2012 3/22/2022 8.90%
3/22/2012 3/22/2022 8.90%
3/30/2012 3/30/2022 11.40%
6/1/2012 6/1/2022 11.50%
6/8/2012 6/8/2022 11.4%
7/31/2012 7/31/2022 11.4%
7/31/2012 7/31/2022 11.5
9/28/2012 9/28/2022 11.7%
10/5/2012 10/5/2022 11.35%
10/18/2012 10/18/2022 11.7%
10/31/2012 10/31/2022 11.7%
1/16/2013 1/16/2023 11.85%
1/16/2013 1/16/2023 11.7%
1/24/2013 1/24/2023 11.5%
1/24/2013 1/24/2023 11.5%
1/24/2013 1/24/2023 11.8%
1/28/2013 1/28/2023 11.8%
3/1/2013 3/1/2023 11.25%
3/28/2013 3/28/2023 11.25%
6/29/2013 6/29/2023 10.75%
6/29/2013 6/29/2023 10.75%
7/17/2013 7/17/2023 10.75%
11/29/2013 11/29/2023 11.1%
6/10/2014 6/10/2024 11.40%
12/9/2014 12/9/2024 10.05%
3/22/2012 3/22/2027 9.15%
3/22/2012 3/22/2027 9.15%
6/30/2017 6/30/2020 7.33%
9/16/2014 9/15/2024 11%
9/6/2017 9/6/2024 10.25%
10/27/2014 10/27/2017 RESET RATE (REFER REMARKS)
10/27/2014 10/27/2018
9/7/2017 9/7/2020 9.33%
9/7/2017 3/5/2021 9.33%
9/7/2017 9/7/2021 9.33%
3/20/2012 3/20/2022 9.02%
10/15/2007 10/15/2022 9.78%
3/20/2015 3/20/2025 8.3%
3/20/2008 Perpetual 9.85% (Refer remark)
3/19/2008 3/19/2023 9.35% (Refer remark)
6/5/2009 6/5/2024 8.39% (Refer remark)
8/21/2009 8/21/2024 8.50% (Refer remark)
9/8/2009 9/8/2024 8.60% (Refer remark)
3/31/2015 3/31/2025 8.32%
RESET RATE (REFER REMARKS)
12/30/2015 12/30/2025 8.4%
2/8/2016 2/8/2026 8.45%
3/28/2008 Perpetual 9.95% (Refer remark)
2/24/2010 Perpetual 9.20% (Refer remark)
9/20/2010 Perpetual Reset Rate (Refer remark)
3/6/2009 6/6/2018 8.95%
12/29/2008 6/29/2018 8.40%
11/4/2010 11/4/2020 Reset Rate (Refer remark)
3/16/2011 3/16/2021 9.75%
3/16/2011 3/16/2021 9.30%
6/5/2006 6/5/2021 8.80% (Refer remark)
9/12/2006 9/12/2021 8.96% (Refer remark)
6/7/2007 6/7/2022 10.20% (Refer Remark)
9/12/2007 9/12/2022 10.10% (Refer Remark)
12/19/2008 12/19/2023 8.90% (Refer Remark)
1/2/2014 1/2/2024 9.69%
3/2/2009 3/2/2024 Reset Rate (Refer remark)
3/6/2009 3/6/2024 Reset Rate (Refer remark)
11/4/2010 11/4/2025 Reset Rate (Refer remark)
12/23/2015 12/23/2025 8.33%
2/18/2016 2/18/2026 8.45%
3/16/2011 3/16/2026 9.95%
3/16/2011 3/16/2026 9.45%
3/18/2016 3/18/2026 8.45%
3/21/2016 3/21/2026 8.45%
8/14/2009 Perpetual Reset Rate (Refer remark)
1/27/2010 Perpetual Reset Rate (Refer remark)
9/6/2016 PERPETUAL 9%
9/27/2016 PERPETUAL 8.75%
10/25/2016 PERPETUAL 8.39%
8/2/2017 PERPETUAL 8.15%
3/22/2007 3/22/2022 10.25% (Refer Remark)
3/24/2009 3/24/2024 Reset Rate (Refer remark)
9/28/2007 Perpetual 10.25% (Refer Remark)
11/15/2006 11/15/2021 8.95% (Refer remark)
1/16/2008 1/16/2023
12/17/2014 12/17/2024 8.55%
12/31/2015 12/31/2025 8.4%
1/18/2016 1/18/2026 8.45%
9.08% for first 120 months (ref remark)
11/30/2007 Perpetual 9.80% (Refer remark)
11/25/2009 Perpetual Reset Rate (Refer remark)
12/20/2007 12/20/2022 9.30% (Refer Remark)
3/27/2008 3/27/2023 9.30% (Refer Remark)
3/13/2009 3/13/2024 9.15% (Refer Remark)
1/22/2015 1/22/2025 8.29%
1/18/2010 Perpetual Reset Rate (Refer remark)
1/8/2008 1/8/2018 9.18%
3/30/2016 3/30/2026 8.45%
3/26/2012 3/26/2027 9.25%
3/31/2008 Perpetual 9.95% (Refer remark)
12/30/2016 PERPETUAL 8.5%
10/1/2015 10/1/2018 9.4%
6/25/2014 6/25/2019 9.67%
7/30/2014 7/30/2019 9.89%
10/1/2015 10/1/2020 9.4%
10/26/2009 10/26/2017 8.80%
12/16/2014 12/16/2017 8.38%
4/15/2015 4/9/2018 7.95%
5/6/2013 5/6/2018 8.25%
5/25/2012 5/25/2018 9.30%
5/25/2012 5/25/2018 9.30%
6/9/2015 6/9/2018 8.35%
7/27/2015 7/27/2018 8.25%
8/10/2015 8/10/2018 8.18%
10/26/2009 10/26/2018 8.80%
5/1/2009 5/1/2019 8.90%
5/11/2009 5/11/2019 7.70%
5/25/2012 5/25/2019 9.30%
5/25/2012 5/25/2019 9.30%
6/22/2009 6/22/2019 8.80%
9/15/2009 9/15/2019 8.75%
10/26/2009 10/26/2019 8.80%
11/19/2009 11/19/2019 8.60%
12/7/2009 12/7/2019 8.50%
12/30/2009 12/30/2019 8.65%
1/21/2015 1/21/2020 8.3%
2/1/2010 2/1/2020 8.65%
4/23/2010 4/23/2020 8.75%
4/30/2010 4/30/2020 8.72%
5/25/2012 5/25/2020 9.30%
5/25/2012 5/25/2020 9.30%
8/25/2015 8/25/2020 8.27%
10/26/2009 10/26/2020 8.80%
5/25/2012 5/25/2021 9.30%
5/25/2012 5/25/2021 9.30%
8/11/2009 8/11/2021 8.55%
8/23/2011 8/23/2021 9.30%
10/26/2009 10/26/2021 8.80%
5/25/2012 5/25/2022 9.30%
5/25/2012 5/25/2022 9.30%
10/26/2009 10/26/2022 8.80%
11/19/2015 11/19/2022 8.35%
8/1/2016 8/1/2023 8.3%
8/3/2016 8/3/2023 8.3%
10/26/2009 10/26/2023 8.80%
8/25/2009 8/25/2024 8.70%
9/15/2009 9/15/2024 8.75%
10/14/2014 10/14/2024 9%
10/26/2009 10/26/2024 8.80%
10/26/2009 10/26/2025 8.80%
9/9/2011 9/9/2026 9.35%
11/14/2016 11/13/2021 0.01%
10/21/2014 6/30/2020 16%
8/7/2015 6/30/2018 NA
9/9/2015 9/30/2018 0%
9/15/2017 3/31/2022
7/23/2014 7/22/2019 0%
7/30/2014 7/29/2019 0%
8/7/2014 8/6/2019 0%
10/25/2012 10/25/2022 9.4%
11/27/2012 11/27/2022 9.4%
12/6/2012 12/6/2022 9.24%
12/20/2012 12/20/2022 9.24%
4/5/2013 4/5/2023 9.10%
7/4/2013 7/4/2023 9.17%
7/5/2013 7/5/2023 9.17%
11/16/2016 4/15/2019 10.4%
RESET RATE (REFER REMARKS)
11/17/2016 4/15/2019 10.4%
3/23/2017 3/20/2020 8.45%
3/23/2017 9/22/2020 8.45%
8/22/2017 4/30/2020 8.5%
2/4/2015 2/3/2035 12%
9/25/2017 9/25/2020 16.5%
9/28/2017 9/28/2020 16.5%
3/2/2015 2/1/2020 12.5%
2/1/2016 1/31/2041 17.05%
4/2/2016 4/1/2041 17.05%
6/13/2016 6/12/2041 17.05%
7/4/2016 7/3/2041 17.05%
10/3/2016 10/2/2041 17.05%
12/30/2016 12/29/2041 17.05%
12/23/2015 12/22/2017 7.94%
12/23/2015 3/22/2019 7.94%
7/25/2017 7/24/2027 9.5%
12/23/2015 12/22/2020 15.5%
9/26/2014 10/17/2017 ZERO COUPON
1/24/2013 12/20/2017 9.7%
1/4/2013 1/4/2018 9.7%
3/7/2013 1/23/2018 9.59%
2/25/2015 2/7/2018 0%
2/25/2015 2/23/2018 9.1%
2/27/2015 2/27/2018 9.1%
3/3/2015 3/2/2018 9.1%
3/6/2013 3/5/2018 ZERO COUPON
2/25/2015 3/5/2018 0%
9/9/2016 3/9/2018 7.9558%
3/19/2013 3/19/2018 9.50%
3/20/2015 3/22/2018 0%
3/16/2015 3/23/2018 9.04%
4/8/2015 4/9/2018 0%
4/29/2013 4/10/2018 ZERO COUPON
2/25/2015 4/10/2018 0%
11/30/2015 4/16/2018 0%
4/22/2013 4/20/2018 9.33%
3/13/2015 4/25/2018 0%
5/8/2013 5/8/2018 9.3%
5/20/2013 5/20/2018 9.15%
5/25/2015 5/22/2018 0%
5/25/2015 5/29/2018 0%
7/3/2015 7/10/2018 0%
7/10/2015 7/12/2018 8.9277%
8/2/2016 8/2/2018 8.42%
8/8/2013 8/8/2018 10.45%
2/27/2017 8/28/2018 0%
10/8/2015 10/9/2018 8.7%
10/14/2015 10/15/2018 8.7%
12/14/2015 12/14/2018 8.7%
1/19/2012 1/18/2019 10.25%
1/21/2014 1/21/2019 10.07%
2/8/2012 2/8/2019 10.35%
2/10/2014 2/8/2019 10.17%
2/8/2017 2/8/2019 7.75%
2/22/2012 2/22/2019 10.35%
3/12/2014 2/27/2019 ZERO COUPON
3/2/2016 3/1/2019 8.97%
3/11/2016 3/11/2019 8.85%
9/26/2016 3/15/2019 0%
10/5/2016 3/15/2019 0%
6/16/2017 6/14/2019 7.67%
6/29/2012 6/28/2019 10.5%
5/24/2016 6/28/2019 0%
6/30/2017 6/28/2019 7.47%
7/12/2016 7/12/2019 0%
7/12/2016 7/12/2019 8.75%
7/15/2016 7/15/2019 8.65%
7/18/2014 7/18/2019 9.65%
7/12/2016 7/23/2019 0%
8/23/2012 8/23/2019 10.5%
9/11/2014 9/11/2019 9.7%
7/12/2016 9/12/2019 8.75%
9/15/2014 9/13/2019 9.7%
9/26/2014 9/26/2019 9.7%
10/17/2014 10/17/2019 9.56%
11/28/2016 11/28/2019 7.6%
12/1/2016 11/29/2019 7.60%
4/13/2015 4/13/2020 8.95%
6/12/2017 6/30/2020 0%
9/16/2016 7/3/2020 0%
7/12/2016 7/10/2020 8.75%
8/30/2017 8/28/2020 7.4%
9/4/2017 9/4/2020 7.40%
10/9/2015 10/9/2020 8.7%
6/28/2012 6/28/2022 10.5%
2/28/2013 2/28/2023 9.9%
12/16/2014 12/16/2024 9.45%
2/24/2015 2/24/2025 9.25%
10/27/2015 10/27/2017 8.55%
11/16/2015 11/16/2017 8.55%
12/4/2015 12/4/2017 8.7%
12/8/2015 12/8/2017 8.7%
1/7/2016 12/22/2017 8.85%
1/7/2016 1/5/2018 8.85%
1/12/2015 1/12/2018 9.1%
1/8/2015 1/15/2018
1/28/2013 1/29/2018 9.5%
12/7/2015 3/7/2018 8.6695%
9/14/2016 3/14/2018 7.9064%
4/13/2016 3/19/2018 8.5687%
1/12/2015 4/12/2018 9.05%
4/18/2016 4/18/2018 8.58%
4/25/2016 4/25/2018 8.58%
0% (YIELD TO MATURITY OF 9.05% p.a)
4/27/2013 4/27/2018 9.30%
5/9/2016 5/9/2018 8.6%
5/29/2013 5/29/2018 9.1%
6/16/2015 6/12/2018 8.8671%
6/29/2015 6/29/2018 8.9%
8/13/2013 8/13/2018 10.32%
9/14/2016 9/14/2018 8%
9/21/2016 9/21/2018
10/7/2016 10/8/2018 7.72%
10/7/2016 10/8/2018 7.65%
10/24/2016 10/24/2018 7.7%
11/21/2016 11/21/2018 7.8%
11/21/2016 11/21/2018 7.65%
0% (YIELD TO MATURITY OF 7.9% p.a)
12/2/2016 11/30/2018 7.45%
1/17/2017 1/17/2019 7.66%
1/18/2017 1/18/2019
2/6/2017 2/6/2019
2/20/2017 2/20/2019 7.8%
4/20/2017 3/15/2019 7.6671%
7/18/2017 3/18/2019 7.363%
4/13/2016 4/12/2019 8.6%
4/13/2016 4/12/2019 8.61%
4/12/2017 4/12/2019 7.73%
4/24/2017 4/24/2019 7.69%
4/25/2016 4/25/2019 8.6%
5/6/2014 5/6/2019 9.98%
0% YIELD TO MATURITY OF 7.66% p.a
0% YIELD TO MATURITY OF 7.66% p.a
5/20/2014 5/20/2019 9.85%
6/9/2017 6/7/2019 7.65%
4/18/2016 6/14/2019 8.5866%
6/16/2016 6/17/2019 8.7%
6/23/2017 6/21/2019 7.45%
7/28/2017 6/28/2019 7.29%
7/25/2014 7/25/2019 9.6%
8/16/2017 8/16/2019 7.30%
8/28/2014 8/28/2019 9.4554%
8/30/2017 8/30/2019 7.4%
9/14/2016 9/13/2019 8%
2/22/2017 9/20/2019 7.8236%
10/9/2017 10/9/2019 7.35%
6/16/2017 12/16/2019 7.62%
3/1/2017 2/28/2020 7.85%
1/23/2017 3/23/2020 7.6997%
3/31/2017 3/31/2020 7.85%
5/7/2010 5/7/2020 9.85%
5/27/2016 5/27/2020 8.67%
4/18/2017 6/8/2020 7.7952%
6/19/2017 7/20/2020 7.5501%
9/1/2017 9/1/2020 7.47%
10/9/2017 11/9/2020 7.35%
12/22/2010 12/22/2020 9.93%
1/28/2011 1/28/2021 9.93%
4/7/2011 4/7/2021 9.93%
4/20/2016 4/20/2021 8.6%
7/29/2011 7/29/2021 10.15%
8/9/2011 8/9/2021 10.02%
3/30/2012 3/30/2022 9.90%
7/27/2012 7/27/2022 10.3%
9/28/2012 9/28/2022 10.3%
1/31/2013 1/31/2023 9.75%
11/10/2014 11/10/2024 9.80%
11/12/2014 11/12/2024 9.80%
11/27/2014 11/27/2024 9.6%
5/22/2015 5/22/2025 9.25%
8/3/2016 8/3/2026 8.8%
5/5/2017 5/5/2027 8.48%
6/7/2017 6/7/2027 8.45%
2/25/2015 2/24/2018 10.6%
9/12/2016 2/28/2020 19.2%
4/30/2015 4/30/2018 20.4%
3/30/2016 3/29/2025 0%
1/13/2016 1/13/2018 11.75%
1/13/2016 1/13/2019 11.75%
1/13/2016 1/13/2020 11.75%
3/25/2015 3/22/2019
11/7/2016 11/7/2019 0%
3/8/2017 2/29/2020 17%
6/27/2016 6/26/2046
1/27/2016 1/26/2046 0.01%
0% (EQUIVALENT TO 11% PER ANNUM PAYABLE ON REDEMPTION)
PROJECT LENDER RATE LINKED
9/1/2016 8/31/2046 0.01%
9/24/2015 9/23/2018 17%
2/20/2015 2/20/2025 10%
3/27/2008 3/27/2018 10.00%
5/22/2015 3/31/2019 19%
5/22/2015 6/30/2019 19%
11/7/2016 11/7/2019 0%
12/29/2016 1/19/2018 0%
12/29/2016 8/17/2018 0%
10/10/2013 10/21/2028 2.5%
10/28/2016 10/28/2019 11.55%
12/6/2016 12/6/2019
1/12/2017 1/10/2020
11.5% FLOATING (BENCHMARK RATE SPREAD CURRENTLY 11.15%) BENCHMARK RATE RESET RATE (REFER REMARKS)
9/30/2015 9/30/2020 13.1011%
9/23/2015 4/23/2021 15.85%
9/26/2016 7/26/2022 12.7%
6/4/2015 7/13/2018 14.1%
3/30/2015 3/30/2019 14%
7/22/2014 5/28/2019 13.63%
3/31/2015 12/18/2020 17.5%
4/10/2015 12/18/2020 14.9%
5/13/2015 5/13/2021 14.25%
3/31/2015 6/30/2021
8/21/2015 6/30/2019 18%
11/30/2015 11/30/2020 13.5267%
5/29/2015 12/18/2020 18%
RESET RATE (REFER REMARKS)
6/1/2015 12/18/2020 15%
12/23/2015 1/5/2021 13.5267%
8/24/2016 8/24/2022 14.3%
2/29/2016 2/27/2018 12.78% XIRR
7/1/2016 6/29/2018 12.51% XIRR
10/14/2016 10/12/2018 12.36% XIRR
3/8/2017 3/7/2019 11.4% XIRR
12/30/2016 12/30/2019 14.75%
9/21/2015 9/20/2020
12/3/2014 3/31/2020 10.75%
9/16/2016 9/15/2026 9.5%
11/20/2013 3/31/2018 12%
7/30/2001 4/1/2018
5% RESET RATE (REFER REMARKS)
12.5% Yield,Compounded Monthly
7/30/2001 4/1/2018
12/11/2015 6/11/2018 9.5%
12/26/2008 12/26/2018 8.60%
6/15/2009 6/15/2019 8.49%
12/31/2012 12/31/2022 9.00 %
12/2/2014 12/2/2024 8.95%
3/23/2015 3/23/2025 8.75%
9/28/2015 9/28/2025 8.58%
12/18/2015 12/18/2025 8.62%
5/3/2017 5/3/2027 8%
3/25/2008 Perpetual 9.90% (Refer remark)
1/12/2009 Perpetual 9.40% (Refer remark)
6/29/2009 Perpetual Reset Rate (Refer remark)
12.5% yield , Compounded Monthly
3/30/2016 PERPETUAL 11.25%
3/30/2016 PERPETUAL 11.25%
7/15/2016 PERPETUAL 11.25%
10/24/2016 PERPETUAL 9.95%
7/25/2017 9.8%
8/5/2016 2/4/2018 11.10%
3/22/2016 3/21/2036 16%
8/2/2016 8/1/2036 16%
9/29/2016 9/28/2036 16%
12/28/2016 12/27/2036 16%
2/10/2017 2/9/2037 16%
7/14/2016 7/13/2036 16%
2/13/2017 2/12/2037 16%
2/10/2015 2/9/2023 16%
12/7/2015 12/7/2018 10%
4/25/2014 4/25/2020 11.75%
3/4/2015 3/4/2021 9.8%
6/17/2016 6/17/2021 9.85%
7/8/2016 7/8/2021 9.85%
11/6/2015 11/6/2021 9.85%
1/3/2017 1/3/2023 9.6%
4/11/2017 4/11/2023 9.6%
11/11/2014 11/10/2017 9.27%
3/27/2015 4/27/2018 8.91%
4/22/2015 4/27/2018 8.91%
3/2/2017 9/20/2019 7.75%
12/1/2016 11/29/2019 8.2%
8/4/2017 8/4/2020 7.85%
3/1/2008 3/1/2018 8.75%
5/4/2009 5/4/2019 8.81%
6/30/2009 6/30/2019 8.70%
1/6/2010 1/6/2020 8.40%
2/19/2010 2/19/2020 8.32%
3/29/2010 3/29/2020 8.64%
4/3/2013 4/3/2018 9.01%
5/7/2013 5/7/2018 8.66%
5/16/2013 5/16/2018 8.41%
5/22/2013 5/22/2018 8.41%
5/31/2013 5/31/2018 8.49%
6/17/2013 6/17/2018 8.53%
6/24/2013 6/24/2018 8.79%
2/7/2011 2/7/2021 8.65%
7/7/2011 7/7/2021 9.70%
8/26/2011 8/26/2021 9.59%
10/3/2011 10/3/2021 9.50%
11/21/2011 11/21/2021 9.90%
2/10/2014 2/10/2024 10.5%
7/16/2014 7/16/2024 9.72%
12/18/2014 12/18/2024 9.2%
6/11/2015 6/11/2025 9%
2/8/2016 2/8/2026 10%
12/24/2016 12/24/2026 9.7%
9/1/2012 9/1/2022 9.67%
1/9/2013 1/9/2023 9.56%
4/9/2013 4/9/2023 9.35%
5/29/2013 5/29/2023 9.19%
6/24/2016 6/24/2018 12.5%
6/24/2016 6/24/2018 11.5%
7/27/2017 7/27/2019
8/4/2017 8/4/2019 10%
11/10/2016 11/10/2019 12.75%
9/22/2016 11/22/2019 1.25%
10/26/2016 1/23/2020 1.25%
8/25/2016 8/24/2026 9.5%
10/17/2016 10/16/2026 9.5%
RATING LINKED, 11%, SUBJECT TO CHANGE IN ACCORDANCE WITH THE TERMS OF THE
4/14/2017 6/14/2021 0%
9/16/2014 9/15/2024 11%
3/3/2015 3/3/2019 15%
11/8/2016 11/8/2019 15%
3/28/2016 3/28/2019 8.85%
3/21/2017 3/21/2027 8.52%
5/20/2010 5/20/2020 10.15%
10/13/2014 10/18/2017 9.611%
10/21/2014 10/20/2017 9.47%
10/21/2015 10/20/2017 8.6%
11/9/2012 11/9/2017 10.1%
11/12/2012 11/10/2017 9.55%
11/10/2015 11/10/2017 8.55%
11/19/2014 11/15/2017 9.1%
11/18/2014 11/20/2017 9.1%
11/21/2014 11/20/2017 9.07%
11/14/2014 11/24/2017 9.11%
11/21/2014 11/27/2017 9.07%
11/21/2014 11/29/2017 9.07%
12/5/2012 12/5/2017 9.52%
12/8/2014 12/8/2017 8.9%
6/15/2016 12/15/2017 8.69%
6/24/2016 12/26/2017
12/16/2014 1/4/2018 8.9028%
7/7/2016 1/8/2018 8.69%
1/14/2015 1/10/2018 9.05%
8.6579% ANNUAL COMPOUNDING
1/15/2015 1/15/2018 9.1%
1/16/2013 1/16/2018 9.50 %
1/22/2013 1/22/2018 9.6%
1/22/2013 1/22/2018 9.4%
1/20/2015 1/24/2018 8.92
1/29/2015 1/29/2018 9%
2/4/2015 2/2/2018 8.9%
2/20/2015 2/12/2018 9.04%
3/2/2015 3/2/2018 9.05%
3/10/2015 3/9/2018 9%
4/13/2016 3/15/2018 8.6866%
4/5/2016 3/20/2018 8.7424%
4/22/2016 3/20/2018 8.675%
3/24/2015 3/23/2018 9.1%
3/26/2013 3/26/2018 9.3%
6/15/2016 3/26/2018 8.71%
9/30/2016 3/26/2018 7.8759%
10/4/2016 3/26/2018 7.8756%
3/20/2015 4/3/2018 9%
1/15/2015 4/5/2018 9.1%
4/23/2013 4/23/2018 9.40%
4/25/2016 4/25/2018 8.85%
4/27/2016 4/27/2018 8.85%
5/7/2013 5/7/2018 9.08%
5/7/2013 5/7/2018 9.10%
5/22/2013 5/22/2018 9.05%
5/22/2013 5/22/2018 8.95%
6/22/2015 6/22/2018 8.9%
7/13/2015 7/13/2018 8.95%
8/2/2016 8/2/2018 8.615%
8/12/2015 8/10/2018
8/12/2016 8/13/2018 8.15%
8/16/2016 8/16/2018 8.3%
8/20/2013 8/20/2018 10.4%
8/26/2015 8/24/2018 8.85%
8/31/2016 8/31/2018 8.16%
9/6/2016 9/6/2018 8.2%
10/14/2016 10/12/2018 7.77%
11/29/2016 11/29/2018 7.65%
RESET RATE (REFER REMARKS)
6/2/2017 11/30/2018 7.6894%
1/8/2016 1/8/2019 8.65%
2/6/2017 2/6/2019 7.85%
2/8/2017 3/4/2019 7.8417%
3/6/2014 3/5/2019 9.75%
3/6/2014 3/5/2019 9.75%
3/6/2014 3/5/2019 10.5%
3/6/2014 3/5/2019
9/8/2016 3/8/2019 8.2%
10/6/2016 3/18/2019 7.8363%
4/7/2016 4/8/2019 8.7%
4/10/2017 4/10/2019 7.95%
3/31/2016 4/18/2019 8.79%
10.5% (COMPOUNDED ANNUALLY)
4/20/2016 4/19/2019 8.7%
2/5/2016 5/3/2019 8.85%
5/24/2016 5/24/2019 8.67%
5/30/2017 5/30/2019 7.85%
6/10/2016 6/24/2019 8.75%
6/27/2017 6/27/2019 7.9%
7/9/2014 7/9/2019 9.61%
7/10/2017 7/10/2019 7.7%
7/12/2016 7/12/2019 8.815%
7/18/2017 7/18/2019 7.67%
7/19/2016 7/19/2019 8.66%
7/29/2016 7/29/2019 8.615%
8/7/2017 8/7/2019 7.6%
8/25/2016 8/23/2019 8.2%
8/31/2016 8/30/2019 8.16%
9/29/2017 9/27/2019 7.5%
10/27/2016 10/25/2019 7.85%
11/10/2016 12/10/2019 8.1%
11/16/2016 12/16/2019 8.1%
6/10/2016 12/23/2019
3/1/2017 2/28/2020 7.85%
5/5/2015 5/5/2020 8.88%
6/9/2017 6/9/2020 7.87%
8/26/2016 7/1/2020 8.25%
7/12/2017 7/10/2020 7.7%
7/6/2017 8/6/2020 7.75%
8.7233% ANNUAL COMPOUNDING
12/16/2015 12/16/2020 8.65%
3/16/2016 3/16/2021 8.75%
3/21/2016 3/19/2021 8.8%
5/30/2016 5/28/2021 8.7%
12/28/2016 12/28/2021 7.58%
8/16/2017 1/14/2022 7.69%
7/20/2017 2/28/2022 7.7%
9/5/2012 9/5/2022 9.85%
9/26/2014 9/26/2024 10.15%
11/20/2014 11/20/2024 9.36%
12/8/2014 12/6/2024 9.22%
1/7/2015 1/7/2025 9.35%
1/30/2015 1/30/2025 9.32%
3/31/2015 3/31/2025 9.37%
7/22/2015 7/22/2025 9.25%
3/30/2016 3/30/2026 9.17%
8/11/2016 8/11/2026 8.92%
10/26/2016 10/26/2026 8.45%
3/27/2014 Perpetual 10.95%
7/16/2015 PERPETUAL 9.99%
1/6/2016 PERPETUAL 9.86%
2/2/2016 PERPETUAL 9.86%
2/9/2016 PERPETUAL 9.86%
3/23/2016 PERPETUAL 9.8%
6/30/2016 PERPETUAL 9.8%
1/13/2017 PERPETUAL 9%
3/8/2017 PERPETUAL 9.05%
6/21/2017 PERPETUAL 9.05%
9/11/2017 PERPETUAL 8.61%
7/14/2017 8.77%
10/21/2015 10/20/2017 8.6%
11/11/2014 11/1/2017 9.25%
11/7/2014 11/13/2017 9.35%
11/18/2014 11/21/2017 9.1%
11/20/2014 11/22/2017 9.07%
11/14/2014 11/24/2017 9.11%
12/7/2015 12/7/2017 8.65%
12/23/2015 12/22/2017 8.65%
6/1/2015 1/2/2018 8.8376%
7/7/2016 1/8/2018 8.69%
1/14/2015 1/10/2018 9.05%
1/20/2015 1/24/2018 8.92%
2/4/2015 2/2/2018 8.9%
2/16/2015 2/12/2018 9.04%
1/27/2015 2/14/2018 8.95%
3/10/2015 3/9/2018 9%
3/16/2015 3/12/2018 9%
6/15/2016 3/15/2018 8.71%
4/22/2016 3/20/2018 8.675%
4/29/2016 3/20/2018 8.6723%
10/10/2016 3/28/2018 7.7576%
3/26/2015 4/10/2018 8.975%
4/10/2015 4/10/2018 8.9%
4/17/2015 4/10/2018 8.85%
4/23/2013 4/23/2018 9.30%
4/27/2015 4/27/2018 8.78%
5/11/2016 5/11/2018 8.63%
6/1/2015 5/29/2018 9%
6/1/2015 6/1/2018 9%
6/4/2015 6/4/2018 8.9%
6/12/2015 6/12/2018 8.87%
6/24/2015 6/18/2018 8.9%
6/24/2015 6/19/2018 8.9%
6/1/2015 6/20/2018 9%
7/24/2015 7/19/2018 8.9%
7/31/2015 7/23/2018 8.86%
7/16/2015 7/26/2018 8.92%
8/2/2016 8/2/2018 8.615%
8/26/2015 8/16/2018 8.85%
8/18/2016 8/16/2018 8.2%
8/24/2015 8/20/2018 8.8%
7/31/2015 8/21/2018 8.86%
8/24/2015 8/24/2018 8.8%
8/31/2016 8/31/2018 8.16%
10/26/2015 10/26/2018 8.65%
11/2/2015 11/2/2018 8.65%
11/17/2016 11/16/2018 7.8%
11/18/2011 11/18/2018 10.25%
6/24/2015 1/7/2019 8.89%
1/20/2014 1/18/2019 9.95%
1/18/2016 1/18/2019 8.7%
1/20/2016 1/18/2019 8.7%
4/5/2017 4/5/2019 7.725%
4/17/2017 4/17/2019 7.68%
3/30/2016 4/18/2019 8.79%
4/18/2016 4/18/2019 8.70%
3/2/2016 5/16/2019 8.93%
5/30/2017 5/30/2019 7.77%
6/13/2014 6/13/2019 9.55%
6/14/2016 6/14/2019 8.75%
6/10/2016 6/24/2019 8.75%
7/14/2016 7/12/2019 8.66%
7/13/2017 7/12/2019 7.6%
7/21/2017 7/19/2019 7.54%
7/22/2014 7/22/2019 9.6%
7/29/2016 7/29/2019 8.615%
8/8/2016 8/8/2019 8.42%
8/22/2014 8/22/2019 9.65%
8/30/2016 8/30/2019 8.16%
10/3/2012 10/3/2019 10.05%
10/22/2014 10/22/2019 9.6%
6/10/2016 12/23/2019
2/10/2017 2/7/2020 7.77%
2/12/2015 2/12/2020 9.05%
8.7233% ANNUAL COMPOUNDING
3/17/2017 3/17/2020
4/20/2017 4/29/2020 7.71%
6/14/2017 6/15/2020 7.7%
6/7/2017 6/30/2020 7.75%
7/9/2015 7/9/2020 8.95%
8/7/2015 8/7/2020 8.86%
8/17/2015 8/17/2020 8.85%
8/20/2015 8/20/2020 8.85%
8/31/2017 8/31/2020 7.4%
10/14/2015 10/14/2020 8.7%
10/16/2015 10/16/2020 8.7%
11/6/2015 11/6/2020 8.6%
1/22/2016 1/22/2021 8.7%
RESET RATE (REFER REMARKS)
4/12/2016 4/12/2021 8.73%
7/5/2016 7/5/2021 8.7%
7/29/2011 7/29/2021 10.17%
9/15/2016 9/15/2021 8.20%
9/29/2011 9/29/2021 10.00%
10/28/2011 10/28/2021 10.00%
11/4/2011 11/4/2021 10%
12/28/2016 12/28/2021 7.585%
1/25/2012 1/25/2022 10.15%
3/12/2012 3/12/2022 10.15%
5/10/2012 5/10/2022 10%
5/18/2012 5/18/2022 10.10%
5/30/2012 5/30/2022 10.05%
5/30/2012 5/30/2022 10%
7/29/2015 7/29/2022 8.99%
8/22/2012 8/22/2022 10.25%
12/28/2012 12/28/2022 9.60 %
1/12/2016 1/12/2023 8.7%
1/18/2013 1/18/2023 9.5%
3/12/2013 3/10/2023 9.50%
3/28/2013 3/28/2023 9.75%
4/15/2013 4/15/2023 9.70%
4/23/2013 4/23/2023 9.70%
5/4/2016 5/4/2023 8.63%
5/20/2013 5/19/2023 9.30%
1/10/2014 1/10/2024 10%
1/12/2016 1/12/2024 8.7%
3/18/2014 3/18/2024 10%
9/26/2014 9/26/2024 10.15%
12/9/2014 12/9/2024 9.22%
1/23/2015 1/23/2025 9.05%
4/28/2015 4/28/2025 9.25%
6/16/2015 6/16/2025 8.85%
7/22/2015 7/22/2025 9.25%
8/31/2015 8/29/2025 8.87%
9/16/2015 9/16/2025 9.20%
9/21/2015 9/19/2025 9.2%
10/8/2015 10/8/2025 8.7%
11/4/2015 11/4/2025 8.99%
11/6/2015 11/6/2025 8.6%
12/15/2015 12/15/2025 9%
12/17/2015 12/17/2025 9%
3/15/2016 3/13/2026 9%
3/30/2016 3/30/2026 8.78%
6/30/2016 6/30/2026 8.7%
8/4/2016 8/4/2026 8.92%
6/28/2016 6/28/2018 9%
7/25/2016 7/25/2018 9%
7/28/2016 7/27/2018 8.93%
8/17/2011 8/17/2018 10.10%
8/18/2016 8/17/2018 8.75%
9/23/2011 9/23/2018 10.15%
10/21/2011 10/21/2018 10.15%
4/26/2017 4/26/2019 8.23%
5/31/2017 5/31/2019 8.20%
6/22/2017 6/21/2019 8.05%
8/4/2009 8/4/2019 10.50%
8/18/2016 8/19/2019 8.65%
9/9/2009 9/9/2019 10.25%
10/28/2009 10/28/2019 10.25%
10/28/2009 10/28/2019 9.80%
11/30/2009 11/30/2019
12/15/2009 12/15/2019 10.25%
12/18/2009 12/18/2019 9.80%
12/24/2009 12/24/2019 9.95%
9/5/2017 3/5/2020 7.7466%
11/15/2010 Perpetual Reset Rate (Refer remark)
1/14/2011 Perpetual Reset Rate (Refer Remark)
5/5/2011 Perpetual 10.00%
8/8/2011 Perpetual 11.25% (Refer remark)
9/28/2011 Perpetual Reset rate (Refer remark)
11/7/2011 Perpetual 10.75%
7/2/2009 7/2/2019 10.00%
11/6/2015 11/6/2017 8.57%
4/22/2015 4/20/2018 9.05%
5/20/2015 5/18/2018 9.15%
8/3/2015 8/3/2018 8.9%
6/14/2016 6/14/2019 8.8%
7/26/2017 7/26/2019 7.8%
8/8/2017 8/8/2019 7.70%
5/15/2017 5/15/2020 8.12%
5/17/2017 5/15/2020 8.12%
6/7/2017 6/5/2020 8.08%
7/20/2015 7/20/2020 9%
7/28/2017 8/3/2020 7.81%
9/4/2015 9/4/2020 8.9%
10/19/2015 10/19/2020 8.75%
10/17/2016 10/15/2021 8.1%
6/2/2017 6/3/2024 8.11%
1/23/2009 1/23/2019 11.25%
7/2/2009 7/2/2019 985.00%
11/26/2012 11/27/2017 10.2%
1/27/2016 1/25/2019 9.55%
1/27/2016 4/26/2019 9.55%
12/23/2016 12/23/2019 8.19%
11/18/2016 2/27/2020 8.25%
10/10/2016 4/20/2020 8.5%
12/23/2016 4/23/2020 8.25%
1/24/2017 4/23/2020 8.19%
6/8/2017 6/3/2018 7.45%
7/11/2017 6/3/2018 7.25%
2/22/2017 PERPETUAL 9.3%
11/19/2015 11/20/2017 9.1%
11/19/2015 12/22/2017 0% (YIELD OF 9.1% ON XIRR BASIS WITH MATURITY VALUE OF 1199977/- PER NCD)
10/10/2014 2/26/2018
9/8/2015 3/9/2018
5/31/2016 3/9/2018
4/12/2016 3/15/2018
6/28/2016 3/20/2018
6/28/2016 3/20/2018 9.2538%
6/28/2016 3/22/2018 9.25%
5/31/2016 3/30/2018
5/13/2016 4/27/2018
6/10/2016 6/8/2018
6/10/2016 6/10/2018 9.2%
7/28/2016 6/28/2018 9%
7/22/2016 7/20/2018 9.2%
9.7748% (COMPOUNDED ANNUALLY WITH INTEREST PAYMENT ON MATURITY GIVING XIRR 0% (YIELD OF 9% ON XIRR BASIS WITH MATURITY VALUE OF 124055/- PER NCD)9.1611% (XIRR YIELD 9.20%)
0% (YIELD OF 9.35% ON XIRR BASIS WITH MATURITY VALUE OF 1187571/- PER NCD)0% YIELD OF 9.30% p.a. ON XIRR BASIS WITH MATURITY VALUE OF RS. 1165895/- PER NCD
0% (YIELD OF 9.2% ON XIRR BASIS WITH MATURITY VALUE OF 1174770/- PER NCD)0% (YIELD OF 9.2% ON XIRR BASIS WITH MATURITY VALUE OF 1187873/- PER NCD)0% (YIELD OF 9.2% ON XIRR BASIS WITH MATURITY VALUE OF 1191890/- PER NCD)
8/19/2016 8/17/2018 8.58%
10/15/2015 9/25/2018
10/7/2015 10/8/2018
10/15/2015 10/15/2018
11/25/2016 11/25/2018 7.95%
11/19/2015 11/26/2018
12/2/2016 12/2/2018 7.86%
12/17/2015 12/17/2018 9.25%
12/28/2016 12/28/2018 8.05%
3/20/2014 2/27/2019
3/5/2014 3/5/2019 10.25%
4/27/2016 3/12/2019
3/20/2014 3/19/2019
0% (YIELD OF 9.16% ON XIRR BASIS WITH MATURITY VALUE OF 1294819/- PER NCD) 0% (YIELD OF 9.2% ON XIRR BASIS WITH MATURITY VALUE OF 1302798/- PER NCD)0% (YIELD OF 9.16% ON XIRR BASIS WITH MATURITY VALUE OF 1301051/- PER NCD)
0% (YIELD OF 9.1% ON XIRR BASIS WITH MATURITY VALUE OF 1301077/- PER NCD)
ZERO COUPON ( YEILD OF 10.25% ON XIRR BASIS)
0% (YIELD OF 9.35% ON XIRR BASIS WITH MATURITY VALUE OF 1292899/- PER NCD)10.2556% (COMPOUNDED ANNUALLY)
3/20/2014 3/20/2019 10.25%
4/7/2016 4/3/2019
4/7/2016 4/8/2019 9.2%
12/17/2015 4/11/2019
4/24/2017 4/24/2019
11/19/2015 5/6/2019
5/31/2016 5/31/2019 9.2%
6/10/2016 6/10/2019 9.2%
6/28/2016 6/28/2019 9.30%
7/28/2016 7/23/2019
10/10/2014 10/10/2019 9.85%
10/17/2014 10/17/2019 9.85%
11/19/2015 11/19/2019 9.1%
0% (YIELD OF 9.2% ON XIRR BASIS WITH MATURITY VALUE OF 1300915/- PER NCD)
0% (YIELD OF 9.25% ON XIRR BASIS WITH MATURITY VALUE OF 1341141/- PER NCD)0% YIELD OF 7.99% p.a. ON XIRR BASIS WITH MATURITY VALUE OF RS. 1166185/- PER NCD0% (YIELD OF 9.1% ON XIRR BASIS WITH MATURITY VALUE OF 1352034/- PER NCD)
0% YIELD OF 9% p.a. ON XIRR BASIS WITH MATURITY VALUE OF RS. 1293500/- PER NCD
1/10/2017 1/10/2020
1/25/2017 1/24/2020
1/10/2017 3/26/2020
1/10/2017 4/15/2020
1/25/2017 5/12/2020
7/24/2017 8/25/2020 0%
12/17/2015 12/17/2020 9.25%
4/7/2016 4/6/2021 9.2%
5/13/2016 5/13/2021 9.2%
6/10/2016 6/10/2021 9.2%
6/10/2016 6/10/2021
6/28/2016 6/28/2021 9.30%
7/28/2016 7/28/2021 9%
0% DEBENTURES GUVING A YIIELD OF 8.85% ON XIRR BASIS WITH MATURITY VALUE OF RS 1289691/- 0% DEBENTURES GUVING A YIIELD OF 8.6% ON XIRR BASIS WITH MATURITY VALUE OF RS 1280535/- 0% DEBENTURES GUVING A YIIELD OF 8.85% ON XIRR BASIS WITH MATURITY VALUE OF RS 1312665/- 0% DEBENTURES GUVING A YIIELD OF 8.85% ON XIRR BASIS WITH MATURITY VALUE OF RS 1318776/- 0% DEBENTURES GUVING A YIIELD OF 8.6% ON XIRR BASIS WITH MATURITY VALUE OF RS 1312475/-
0% (YIELD OF 9.2% ON XIRR BASIS WITH MATURITY VALUE OF 1553166/- PER NCD)
9/12/2014 9/12/2024 10.60%
12/19/2014 12/19/2024 9.70%
9/5/2014 Perpetual
1/10/2014 1/10/2019 10.25%
1/20/2010 1/20/2020 10.90%
3/25/2010 3/25/2020 10.75%
4/12/2010 4/10/2020 10.70%
4/28/2010 4/28/2020 10.70%
9/19/2011 9/17/2021 11%
3/2/2012 3/2/2022 11%
3/26/2012 3/26/2022 11%
5/22/2012 5/22/2022 11%
8/3/2012 8/3/2022 10.65%
RESET RATE (REFER REMARKS)
12/28/2012 12/28/2022 10.46 %
5/24/2013 5/24/2023 9.85%
5/28/2013 5/28/2023 10.15%
9/26/2014 9/26/2024 10.35%
11/23/2010 Perpetual Reset Rate (Refer Remark)
5/30/2012 Perpetual RESET RATE
6/28/2012 Perpetual RESET RATE
5/23/2013 Perpetual
5/28/2013 Perpetual
3/10/2016 3/10/2018 9.99%
3/30/2016 7/30/2018 9.8388%
7/18/2016 7/18/2018 8.13%
12/16/2013 11/30/2018 10.3%
RESET RATE (REFER REMARK)
RESET RATE (REFER REMARK)
4/27/2016 1/28/2019 8.25%
10/10/2012 3/29/2019 9.69%
10/1/2014 10/1/2019 9.71%
7/28/2017 7/29/2020 7.28%
10/1/2014 10/1/2020 9.73%
5/26/2016 5/26/2021 8.4%
7/28/2017 6/29/2021 7.4%
10/20/2016 10/20/2021 7.5%
12/11/2014 12/10/2021 9.02%
3/3/2017 3/3/2022 7.71%
6/22/2017 6/22/2022 7.5%
11/10/2014 11/10/2023 9.35%
8/20/2014 8/20/2024 9.81%
10/23/2012 3/29/2018 9.45%
5/28/2012 5/28/2019 10%
3/2/2010 3/2/2020 9.95%
5/7/2010 5/7/2020 9.90%
5/24/2010 5/24/2020 9.75%
6/18/2010 6/18/2020 9.70%
4/30/2010 4/30/2025 10.25%
8/1/2016 8/1/2019 8%
10/29/2014 10/29/2022 9.6%
9/12/2014 9/12/2024 9.77%
5/25/2017 5/25/2022 8.45%
6/15/2016 6/15/2022
1/22/2016 1/22/2025 SBI BASE RATE LINKED
HDFC BANK BASE RATE LINKED
6/15/2016 6/15/2026
4/28/2016 5/23/2019 9.25%
6/21/2016 6/25/2019 9.1%
4/28/2016 7/23/2019 9.25%
7/18/2016 8/23/2019 9.10%
11/1/2016 4/20/2020 0%
11/23/2016 5/20/2020 0%
11/1/2016 8/17/2020 0%
3/28/2016 4/11/2019 0%
3/28/2016 5/30/2019 0%
4/18/2016 5/30/2019 0%
3/18/2015 3/18/2020 0%
1/13/2014 1/13/2018 9.77%
HDFC BANK BASE RATE LINKED
1/16/2017 1/31/2018 7.75%
5/2/2013 5/2/2018 8.85%
12/13/2013 12/13/2018 9.76%
1/13/2014 1/13/2019 9.78%
1/16/2017 1/31/2019 7.8%
3/20/2014 3/20/2019 9.9%
6/2/2014 6/2/2019 9.43%
6/19/2014 6/19/2019 9.25%
12/14/2016 12/14/2019 7.55%
1/22/2015 1/22/2020 8.6%
1/16/2017 1/31/2020 7.85%
3/1/2017 3/1/2020 7.9%
3/2/2017 3/2/2020 7.9%
3/3/2017 3/3/2020 7.9%
3/6/2017 3/6/2020 7.9%
6/7/2010 6/7/2020 8.99%
7/15/2010 7/15/2020 8.97%
8/14/2017 8/14/2020 7.3%
8/16/2017 8/14/2020 7.40%
8/18/2017 8/18/2020 7.35%
8/21/2017 8/21/2020 7.40%
8/28/2017 8/28/2020 7.35%
8/31/2015 8/31/2020 8.55%
9/6/2010 9/6/2020 9.10%
11/23/2010 11/23/2020 9.18%
1/16/2017 1/31/2021 7.85%
8/5/2016 8/5/2021 8.07%
9/2/2016 9/2/2021 8.01%
12/14/2016 12/14/2021 7.60%
3/23/2017 3/23/2022 8.25%
3/23/2017 3/23/2022 8.25%
4/25/2012 4/25/2022 9.54%
6/12/2012 6/12/2022 9.69%
7/23/2012 7/25/2022 9.7%
8/13/2012 8/16/2022 9.7%
8/14/2017 8/16/2022 7.4%
8/29/2012 8/29/2022 9.71%
9/13/2012 9/13/2022 9.67%
5/2/2013 5/2/2023 8.85%
5/21/2013 5/21/2023 8.32%
12/13/2013 12/13/2023 9.71%
1/13/2014 1/13/2024 9.74%
3/20/2014 3/20/2024 9.9%
6/2/2014 6/2/2024 9.44%
6/19/2014 6/19/2024 9.3%
1/22/2015 1/22/2025 8.5%
8/31/2015 8/31/2025 8.55%
2/2/2016 2/2/2026 8.48%
8/5/2016 8/5/2026 8.08%
9/2/2016 9/2/2026 8.04%
11/27/2012 11/27/2027 9.4%
8/5/2016 8/6/2029 0%
9/2/2016 9/3/2029 0% (XIRR 8.07%)
1/4/2017 1/4/2032 7.9%
10/4/2016 10/4/2026 8.15%
12/22/2010 12/22/2030 10.25%
1/6/2011 1/6/2031 10.25%
3/18/2011 Perpetual
5/11/2011 Perpetual 11.50%
5/15/2009 5/15/2019 10.40%
5/19/2009 5/19/2019 11.00%
4/23/2012 4/23/2022 2%
1/24/2013 1/24/2019 9.15%
1/24/2013 1/24/2021 9.15%
5/22/2015 5/22/2018 11.30%
11.8% Unpaid interests will be cumulative semi-annually on compounding basis at the relevant rate.
5/22/2015 5/22/2019 11.30%
5/22/2015 5/22/2020 11.30%
6/28/2013 6/28/2018 11%
8/16/2010 8/14/2025 11.69%
1/30/2015 4/30/2018 9.75%
9/29/2016 9/27/2019 8.8%
11/30/2016 5/31/2018 17.5%
11/30/2016 11/30/2020 17.5%
11/30/2016 11/30/2020 17.5%
1/28/2013 1/28/2018 10.24%
9/12/2014 9/11/2024 11%
1/31/2017 1/31/2020 8.45%
3/31/2017 3/31/2027 12%
10/3/2016 10/3/2026 7.59%
1/5/2009 1/5/2019 11.50%
6/8/2009 6/8/2019 10.50%
9/22/2006 9/22/2021 10.50%
5/23/2017 4/30/2020 8.44%
3/31/2012 3/31/2019 11.70%
7/30/2010 7/30/2025 Resate Rate
1/6/2010 1/6/2018 9.40%
12/24/2009 12/24/2018 9.19%
1/6/2010 1/6/2019 9.40%
2/8/2010 2/8/2019 9.35%
7/3/2009 7/3/2019 9.80%
8/20/2009 8/20/2019 9.75%
11/10/2009 11/10/2019 9.60%
2/2/2011 2/2/2021 9.70%
4/15/2011 4/15/2021 9.70%
4/25/2011 4/25/2021 9.70%
1/7/2011 1/7/2023 9.70%
1/18/2011 1/18/2023 970.00%
1/18/2017 1/18/2024 7.99%
8/31/2017 8/31/2024 8.05%
1/18/2017 1/18/2025 7.99%
5/31/2016 5/31/2025 8.7%
11/10/2016 11/10/2025 8.24%
5/6/2016 5/6/2026 8.7%
11/10/2016 11/10/2026 8.24%
5/25/2017 5/25/2027 8.25%
2/28/2017 2/26/2021 10%
12/9/2009 12/9/2019 2.00% p.a.
4/20/2017 4/20/2020 7.85%
7/27/2011 7/27/2021 9.95%
11/18/2011 11/18/2021 10.10%
1/20/2017 4/15/2022 7.85%
12/30/2009 12/30/2019 9.00%
9/25/2009 9/25/2019 9.86%
2/10/2012 2/10/2018 11.40%
2/10/2012 2/10/2022 11.40%
3/24/2014 3/24/2024 11.8%
6/9/2017 6/9/2024 10.7%
9/30/2015 9/30/2025 11.5%
7/16/2010 7/16/2020 8.49%
4/30/2012 5/15/2022 9.65%
6/20/2013 6/20/2023 8.95%
10/30/2015 10/30/2017 8.55%
8/20/2009 4/20/2020 9.75%
9/30/2015 10/31/2025 10.25%
3/7/2014 3/7/2024 9.85%
11/17/2014 11/17/2017 9.32%
4/25/2008 4/25/2018 10.10%
6/20/2008 6/20/2018 10.40%
7/23/2010 7/23/2018 9.15%
9/17/2010 9/17/2018 9.15%
7/23/2010 7/23/2019 9.15%
8/3/2016 8/2/2019 7.7%
9/17/2010 9/17/2019 9.15%
11/17/2014 11/17/2019 9.48%
7/23/2010 7/23/2020 9.15%
9/17/2010 9/17/2020 9.15%
7/23/2010 7/23/2021 9.15%
9/17/2010 9/17/2021 9.15%
7/23/2010 7/23/2022 9.15%
9/17/2010 9/17/2022 9.15%
12/28/2012 12/28/2022 9.40 %
1/12/2016 1/12/2023
7/23/2010 7/23/2023 9.15%
STATE BANK OF INDIA BASE RATE LINKED
9/17/2010 9/17/2023 9.15%
7/23/2010 7/23/2024 9.15%
9/17/2010 9/17/2024 9.15%
7/23/2010 7/23/2025 9.15%
9/17/2010 9/17/2025 9.15%
8/21/2012 8/21/2072 RESET RATE
6/2/2011 Perpetual Reset Rate (Refer Remark)
5/10/2017 11/9/2019 19.75%
12/15/2015 12/14/2018
3/10/2016 3/10/2019 13.34%
7/9/2015 11/5/2019 14.6%
12/16/2016 12/16/2019 12.72%
8/24/2017 8/24/2021 3.07%
14.3% (GROSS OF WITHHOLDING TAXES)
7/31/2017 7/31/2022 12.3%
4/27/2017 4/27/2023 12.75%
12/31/2012 12/31/2031 0%
3/28/2013 3/28/2032 0%
5/6/2013 5/5/2032 NA
5/6/2013 5/6/2032 0%
4/15/2013 4/15/2018 10.52%
8/31/2015 8/31/2018 9.37%
8/31/2015 8/30/2019 9.37%
8/31/2015 8/31/2020 9.37%
5/15/2008 5/14/2028 NA
1/8/2015 7/8/2018 19%
1/16/2012 PERPETUAL 0.01%
12/8/2016 12/7/2034 16.99%
1/11/2016 1/11/2020 18.25%
2/16/2016 2/16/2020 18.25%
3/30/2016 3/30/2020 18.25%
5/24/2016 5/24/2020 18.25%
6/29/2016 6/29/2020 18.25%
8/19/2016 8/19/2020 18.25%
9/9/2016 9/9/2020 18.25%
10/6/2016 10/6/2020 18.25%
12/1/2016 12/1/2020 18.25%
3/21/2017 3/21/2021 18.25%
3/24/2017 3/24/2021 18.25%
5/3/2017 5/3/2021 18.25%
5/19/2017 5/19/2021 18.25%
6/21/2017 6/21/2021 18.25%
6/28/2017 6/28/2021 18.25%
7/28/2017 7/28/2021 18.25%
8/10/2017 8/10/2021 18.25%
2/23/2017 2/22/2019 0%
2/23/2016 2/22/2036 0.1%
3/31/2016 3/31/2020 0.01%
3/31/2017 3/31/2021 0.01%
6/30/2017 6/30/2021 0.01%
6/24/2015 6/22/2018 9.2%
6/24/2015 6/24/2019 9.2%
6/24/2015 3/24/2020 9.2%
6/24/2015 6/24/2020 9.2%
12/29/2016 12/29/2020 7.8%
12/13/2016 12/13/2021 7.95%
3/25/2013 3/25/2021 10.35%
3/31/2017 4/6/2021 8.95%
3/25/2013 3/25/2022 10.35%
3/31/2017 4/6/2022 8.95%
9/26/2012 9/26/2022 10.35%
3/25/2013 3/25/2023 10.35%
3/31/2017 4/6/2023 8.95%
1/9/2015 1/8/2025 0%
10/28/2016 10/15/2022 17%
10/4/2017 10/3/2023 8%
10/6/2017 10/5/2023 8%
10/6/2017 10/5/2023 8%
3/31/2009 4/30/2019 9.50%
4/8/2009 4/30/2019 9.50%
11/29/2010 11/29/2020 8.90%
9/1/2011 9/1/2021 10.15%
11/16/2011 11/16/2021 10.20%
3/19/2012 4/19/2022 9.65%
6/30/2012 7/1/2022 9.95%
8/21/2012 8/21/2022 9.95%
2/25/2013 2/25/2023 9.50%
11/9/2015 11/9/2025 8.81%
2/25/2013 2/25/2028 9.60%
2/25/2013 2/25/2033 9.65%
11/24/2014 11/24/2017 8.7%
2/26/2016 1/25/2018 8.2%
3/12/2015 3/12/2018 8.4%
6/4/2015 6/4/2018 8.54%
8/20/2015 8/20/2018 8.53%
9/29/2015 9/29/2018 8.133%
12/30/2015 12/30/2018 8.35%
6/28/2016 6/28/2019 8.58%
7/28/2016 7/28/2019 7.93%
10/14/2016 10/14/2019 7.512%
12/30/2015 12/30/2019 8.45%
2/10/2017 2/10/2020 7.27%
3/24/2017 3/24/2020 7.62%
10/27/2016 4/27/2020 7.67%
6/29/2017 6/29/2020 7.45%
5/31/2017 6/30/2020 7.75%
7/14/2017 1/12/2021 7.40%
3/14/2011 3/13/2021 0.50%
6/26/2015 6/30/2019 18%
5/26/2017 5/25/2020 9%
3/31/2008 3/31/2018 8.60%
3/7/2009 3/7/2019 8.55%
9/9/2006 9/9/2021 8.95%
2/15/2007 2/15/2022 8.69%
3/7/2009 3/7/2024 8.65%
3/7/2017 9/12/2018 8.5%
9/15/2016 9/10/2019 7.84%
7/1/2016 12/15/2024 9.5%
10/13/2015 10/13/2025 17.45%
1/28/2016 1/28/2019 16%
1/28/2016 1/28/2019 18%
6/19/2017 6/19/2020 16%
8/12/2016 2/11/2020 17%
8/12/2016 2/11/2020 13.75%
11/18/2016 3/31/2019 16%
11/28/2016 9/30/2020 16%
11/18/2016 9/30/2021 16%
6/20/2017 6/20/2029 9.27%
3/18/2015 3/18/2018 10.5%
2/10/2017 4/24/2020 8.53%
3/17/2015 3/14/2028
10/1/2014 9/30/2019 1%
3/9/2015 3/8/2020 1%
5/4/2016 8/3/2019 15%
3/10/2016 6/10/2019 12%
6/5/2017 5/31/2019 9.25%
9/25/2015 9/25/2018 8.90%
10/26/2015 10/26/2018 8.79%
2/20/2017 2/20/2020 7.55%
12/30/2011 12/30/2017 12.75%
2/6/2012 2/6/2018 12.75%
RESET RATE (REFER REMAKRS)
3/27/2012 3/27/2018 12.75%
4/26/2012 4/26/2018 12.75%
2/22/2017 4/8/2020 13.5%
2/22/2017 4/8/2020 14.5%
10/14/2013 10/14/2018
2/17/2017 2/15/2021 8.97%
2/17/2017 2/15/2022 8.97%
2/17/2017 2/15/2023 8.97%
2/17/2017 2/15/2024 8.97%
2/17/2017 2/14/2025 8.97%
2/17/2017 2/13/2026 8.97%
2/17/2017 2/15/2027 8.97%
7/4/2016 7/4/2031 9.7%
9.68%(EQUIVALENT TO ANNUALIZED RATE OF 9.91% p.a.)
9/28/2016 9/26/2031 9.7%
3/31/2008 4/30/2018 9.50%
12/22/2008 4/22/2019 9.75%
3/8/2010 3/8/2020 8.92%
3/22/2006 3/22/2021 8.70%
12/22/2007 12/22/2022 9.35% (Refer remark)
12/28/2012 12/28/2022 9.00 %
3/25/2010 3/25/2025 Reset Rate (Refer remark)
3/31/2006 Perpetual 9.50%
2/9/2011 5/2/2018 12%
4/13/2011 5/2/2018 12%
9/28/2011 5/2/2018 12%
1/4/2012 5/2/2018 12%
2/9/2012 5/2/2018 12%
10/7/2016 10/7/2018 9.74%
11/16/2016 11/16/2018 9.65%
12/26/2014 12/26/2017 13.25%
7/1/2014 5/28/2019 13%
7/30/2013 7/30/2019
8/5/2015 8/5/2021
2/20/2015 2/20/2025 10%
4/21/2015 4/9/2018 7.84%
12/8/2015 12/18/2018 7.85%
8/8/2016 8/8/2019 7.57%
7/27/2016 8/13/2019 7.57%
8/8/2016 8/6/2021 7.57%
RESET RATE (REFER REMARK)
12.35% (GROSS OF WITHHOLDING TAXES. COUPON RESET-36 MONTHS FROM THE
10/18/2016 10/18/2021 7.15%
11/24/2016 11/24/2021 6.99%
11/25/2016 11/25/2021 6.93%
8/22/2016 8/21/2026 7.53%
3/28/2015 1/15/2025
3/29/2017 3/23/2027
8/30/2017 2/29/2024
12/23/2014 7/31/2018 17%
9/11/2017 9/11/2020 19%
12/28/2013 3/31/2023 0.1%
12/12/2007 4/12/2018 9.35%
9/17/2008 9/17/2018 10.95%
12/23/2008 12/23/2018 9.50%
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
12/30/2008 12/30/2018 8.60%
10/16/2006 10/16/2021 8.95% (Refer Remark)
12/28/2012 12/28/2022 8.90 %
11/22/2013 11/22/2023 9.8%
6/25/2009 6/25/2024 Reset Rate (Refer remark)
1/27/2010 1/27/2025 Reset Rate (Refer remark)
6/28/2010 6/28/2025 Reset Rate (Refer remark)
3/29/2016 3/29/2026 8.61%
8/22/2016 8/22/2026 8%
11/24/2016 11/24/2026 7.74%
10/10/2006 Perpetual 9.45% (Refer Remark)
12/12/2007 Perpetual 9.90% (Refer Remark)
9/9/2008 Perpetual 11.15% (Refer Remark)
3/30/2009 Perpetual Reset Rate (Refer remark)
6/16/2009 Perpetual Reset Rate (Refer remark)
9/15/2016 PERPETUAL 9.5%
5/3/2017 PERPETUAL 9.08%
7/14/2015 3/31/2019
3/20/2015 3/20/2028 15%
3/20/2015 3/20/2028 15%
3/6/2017 2/29/2024
1/15/2015 1/15/2028 15%
3/18/2015 3/18/2028 15%
3/20/2015 3/20/2028 15%
3/25/2009 3/25/2019 9.30%
12/28/2011 12/28/2021 9.20%
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
6/25/2013 6/25/2023 8.75%
8/23/2017 8/23/2027 9%
9/27/2017 9/27/2027 10.50%
12/5/2012 Perpetual 9.27%
9/29/2015 PERPETUAL 11.95%
10/5/2010 10/5/2018 10.25%
6/8/2012 6/8/2019 10.35%
10/5/2010 10/5/2019 10.35%
10/5/2010 10/5/2021 10.42%
6/8/2012 6/8/2022 10.4%
10/5/2010 10/5/2022 10.47%
7/6/2011 7/6/2026 Reset Rate ( Refer Remark )
9/30/2014 3/31/2021 8.5%
9/30/2014 3/31/2022 8.5%
3/15/2017 5/15/2020 0%
3/20/2017 6/4/2020 0%
3/15/2017 8/15/2020 0%
3/20/2017 10/5/2020 0%
3/20/2017 2/4/2021 0%
4/14/2017 6/14/2021 0%
9/12/2016 9/11/2036 0.0001%
4/20/2017 4/19/2037 0.001%
9/12/2016 9/11/2036 0.0001%
4/20/2017 4/19/2037 0.001%
9/12/2016 9/11/2036 0.0001%
4/20/2017 4/19/2037 0.001%
9/12/2016 9/11/2036 0.0001%
4/20/2017 4/19/2037 0.001%
7/5/2017 7/4/2037 0.001%
12/23/2015 5/22/2021 11%
2/6/2007 2/6/2022 9.50% (Refer remark)
12/28/2016 6/28/2019 10.5%
12/30/2016 12/13/2019 11%
12/29/2016 12/27/2019 10.80%
1/16/2017 1/16/2020 10.20%
12/29/2016 12/29/2021
1/12/2017 6/30/2022 12%
1/12/2017 1/12/2026
12/10/2013 11/13/2017 14.8%
RESET RATE (REFER REMARKS)
RESET RATE (ON INTEREST RESET DATE, i.e. 36 MONTHS FROM THE DATE OF ALLOTMENT)
9/11/2015 9/13/2019
9/18/2014 9/17/2020 13.95%
2/26/2016 2/26/2021
3/17/2016 3/17/2021 12.50%
11/27/2015 11/27/2021
11/22/2013 11/22/2018 9.8%
12/28/2015 7/31/2018 20.25%
1/12/2017 1/31/2024
3/31/2011 3/31/2018 0%
3/31/2012 3/31/2019 0%
10/3/2016 6/30/2021 10.1%
8/13/2015 8/12/2018 17.5%
10/30/2015 4/29/2019 17.50%
SBI BASE RATE LINKED (REFER REMARKS)
RESET RATE (REFER REMARKS)
SBI BASE RATE LINKED (REFER REMARKS)
9%, 1 YEAR (G-SEC 6.532%+ SPREAD 2.468%-) COUPON RESET ANNUALLY (AT MUTUALLY ACCEPTED
3/14/2016 9/11/2019 18%
3/2/2017 9/3/2020 16.5%
2/22/2011 10/30/2022 NA
4/24/2009 4/23/2019 0%
7/15/2014 7/14/2018 13%
9/8/2017 9/8/2020 7.59%
9/8/2017 9/8/2021 7.69%
9/8/2017 9/8/2022 7.75%
3/16/2015 3/16/2018 19.5%
2/28/2017 2/28/2020 8.1%
2/27/2017 6/30/2022 7.7%
12/14/2012 12/14/2017 9%
12/27/2012 12/27/2017 9 %
4/23/2013 4/23/2018 9%
8/25/2017 2/28/2021 18.25%
11/7/2015 4/15/2018 0%
8/2/2017 5/22/2021
2/29/2016 2/28/2022 14%
12/21/2016 12/31/2022
12/21/2016 12/31/2022
5/11/2015 5/21/2018 15%
12/21/2016 12/31/2022
12/21/2016 12/31/2022
1/27/2017 1/24/2037
2/16/2017 2/16/2037 15%
2/16/2017 PERPETUAL 15%
10.4%, i.e 1 YEAR MCLR OF SBI OF 8% + SPREAD OF 240 BPS)
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
BENCHMARK MCLR RATE LINKED (REFER REMARKS)
6/2/2017 6/2/2037 16%
4/6/2017 10/6/2019 14%
5/31/2017 5/31/2019 7.60%
9/30/2016 9/27/2019 8.65%
10/28/2016 10/28/2019 8.25%
11/30/2016 11/29/2019 7.5%
9/30/2016 4/20/2020 8.7%
11/22/2016 4/22/2020 7.95%
8/17/2015 8/17/2020 9.45%
10/7/2016 4/15/2021 8.75%
10/7/2016 9/15/2021 8.75%
8/31/2016 5/31/2020 14%
8/31/2016 5/31/2020 14%
8/31/2016 5/31/2020 14%
6/1/2015 5/31/2023 11%
6/1/2015 5/31/2023 12.9%
6/18/2015 5/31/2023 11%
6/18/2015 5/31/2023 12.9%
11/16/2015 5/31/2023 11%
11/16/2015 5/31/2023 11%
9/27/2016 9/26/2036 0.0001%
9/28/2016 9/27/2036 0.0001
9/28/2016 9/27/2036 0.0001%
10/24/2016 10/23/2036 0.0001%
9/28/2016 9/27/2036 0.0001%
3/31/2016 3/31/2021 12%
3/15/2016 3/31/2019
9/10/2014 9/9/2023 14%
1/30/2015 7/31/2018 18%
2/6/2015 3/31/2020 19%
8/21/2017 4/30/2021 14.65%
12/9/2015 3/31/2019
6/29/2017 6/30/2021
6/29/2017 6/30/2021
1/17/2017 1/16/2021 9%
7/31/2007 10/31/2017 9.50%
12/31/2007 4/30/2018 9.35%
3/17/2008 3/17/2023 9.45%
12/23/2013 12/23/2023 9.73%
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
10/30/2014 10/30/2024 9.15%
2/18/2015 2/18/2025 8.62%
1/22/2016 1/22/2026 8.64%
2/2/2015 Perpetual 9.54%
3/27/2015 Perpetual 10.4%
3/30/2016 PERPETUAL 11.25%
1/17/2017 PERPETUAL 10.49%
11/20/2015 12/19/2018 12%
8/25/2016 6/30/2020
8/12/2015 8/12/2018 20%
3/31/2016 8/12/2018 20%
2/15/2017 2/15/2022 8.5%
4/29/2015 4/28/2020
RESET RATE(REFER REMARKS)
SBI BASE RATE LINKED (REFER REMARKS)
8/23/2017 5/23/2022 0%
2/29/2016 4/15/2023 9%
1/31/2017 2/3/2020 13.45%
7/4/2017 7/3/2020 13.5%
9/21/2016 9/21/2022 16.9%
7/10/2015 1/9/2020 18%
1/4/2017 3/30/2018 16%
5/17/2016 5/17/2018 13%
6/27/2016 6/27/2018 13%
1/4/2017 3/29/2019 16%
1/4/2017 3/31/2020 16%
10/14/2016 10/14/2019 16.01%
9/22/2016 9/21/2018 RESET RATE (REFER REMAKRS)
7/21/2017 6/30/2022 12%
9/30/2015 3/31/2018 18.5%
1/6/2017 4/6/2018 11.45%
9/2/2013 9/10/2018 13.75%
1/6/2017 1/4/2019 11.45%
11/20/2014 11/13/2019 13.5%
11/29/2016 11/29/2019 11.20%
11/30/2016 11/29/2019 11.45%
1/6/2017 1/6/2020 11.45%
6/25/2015 6/25/2021 13.25%
7/27/2016 7/27/2022 11.7%
1/16/2012 1/15/2024
1/27/2017 1/27/2047
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
2/10/2017 2/10/2047
12/22/2016 12/23/2019 3%
5/17/2017 9/30/2020 8.25%
6/12/2015 7/10/2018 8.05%
6/12/2015 7/10/2019 8.15%
6/12/2015 7/10/2020 8.25%
12/1/2014 12/1/2017 8.85%
12/28/2015 6/28/2018 8.63%
5/29/2015 7/30/2018 8.65%
9/20/2016 9/20/2018 8.4%
10/10/2016 10/10/2018 7.93%
12/28/2015 12/28/2018 8.63%
6/12/2017 6/12/2019 7.98%
RESET RATE (REFER REMARKS)
9/20/2016 9/20/2019 8.47%
5/29/2015 5/29/2020 8.65%
6/12/2017 6/19/2020 8.05%
7/11/2017 7/13/2020 7.83%
9/11/2017 9/11/2020 7.50%
10/21/2015 7/31/2018 21.25%
8/25/2016 8/24/2026 9.5%
9/22/2016 9/21/2026 9.5%
7/1/2016 7/1/2019 0%
3/31/2017 7/31/2020 0%
3/31/2017 8/2/2022 0%
6/23/2015 6/22/2018 17%
5/11/2015 5/10/2019 17.5%
2/28/2017 2/27/2024
11/17/2011 8/1/2021 20%
11/29/2012 8/1/2025 19%
8/30/2017 9/30/2023
12/9/2016 6/8/2018 NA
2/17/2017 2/16/2037 10.5%
12/20/2002 12/20/2017 9.20%
4/9/2008 4/9/2018 7.25%
9/9/2010 9/9/2020 7.50%
8/14/2012 8/14/2022 10.6%
5/9/2013 5/9/2023 8.71%
10/30/2012 10/29/2022 ZERO COUPON
3/10/2017 3/9/2037 10%
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
3/22/2017 3/22/2020 16.5%
1/18/2017 1/17/2018 0%
12/23/2016 1/23/2018
3/30/2016 3/30/2018 9.84%
3/30/2016 5/30/2019 9.84%
11/9/2012 11/9/2022 11%
8/3/2010 8/3/2025 9.55%
10/1/2016 9/30/2021 0%
12/30/2016 12/29/2021 0%
2/27/2017 2/26/2022 0%
4/15/2015 4/15/2025
3/30/2017 3/31/2027 0%
1/30/2017 1/31/2022 8%
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
3/28/2014 3/31/2024
12/20/2016 12/19/2017 0%
1/12/2017 1/11/2018 0%
12/12/2008 12/12/2018 9.30%
3/25/2009 3/25/2019 8.90%
12/30/2009 12/30/2019 8.60%
3/3/2010 3/3/2020 8.60%
9/5/2011 9/5/2021 9.60%
3/27/2012 3/27/2022 9.48%
5/2/2012 5/2/2022 9.52%
6/21/2012 6/21/2022 9.7%
8/31/2012 8/31/2022 9.7%
1/30/2013 1/30/2023 9.65%
RESET RATE (REFER REMARKS)
2/24/2014 2/24/2024 9.7%
7/8/2014 7/8/2024 9.8%
5/5/2016 5/5/2026 9.8%
4/7/2010 4/6/2020 9.15%
4/7/2010 4/6/2020 9.20%
4/1/2002 1/1/2018 8.50%
1/1/2002 1/1/2018 8.50%
8/16/2010 8/16/2025 9.34%
10/25/2010 10/25/2025 9.34%
8/4/2011 8/4/2026 10.85%
10/16/2009 10/16/2019 9.75%
7/26/2011 7/26/2021 10.29%
6/29/2007 6/30/2020 Reset Rate (Refer Remark)
12/26/2014 1/31/2023 10.2%
12/18/2014 9/15/2023 8%
12/26/2014 9/15/2023 11.05%
7/18/2014 1/31/2018 18%
5/12/2015 1/31/2018 18%
6/12/2015 1/31/2018 18%
8/7/2015 1/31/2018 18%
3/21/2016 1/31/2018 18%
12/20/2016 1/31/2018 18%
3/9/2017 1/31/2018 18%
7/10/2017 3/31/2019 18%
2/9/2017 2/8/2037
6/1/2016 2/28/2025 10.6%
RESET RATE(REFER REMARKS)
6/1/2016 2/28/2025 9.7%
6/14/2016 2/28/2026 SBI BASE RATE LINKED
5/20/2016 3/8/2026 SBI BASE RATE LINKED
9/21/2017 9/20/2027 13%
9/18/2017 9/17/2037 13%
11/30/2015 11/30/2018 12%
3/31/2016 3/31/2019 12%
5/30/2016 5/30/2019 12%
7/13/2016 7/13/2019 12%
8/22/2016 8/22/2019 12%
12/8/2016 12/8/2019 12%
3/18/2016 3/18/2019 11.7%
1/30/2017 1/30/2020 RESET RATE (REFER REMARKS)
5/30/2017 4/30/2020
7/26/2017 4/30/2020
8/4/2015 2/3/2018 11.5%
8/4/2015 8/3/2018 11.5%
11/22/2016 11/21/2026
8/16/2017 8/15/2027
1/22/2010 1/22/2020 9.65%
9/30/2009 4/30/2020 9.65%
9/30/2010 4/30/2020 9.30%
7/25/2011 7/25/2021 10.30%
10/28/2011 10/28/2021 10.20%
3/28/2012 3/28/2022 9.90%
4/20/2007 4/20/2022 10.40% (Refer remark)
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
RESET RATE (REFER REMARKS)
8/23/2012 8/23/2022 10%
9/10/2012 9/10/2022 10%
10/16/2012 10/16/2022 10%
10/31/2012 10/31/2022 9.9%
11/8/2007 11/8/2022 10.70%
9/15/2008 9/15/2023 11.75% (Refer remark)
12/29/2016 12/29/2023 7.62%
2/24/2015 2/24/2025 8.85%
6/29/2015 6/30/2025 9.15%
8/5/2015 8/5/2025 8.95%
8/14/2010 8/14/2025 Reset Rate (Refer remark)
9/8/2010 9/8/2025 9.50%
12/31/2015 12/31/2025 8.9%
1/15/2016 1/15/2026 9%
1/20/2016 1/20/2026 9.05%
3/31/2016 3/31/2026 9%
9/30/2016 9/30/2026 8%
6/29/2012 6/29/2027 10.25%
9/28/2012 9/28/2027 10.15%
9/29/2017 9/29/2027 7.8%
10/3/2017 10/1/2027 7.8%
11/10/2012 11/10/2027 10.25%
12/27/2012 12/27/2027 10.05%
2/21/2009 Perpetual 10.25% (Refer remark)
3/9/2009 Perpetual 10.25%
3/5/2010 Perpetual 10.25% (Refer Remark)
8/21/2010 Perpetual Reset Rate (Refer remark)
12/31/2013 Perpetual 10.50%
12/23/2016 PERPETUAL 9.5%
9/12/2017 10/12/2020 0%
6/25/2008 6/25/2025 RESET RATE
6/25/2008 6/25/2025 RESET RATE
6/25/2008 6/25/2025 RESET RATE
6/25/2008 6/25/2025 RESET RATE
6/25/2008 6/25/2025 RESET RATE
8/7/2008 8/7/2025 RESET RATE
1/20/2009 1/20/2026 RESET RATE
10/8/2009 10/8/2026 RESET RATE
3/31/2010 3/31/2027 RESET RATE
3/31/2010 3/31/2027 RESET RATE
4/23/2015 4/23/2027 0% (AT A YIELD OF 15%)
9/26/2017 9/26/2019 11.5%
4/14/2017 6/14/2021 0%
4/14/2017 6/14/2021 0%
4/8/2015 7/8/2020 0%
7/1/2016 6/29/2018 12.51% XIRR
10/14/2016 10/12/2018 12.26% XIRR
3/8/2017 3/7/2019 11.4% XIRR
12/29/2016 7/28/2022 13.25%
9/1/2015 3/1/2018 18%
2/9/2017 2/8/2020 11.5%
001-500
1-50
1-50
1-60
1-125
1-115
1-90
1-300
NA 1-300
1-75
1-100
1-300
Frequency of the Interest Payment with specified dates
Put/Call Option with specified dates
Certificate Nos/(Dist/ NO) from-To
SEMI ANNUAL ON 13TH NOV AND 13TH MAY EVERY YEAR STARTING FROM 13-NOV-16 TILL 13-MAY-19
Put: NACall: NA
QUARTERLY ON 30TH JUNE, 30TH SEP, 31ST MARCH AND 31SE DEC EVER YEAR STARTING FROM 30-SEP-16
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC STARTING 31-MAR-17 TILL 31-MAR-19 AND ON
Put: NACall:15 DAYS BEFORE DATE OF MATURITY
QUARTERLY ON 30TH JUNE, 30TH SEP, 31ST MARCH AND 31SE DEC EVER YEAR STARTING FROM 30-SEP-16
Put: NACall: NA
ANNUAL ON 06-FEB-18, 06-FEB-19, 06-FEB-20 AND 09-APR-20
Put: NACall:04/03/2020
ANNUAL ON 08-FEB-18, 08-FEB-19, 10-FEB-20 AND 09-APR-20
Put: NACall:04/03/2020
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC STARTING 31-MAR-17 TILL 31-MAR-20 AND ON
Put: NACall:15 DAYS BEFORE DATE OF MATURITY
QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR STARTING 30-JUN-17 TILL 31-MAR-20 AND ON 15-
Put: NACall: NA
Put:27/04/18, 26/04/19Call:27/04/18, 26/04/19
QUARTERLY ON 30TH JUNE, 30TH SEP, 31ST MARCH AND 31SE DEC EVER YEAR STARTING FROM 30-SEP-16
Put: NACall: NA
QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR STARTING 30-JUN-17 TILL 31-MAR-21 AND ON 15-
Put: NACall: NA
QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR STARTING 30-JUN-16 TILL 31-MAR-21 AND ON 29-
Put: NACall:a)14/04/19 FOR FIRST REDEMPTION OF RS100 CRS b) 14/04/20 FOR SECOND REDEMPTION OF
1-100
1-150
1-150
1-200
1-200
801-1058
1059-1445
NA
1
NA
NA
1
1
MONTHLY ON 14-NOV-16, 13-DEC-16, 13-JAN-17, 13-FEB-17, 13-MAR-17, 13-APR-17, 15-MAY-17, 13-
Put: NACall: NA
MONTHLY ON 07-APR-17, 08-MAY-17, 07-JUN-17, 07-JUL-17, 07-AUG-17, 07-SEP-17, 09-OCT-17, 07-NOV-17,
Put: NACall: NA
QUARTERLY ON 15 JUN, 15 SEP, 15 DEC AND 15 MAR STARTING 15-JUN-17 TILL 15-MAR-20
Put: NACall: NA
QUARTERLY 29TH SEP, 30TH DEC, 30TH MARCH AND 29TH JUNE EVERY YEAR STARTING FROM 29-
Put:30/08/2019Call:30/08/2019
QUARTERLY 29TH SEP, 30TH DEC, 30TH MARCH AND 29TH JUNE EVERY YEAR STARTING FROM 29-
Put:36 MONTHS FROM THE DEEMED DATE OF ALLOTMENT i.e 09-SEP-19Call:36 MONTHS FROM THE DEEMED DATE OF ALLOTMENT i.e 09-SEP-19
SEMI ANNUAL ON 15 MAR AND 15 SEP STARTING 15-MAR-18 TILL 15-SEP-22
Put:15/09/2020Call:15/09/2020
SEMI ANNUAL ON 05 APR AND 05 OCT STARTING 05-APR-18 TILL 05-OCT-22
Put:05/10/2020Call:05/10/2020
MONTHLY ON 21 STARTING 21-SEP-17
Put: NACall: NA
ANNUAL 27/11/15, 27/11/16 AND 27/11/17
Put:27/11/17Call: NA
MONTHLY STARTING FROM 30.03.2013 AND SUBSEQUENTLY ON LAST DAY OF EVERY
Put: NACall: NA
MONTHLY STARTING FROM 30.06.2013 AND SUBSEQUENTLY ON LAST DAY OF EVERY MONTH
Put: NACall: NA
ANNUAL 27/11/15, 27/11/16, 27/11/17 AND 27/11/18
Put:27/11/18Call: NA
ANNUAL 27/11/15, 27/11/16, 27/11/17, 27/11/18 AND 27/11/19
Put:27/11/19Call: NA
NA
NA NA
1-702703
NA
NA
NA
702704-1405405
NA
NA
NA
NA NA
NA NA
NA
ANNUAL 16-DEC-15, 16-DEC-16, 16-DEC-17 AND 18-APR-18
Put: NACall: NA
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY CALENDER MONTH TILL REDEMPTION STARTING
Put:1. ANY DEBENTURE HOLDER SHALL HAVE THE RIGHT TO DEMAND EARLY REDEMPTION OF
ANNUAL 16-DEC-15, 16-DEC-16, 16-DEC-17, 16-DEC-18 AND 18-APR-19
Put:16/12/17 AND 16/12/18Call: NA
ANNUAL 20-SEP-17, 20-SEP-18 AND SO ON
Put: NACall: NA
ANNUAL 16-DEC-15, 16-DEC-16, 16-DEC-17, 16-DEC-18 AND 18-NOV19
Put:16/12/17 AND 16/12/18Call: NA
MONTHLY ON LAST DAY OF EVERY CALENDER MONTH TILL REDEMPTION STARTING
Put:1. ANY DEBENTURE HOLDER SHALL HAVE THE RIGHT TO DEMAND EARLY REDEMPTION OF
ANNUAL 30-JAN-16, 30-JAN-17, 30-JAN-18, 30-JAN-19, 30-JAN-20 AND 13-APR-20
Put:PUT OPTION CAN BE EXCERCISED AT THE END OF 3RD YEAR FROM THE DEEMED DATE OF
ANNUAL 27-FEB-16, 27-FEB-17, 27-FEB-18, 27-FEB-19, 27-FEB-20 AND 13-APR-20
Put:PUT OPTION CAN BE EXCERCISED AT THE END OF 3RD YEAR FROM THE DEEMED DATE OF
ANNUAL 20-SEP-17, 20-SEP-18 AND SO ON
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL 20-SEP-17, 20-SEP-18 AND SO ON
Put:20/09/2019Call: NA
NA NA
NA
NA NA
ON MATURITY i.e 30-JUN-18 1-4
ON MATURITY i.e 30-JUN-18 5-44
01-1300
371-570
01-110
NA 0001-2500
1-15000
1-60
NA
1-4850
Put: NACall: NA
ANNUAL 20-SEP-17, 20-SEP-18 AND SO ON
Put:20/09/2019Call: NA
Put: NACall: NA
Put: NACall:THERE IS NO SPECIFIED DATE TO EXCERCISE CALL OPTION, THE ISSUER SHALL Put: NACall:THERE IS NO SPECIFIED DATE TO EXCERCISE CALL OPTION, THE ISSUER SHALL QUARTERLY ON 15-MAR-
17, 15-JUN-17, 15-SEP-17, 15-MAR-18, 15-JUN-18, 15-SEP-18, 15-MAR-19, 15-
Put: NACall: NA
QUARTERLY ON 15-JUN-17, 15-SEP-17, 15-DEC-17, 15-MAR-18, 15-JUN-18, 15-SEP-18, 15-DEC-18, 15-
Put: NACall: NA
QUARTERLY ON 30 SEP, 31 DEC, 31 MAR AND 30 JUN STARTING 30-SEP-16 TILL 31-MAR-22
Put: NACall: NA
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC STARTING 31-DEC-15 TILL 30-SEP-19 AND ON 17-
Put: NACall: NA
QUARTERLY ON 31ST MARCH, 30TH JUNE, 30TH SEPT, AND 31ST DECTHE INTEREST FOR MORATORIUM PERIOD SHALL ACCURE AND BE PAYABLE AT THE END OF
Put:ON EVENT OF DEFAULT/ SPECIFIC EVENT OF DEFAULT AS PER PROVISIONS OF
QUARTERLY ON 30 SEP, 31 DEC, 31 MAR AND 30 JUN STARTING 30-SEP-16 TILL 30-JUN-21
Put:AFTER EXPIRY OF 36 MONTHS FROM THE DATE OF ALLOTMENTCall: NA
MONTHLY ON 1ST OF EVERY MONTH STARTING 01-APR-15 TILL 01-MAR-18
Put: NACall:OPTION AVAILABLE AFTER 12 MONTHS
1-2645
1-3500
01-850
NA
NA
1-100
1-2345
NA
1-150
1-200
1-2345
1-200
001-500
MONTHLY ON 1ST OF EVERY MONTH STARTING 01-NOV-15 TILL 01-OCT-18
Put: NACall:CALL OPTION AVAILABLE AFTER 12 MONTHS
SEMI ANNUAL ON 15TH JAN AND 15TH JUL EVERY YEAR STARTING 15/01/15
Put:ANY DATE AFTER EXPIRY OF 3 MONTHS FROM THE DATE OF ISSUE IN FULL OR PART
MONTHLY ON 15TH OF EVERY MONTHSTARTING 15-JUL-16 TILL 15-JUN-22
Put: NACall: NA
MONTHLY ON 30-JUN-17, 31-JUL-17, 31-AUG-17, 29-SEP-17, 31-OCT-17, 30-NOV-17, 29-DEC-18, 31-
Put:ANY TIME AFTER 1 YEAR FROM THE ISSUE DATECall: NA
MONTHLY ON LAS DAY OF EVERY MONTH STARTING 31-JUL-17 TILL 30-APR-18
Put:ANY TIME AFTER 1 YEAR FROM THE ISSUE DATECall: NA
MONTHLY 25-MAR-16, 27-APR-16, 27-MAY-16, 27-JUN-16, 27-JUL-16, 26-AUG-16, 27-SEP-16, 27-OCT-16,
Put: NACall: NA
SEMI ANNUAL 13 MAY AND 13 NOV STARTING 13-NOV-16 TILL 13-MAY-19
Put: NACall: NA
SEMI ANNUAL 31-MAY-17, 30-NOV-17, 31-MAY-18, 30-NOV-18, 31-MAY-19, 29-NOV-19, 29-MAY-20 AND
Put: NACall: NA
SEMI ANNUAL ON 30-SEP-16, 30-MAR-17, 30-SEP-17, 30-MAR-18, 30-SEP-18, 01-APR-19, 30-SEP-19, 30-
Put:01/04/2019Call:01/04/2019
SEMI ANNUAL ON 29 OCT AND 29 PAR STARTING 29-OCT-16 TILL 29-APR-21
Put:29/04/2019Call:29/04/2019
SEMI ANNUAL ON 25 JAN AND 25 JUL STARTING 25-JAN-17 TILL 25-JUL-21
Put:25/07/2019Call:25/07/2019
QUARTERLY 30TH MARCH, 29TH JUNE, 29TH SEPTEMBER AND 30TH DECEMBER EVERY YEAR
Put:DATE FALLING ON COMPLETION OF 36 MONTHS BEING 31/12/2018 FROM THE
SEMI ANNUAL ON 12 JUN AND 12 DEC STARTING 12-JUN-17 TILL 12-JUN-20
Put: NACall: NA
4001-40166/(1-194440)
NA 5001-50500/(1-698460)
3001-30366/(1-642420)
NA
6001-61009/(1-1943450)
7001-70165/(1-271850)
NA 8001-80834/(1-1432600)
230001-230427/(1-80141)
240001-240237/(1-33420)
NA 250001-250523/(1-87933)
270001-270531/(1-95617)
ANNUAL ON 01 APR STARTING 01-APR-16
Put: NACall: NA
Put: NACall: NA
MONTHLY ON 1 OF EVERY MONTH STARTING 01-MAY-15
Put: NACall: NA
MONTHLY ON 1 OF EVERY MONTH STARTING 01-JUL-16
Put: NACall: NA
210001-210656/(1-126669)
Put: NACall: NA
220001-221380/(1-216540)
MONTHLY ON 1 OF EVERY MONTH STARTING 01-MAY-15
Put: NACall: NA
ANNUAL ON 01 APR STARTING 01-APR-16
Put: NACall: NA
Put: NACall: NA
MONTHLY ON 1 OF EVERY MONTH STARTING 01-JUL-16
Put: NACall: NA
ANNUAL ON 18 MAY STARTING 18-MAY-17
Put: NACall: NA
Put: NACall: NA
MONTHLY ON 1 OF EVERY MONTH STARTING 01-JUL-16
Put: NACall: NA
260001-262548/(1-605028)
ANNUAL 18 MAY EVERY YEAR STARTING 18-MAY-17
Put: NACall: NA
NA
NA
ANNUAL ON 31 MAR UNCD 1/ (001-83000)
ANNUAL ON 31 MAR UNCD 2/ (83001-119000)
UND1/(01-33500)
UND1/(01-80700)
UND1/(01-17500)
NA 001/(01-102821792)
NA NA
1-100
151-250
1-150
Put: NACall: NA
280001-281872/(1-403360)
QUARTERLY ON 30 MAR, 29 JUN, 29 SEP AND 30 DEC EVERY YEAR
Put:SHALL BE THE DATE FALLING ON COMPLETITION OF 36 MONTHS FROM THE DEEMED DATE OF Put:IF PUT OPTION IS EXCERCISED BY THE SUBSCRIBER BEFORE EXPIRY OF 5 YEARS NO Put:IF PUT OPTION IS EXCERCISED BY THE SUBSCRIBER BEFORE EXPIRY OF 5 YEARS NO
ANNUAL ON 31 MAR EVERY YEAR
Put:PUT OPTION IS EXCERCISED BY THE SUBSCRIBER ON COMPLETION OF 1 YEAR. IF
UNCD1-UNCD 3/(001-250000)
ANNUAL ON 31 MAR EVERY YEAR
Put: NACall:EACH DEBENTURE SHALL BE REDEEMED THE CALL OPTION IS EXCERCISED BY EITHER ANNUAL ON 31 MAR EVERY
YEARPut:PUT OPTION IS EXCERCISABLE BY SUBSCRIBER ON COMPLETION OF 1 YEAR
ANNUAL ON 31 MAR EVERY YEAR
Put:PUT OPTION IS EXCERCISABLE BY SUBSCRIBER ON COMPLETION OF 1 YEAR Put: NACall: NA
Put:ANY DAY AFTER 06/01/19 AND BEFORE 06/07/19Call:ANY DAY AFTER 06/01/19 AND BEFORE 06/07/19
MONTHLY 25-MAR-16, 27-APR-16, 27-MAY-16, 27-JUN-16, 27-JUL-16, 26-AUG-16, 27-SEP-16, 27-OCT-16,
Put: NACall: NA
MONTHLY ON 01-AUG-16, 01-SEP-16, 03-OCT-16, 01-NOV-16, 01-DEC-16, 02-JAN-17, 01-FEB-17, 01-
Put: NACall: NA
MONTHLY ON 07-APR-17, 08-MAY-17, 07-JUN-17, 07-JUL-17, 07-AUG-17, 07-SEP-17, 09-OCT-17, 07-NOV-17,
Put: NACall: NA
1-50
1-50
1-100
1-445
1-7500
1-3779
1-2500
ON MATURITY - 22-SEP-20 1-6000
NA 1351-1471
NA 751-950
NA 951-1150
NA 1-350
001-670
QUARTERLY ON 29 SEP, 30 DEC, 30 MAR AND 29 JUN STARTING 29-SEP-16 TILL 29-JUN-22
Put:29/06/2019Call: NA
QUARTERLY ON 29 SEP, 30 DEC, 30 MAR AND 29 JUN STARTING 29-SEP-16 TILL 30-JUN-22
Put:04/07/2019Call: NA
MONTHLY ON 03-NOV-16, 05-DEC-16, 03-JAN-17, 03-FEB-17, 03-MAR-17, 03-APR-17, 03-MAY-17, 05-
Put: NACall: NA
MONTHLY LAST DAY OF EVERY MONTH STARTING FROM 31-JAN-17
Put: NACall: NA
MONTHLY ON START OF EVERY MONTH STARTING 03-NOV-16
Put: NACall: NA
MONTHLY LAST DAY OF EVERY MONTH STARTING FROM 31-JAN-17
Put: NACall: NA
MONTHLY LAST DAY OF EVERY MONTH STARTING FROM 31-JAN-17
Put: NACall: NA
Put:22/12/18, 22/03/19, 22/09/19Call:22/03/19, 22/09/19
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
SEMI ANNUAL ON 13TH NOV AND 13TH MAY EVERY YEAR STARTING FROM 13-NOV-16 TILL 13-MAY-19
Put: NACall: NA
1-120
NA
1-8500
1-18000
01-1747
NA 01/(0001-2000)
NA 01/(0001-2000)
NA 01/(0001-2000)
002/(101-624)
003/(917-16317)
004/(16318-17214)
005/(17215-18006)
EVERY YEAR ON 31 MAR 001/(00000001-49754636)
MONTHLY FOR e.g. 30-SEP-15, 31-OCT-15 etc.
Put: NACall: NA
ANNUAL ON 31 MAR EVERY YEAR
Put: NACall: NA
ANNUAL ON 25TH APR STARTING 25/04/15 TILL 25/04/20
Put:AT THE END OF 60 MONTHS FROM THE DATE OF ALLOTMENT AND AT EVERY 6 MONTHS
ON MATURITY i.e 18-APR-23
Put: NACall: NA
QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR
Put: NACall: NA
Put: NACall:AT ANY TIME AFTER THE EXPIRY OF SIX MONTHS FROM THE DATE OF ALLOTMENT. HOWEVER Put: NACall:AT ANY TIME AFTER THE EXPIRY OF SIX MONTHS FROM THE DATE OF ALLOTMENT. HOWEVER Put: NACall:AT ANY TIME AFTER THE EXPIRY OF SIX MONTHS FROM THE DATE OF ALLOTMENT. HOWEVER EVERY YEAR ON 31
MARCHPut: NACall: NA
EVERY YEAR ON 31 MARCH
Put: NACall: NA
EVERY YEAR ON 31 MARCH
Put: NACall: NA
EVERY YEAR ON 31 MARCH
Put: NACall: NA
Put: NACall: NA
EVERY YEAR ON 31 MAR 002/(49754637-64990886)
1-5500
5501-7500
ANNUAL 31 MAR 1/(1 - 49754636)
5501-7500
ANNUAL 31 MAR
ANNUAL 31 MAR 2 (49754637 - 64990886)
5501-7500
009/(106349790-128283607)
016/(143263826-162552625)
017/(162552626-190863625)
018/(162552626-190863625)
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 30-APR-17 TILL 31-MAR-22
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 30-APR-17 TILL 31-MAR-22
Put: NACall: NA
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 30-APR-17 TILL 31-MAR-22
Put: NACall: NA
Put: NACall: NA
3A,4 / (64990887 - 328019686, 378339687 - 588155986)
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 30-APR-17 TILL 31-MAR-22
Put: NACall: NA
EVERY YEAR ON 31ST MARCH
Put: NACall: NA
007,008/(42594568-106349789)
EVERY YEAR ON 31ST MARCH
Put: NACall: NA
EVERY YEAR ON 31ST MARCH
Put: NACall: NA
EVERY YEAR ON 31ST MARCH
Put: NACall: NA
EVERY YEAR ON 31ST MARCH
Put: NACall: NA
019/(196735626-197892942)
1-8000
01/(0001-1300)
NA NA
NA
NA
NA
NA
NA
NA
NA
NA
EVERY YEAR ON 31ST MARCH
Put: NACall: NA
EVERY YEAR ON 31ST MARCH
Put: NACall: NA
020,021/(197892943-210277302)
QUARETRLY ON 31 DEC, 31 MAR, 30 JUN AND 30 SEP STARTING 31-DEC-15 TILL 30-SEP-19
Put: NACall:AFTER THE EXPIRY OF 12 MONTHS FROM THE CLOSING DATE AND PRIOR TO LAST REDEMPTION QUARTERLY ON 30 MAR,
30 JUN, 30 SEP AND 30 DEC STARTING 30-MAR-19 TILL 30-SEP-22
Put: NACall: NA
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING FROM 31-MAY-15 TILL 28-FEB-19
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING FROM 31-MAY-15 TILL 28-FEB-19
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING FROM 30-JUN-15 TILL 28-FEB-19
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING FROM 31-JUL-15 TILL 28-FEB-19
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING FROM 31-JUL-15 TILL 28-FEB-19
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING FROM 31-AUG-15 TILL 28-FEB-19
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING FROM 31-AUG-15 TILL 28-FEB-19
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING FROM 31-AUG-15 TILL 28-FEB-19
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
1-200
1-75
1-500
1-260
1-200
1-4644
MONTHLY ON LAST DAY OF EVERY MONTH STARTING FROM 30-SEP-15 TILL 28-FEB-19
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING FROM 30-SEP-15 TILL 28-FEB-19
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING FROM 30-SEP-15 TILL 28-FEB-19
Put: NACall: NA
PAYABLE ON THE AVAILABILITY OF FREE CASH FLOWS
Put: NACall: NA
PAYABLE ON THE AVAILABILITY OF FREE CASH FLOWS
Put: NACall: NA
PAYABLE ON THE AVAILABILITY OF FREE CASH FLOWS
Put: NACall: NA
PAYABLE ON THE AVAILABILITY OF FREE CASH FLOWS
Put: NACall: NA
QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR STARTINF 30-JUN-16 TILL 30-JUN-18
Put: NACall: NA
INT PYMT ON 15TH MARCH & 14 SEP FOR 2013, 2014, 2015, 2016, 2017 & 2018
Put:14/09/2015Call:14/09/2015
SEMI ANNUAL 24 MAR AND 24 SEP EVERY YEAR STARTING 24-MAR-16 TILL 24-SEP-18
Put: NACall: NA
MONTHLY ON 03-NOV-16, 05-DEC-16, 03-JAN-17, 03-FEB-17, 03-MAR-17, 03-APR-17, 03-MAY-17, 05-
Put: NACall: NA
QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR STARTINF 30-JUN-16 TILL 31-DEC-18
Put: NACall: NA
SEMI ANNUAL 13 MAY AND 13 NOV STARTING 13-MAY-16 TILL 13-MAY-18 AND ON 13-JAN-19
Put: NACall: NA
1-125
1-125
1-67489
1-200
1-270
1-200
1-72
NCD 0001 - NCD 0084
1-250
1-515
1-150
NCD 0001 - NCD 0200
1-150
SEMI ANNUAL 28-SEP-16, 28-MAR-17, 28-SEP-17, 28-MAR-18, 28-SEP-18 AND 28-MAR-19
Put: NACall: NA
SEMI ANNUAL ON 05-OCT AND 04 APR STARTING 05-OCT-16 TILL 04-APR-19
Put: NACall: NA
SEMI ANNUAL 04-NOV-16, 05-MAY-17, 03-NOV-17, 04-MAY-18, 05-NOV-18 AND 28-MAY-19
Put: NACall: NA
QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR STARTINF 30-JUN-16 TILL 30-JUN-19
Put: NACall: NA
QUARTERLY ON 30 OCT, 30 JAN, 30 APR AND 30 JUL EVERY YEAR STARTING 30-OCT-15 TILL 30-JUL-19
Put: NACall: NA
MONTHLY LAST DATE OF EVERY MONTH STARTING FROM 30-SEP-17 TILL 31-AUG-19 AND ON 20-SEP-19
Put:AT THE EXPIRY OF 1YEAR FROM DATE OF ALLOTMENTCall:AT THE EXPIRY OF 1YEAR FROM DATE OF ALLOTMENTSEMI ANNUALLY ON 27TH
OF MARCH AND SEPT EVERY YEAR
Put:27/09/2016Call:27/09/2016
SEMI ANNUALLY ON 31ST DEC AND 30TH JUNE EVERY YEAR STARTING 31/12/2014 TILL 30/06/2019
Put: NACall: NA
ANNUAL 11-NOV-16, 11-NOV-17, 11-NOV-18 AND 11-NOV-19
Put: NACall: NA
SEMI ANNUAL ON 13TH MAY AND NOV OF EVERY YEAR STARTING 13/05/15
Put: NACall: NA
QUARTERLY ON 30 MAR, 29 JUN, 29 SEP AND 30 DEC STARTING 30-MAR-TILL 29-SEP-19 AND ON 09-
Put: NACall: NA
SEMI ANNUALLY ON 15TH DEC AND 15TH JUNE EVERY YEAR STARTING 15/12/2014 TILL 15/06/2020
Put:15/06/2017. IN THE EVENT IF ANY DEBENTURE HOLDER IS DESIROUS OF EXERCISING
ANNUAL 20-MAR-16, 20-MAR-17, 20-MAR-18, 20-MAR-19, 20-MAR-20 AND 20-SEP-20
Put: NACall: NA
1-250
1-130
1-20
1-250
1-2628
1-250
1-100
1-100
1-650
1-100
1-100
1-100
1-680
SEMI ANNUAL 31-MAY-17, 30-NOV-17, 31-MAY-18, 30-NOV-18, 31-MAY-19, 29-NOV-19, 29-MAY-20 AND
Put: NACall: NA
QUARTERLY ON 29 JUN, 29 SEP, 30 DEC AND 30 MAR EVERY YEAR STARTING 29-JUN-15 TILL 29-SEP-20
Put: NACall: NA
QUARTERLY 29 JUN, 29 SEP, 30 DEC AND 30 MAR EVERY YEAR STARTING 29-JUN-15 TILL 29-SEP-20
Put:08/05/2017 AND 08/05/2019Call: NA
QUARTERLY ON 30 JUN, 30 SEP, 30 DEC AND 30 MAR EVERY YEAR STARTING 30-SEP-15 TILL 30-JUN-21
Put: NACall: NA
SEMI ANNUAL 15-MAR-16, 15-SEP-16, 15-MAR-17, 15-SEP-17, 15-MAR-18, 17-SEP-18, 15-MAR-19, 16-
Put:PUT OPTION AT THE END OF 48 MONTHS (16-SEP-19)Call:CALL OPTION AT THE END OF 48 MONTHS (16-SEP-19)
QUARTERLY ON 30 MAR, 29 JUN, 29 SEP AND 30 DEC EVERY YEAR STARTING 30-MAR-16 TILL
Put: NACall: NA
QUARTERYL 30TH SEP, 31ST DEC, 31ST MAR AND 30TH JUNE EVERY YEAR STARTING FROM 30-SEP-16
Put: NACall: NA
QUARTERYL 30TH SEP, 31ST DEC, 31ST MAR AND 30TH JUNE EVERY YEAR STARTING FROM 30-SEP-16
Put: NACall: NA
SEMI ANNUAL ON 03 APR AND 03 OCT STARTING 03-APR-18 TILL 03-OCT-22
Put:AT THE END OF 3 YEAR FROM DATE OF ALLOTMENTCall:AT THE END OF 3 YEAR FROM DATE OF ALLOTMENT
QUARTERYL 30TH SEP, 31ST DEC, 31ST MAR AND 30TH JUNE EVERY YEAR STARTING FROM 30-SEP-16
Put: NACall: NA
QUARTERYL 30TH SEP, 31ST DEC, 31ST MAR AND 30TH JUNE EVERY YEAR STARTING FROM 30-SEP-16
Put: NACall: NA
QUARTERYL 30TH SEP, 31ST DEC, 31ST MAR AND 30TH JUNE EVERY YEAR STARTING FROM 30-SEP-16
Put: NACall: NA
SEMI ANNUAL ON 15 DEC AND 15 JUN STARTING 15-DEC-16 TILL 15-JUN-25
Put:15/06/2019 & 15/06/2022Call:15/06/2019 & 15/06/2022
UNCD 12/(942501-979300)
NA P1-P4000
P4001-P5610
Annually on January 22 N.A.
NA
NA
NA
NA
NA
NA
Annually on 25th August NA
ANNUAL ON 31 MAR EVERY YEAR
Put:PUT OPTION IS EXCERCISED BY THE SUBSCRIBER ON COMPLETION OF 1 YEAR. IF
UNCD 1- UNCD6, UNCD 13- UNCD 25/(001-687500)
ANNUAL ON 31 MAR EVERY YEAR
Put:IF PUT OPTION IS EXCERCISED BY THE SUBSCRIBER BEFORE EXPIRY OF 5 YEARS NO Put:YES BUT NO SPECIFIED DATESCall:YES BUT NO SPECIFIED DATES
QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR STARTING 30-JUN-18 TILL 30-SEP-19
Put: NACall:YES BUT NO SPECIFIED DATES
Put: N.A.Call: N.A.
ANNUALLY ON 28TH MARCH
Put: NACall: NA
YEARLY 28/09/13, 28/09/14, 28/09/15, 28/09/16, 28/09/17, 28/09/18, 28/09/19
Put: NACall: NA
ANNUAL 09-AUG-18, 09-AUG-19 AND 07-AUG-20
Put: NACall: NA
ANNUAL ON 26 NOVEMBER
Put: NACall: NA
ANNUAL 25 FEB EACH YEAR
Put: NACall: NA
ANNUAL 17TH JULY EACH YEAR
Put: NACall: NA
ANNUAL 17 OCT EACH YEAR
Put: NACall: NA
Put: N.A.Call: N.A.
NA
NA 1-2500
01/(01-2325)
02/(2326-4929)
03/(4930-6501)
1-250
1-640
D000001-D142000
NA
NA
1-30871
1-20770
1-6610
Semi-Annually on 29th January & 29th July
Put: NACall: NA
Put:THE PUT OPTION DATES SHALL BE THE DATES FALLING AT THE EXPIRY OF 36 MONTHS
INTEREST IS ACCRUED ON 31 MAR EVERY YEAR SUBJECT TO THE TERMS AND CONDITIONS OF THE
Put: NACall: NA
INTEREST IS ACCRUED ON 31 MAR EVERY YEAR SUBJECT TO THE TERMS AND CONDITIONS OF THE
Put: NACall: NA
INTEREST IS ACCRUED ON 31 MAR EVERY YEAR SUBJECT TO THE TERMS AND CONDITIONS OF THE
Put: NACall: NA
QUARTERLY - 30 JUN, 30 SEP, 31 DEC, 31 MAR EVERY YEAR
Put:ANY TIME AFTER 36 MONTHS FROM THE DATE OF ALLOTMENT OF NCDCall:ANY TIME AFTER 36 MONTHS FROM THE DATE OF ALLOTMENT OF NCD
QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR
Put:ANY TIME AFTER 36 MONTHS FROM THE DATE OF ALLOTMENT OF NCDCall:ANY TIME AFTER 36 MONTHS FROM THE DATE OF ALLOTMENT OF NCD
LAST BUSINESS DAY OF EACH CALENDAR MONTH BEGINNING FROM 31-MAR-15
Put: NACall: NA
MONTHY ON LAST DAY OF EVERY MONTH STARTING 31-JUL
Put: NACall: NA
Put: NACall: NA
CCD-2013/001/(1-1727485), CCD-2013/002/(1727486-1762380)
SEMI ANNUAL ON 10 JAN AND 10 JUL STARTING 10-JAN-18
Put:ANY DATE AFTER THE EXPIRY OF THREE YEARS FROM THE DATE OF ISSUECall:ANY DATE AFTER THE EXPIRY OF THREE YEARS FROM THE DATE OF ISSUE
SEMI ANNUAL ON 10 JAN AND 10 JUL STARTING 10-JAN-18
Put:ANY DATE AFTER THE EXPIRY OF THREE YEARS FROM THE DATE OF ISSUECall:ANY DATE AFTER THE EXPIRY OF THREE YEARS FROM THE DATE OF ISSUE
SEMI ANNUAL ON 10 JAN AND 10 JUL STARTING 10-JAN-18
Put:ANY DATE AFTER THE EXPIRY OF THREE YEARS FROM THE DATE OF ISSUECall:ANY DATE AFTER THE EXPIRY OF THREE YEARS FROM THE DATE OF ISSUE
1-20030
1-16400
1-41200
1-32400
1-23990
1-153000
1-14350
1-16400
01-21100000
304410001-1918233292
01-8482300
1-15000
1-15000
SEMI ANNUAL ON 10 JAN AND 10 JUL STARTING 10-JAN-18
Put:ANY DATE AFTER THE EXPIRY OF THREE YEARS FROM THE DATE OF ISSUECall:ANY DATE AFTER THE EXPIRY OF THREE YEARS FROM THE DATE OF ISSUE
SEMI ANNUAL ON 01 FEB AND 01 AUG STARTING 01-FEB-17
Put:ANY DATE AFTER THE EXPIRY OF 3 YEARS FROM THE DATE OF ISSUECall:ANY DATE AFTER THE EXPIRY OF 3 YEARS FROM THE DATE OF ISSUE
SEMI ANNUAL ON 10 JAN AND 10 JUL STARTING 10-JAN-18
Put:ANY DATE AFTER THE EXPIRY OF THREE YEARS FROM THE DATE OF ISSUECall:ANY DATE AFTER THE EXPIRY OF THREE YEARS FROM THE DATE OF ISSUE
SEMI ANNUAL ON 10 JAN AND 10 JUL STARTING 10-JAN-18
Put:ANY DATE AFTER THE EXPIRY OF THREE YEARS FROM THE DATE OF ISSUECall:ANY DATE AFTER THE EXPIRY OF THREE YEARS FROM THE DATE OF ISSUE
SEMI ANNUAL ON 10 JAN AND 10 JUL STARTING 10-JAN-18
Put:ANY DATE AFTER THE EXPIRY OF THREE YEARS FROM THE DATE OF ISSUECall:ANY DATE AFTER THE EXPIRY OF THREE YEARS FROM THE DATE OF ISSUE
SEMI ANNUAL ON 30 JUN AND 31 DEC STARTING 30-JUN-17
Put:PUT OPTION WILL BE EXCERCISED ON THE MUTUAL CONSENT OF BOTH THE PARTIES
SEMI ANNUAL ON 10 JAN AND 10 JUL STARTING 10-JAN-18
Put:ANY DATE AFTER THE EXPIRY OF THREE YEARS FROM THE DATE OF ISSUECall:ANY DATE AFTER THE EXPIRY OF THREE YEARS FROM THE DATE OF ISSUE
SEMI ANNUAL ON 01 FEB AND 01 AUG STARTING 01-FEB-17
Put:ANY DATE AFTER THE EXPIRY OF 3 YEARS FROM THE DATE OF ISSUECall:ANY DATE AFTER THE EXPIRY OF 3 YEARS FROM THE DATE OF ISSUE
ANNUAL ON 08 NOV STARTING 08-NOV-17 TILL 08-NOV-26
Put: NACall: NA
30TH SEPTEMBER OR 30 DAYS FROM FINALIZATION OF THE ANNUAL ACCOUNTS WHICHEVER IS
Put: NACall: NA
30TH SEPTEMBER OR 30 DAYS FROM FINALIZATION OF THE ANNUAL ACCOUNTS WHICHEVER IS
Put: NACall: NA
ANNUAL 30/10/15, 30/10/16 AND 30/10/17
Put: NACall: NA
ANNUAL 30/10/15, 30/10/16, 30/10/17 AND 30/12/17
Put: NACall: NA
1-500
NA 01-150/(01-150)
NA 01-185/(01-185)
1-60
66-68
69-72
73-77
1-60
61-65
78-82
83-85
86-87
88-889
Semi-Annually on 08th January & 08th July
Put:09/07/2018Call:09/07/2018
Put:PUT OPTION DATED 20/05/16, 21/11/16, 22/05/17. PUT NOTIFICATION DATE-20/04/16, 21/10/16, 22/04/17Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 29-FEB-16 TILL 31-JAN-19
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 30-APR-16 TILL 31-JAN-19
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 30-APR-16 TILL 31-JAN-19
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-APR-16 TILL 31-JAN-19
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-MAR-16 TILL 31-JAN-19
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 30-APR-16 TILL 31-JAN-19
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-MAY-16 TILL 31-JAN-19
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-JUL-16 TILL 31-JAN-19
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-JUL-16 TILL 31-JAN-19
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-DEC-16 TILL 31-JAN-19
Put: NACall: NA
1-4/(1-2708336)
1-4/(1-2021248)
ANNUAL ON 31 MAR NA
001-12000
1-7000
1-2637
1-700
1-1500
01/(01-23000000)
02/(23000001-46001000)
03/(46001001-69002000)
04/(69002001-92003000)
05/(92003001-115004000)
ANNUAL ON 31 MAR OR ON CONVERSION WHICHEVER IS EARLIER
Put: NACall: NA
ANNUAL ON 31 MAR OR ON CONVERSION WHICHEVER IS EARLIER
Put: NACall: NA
Put: NACall: NA
QURTERLY ON 31ST MAR,30TH JUN,30TH SEP & 31ST DEC STARTING 30-SEP-15 TILL 30-JUN-19
Put: NACall: NA
QUARTERLY 01 AUG, 01 NOV, 01 FERB AND 01 MAY EVERY YEAR STARTING 01-AUG-15 TILL 01-MAY-18 AND ON 07-JUL-18
Put: NACall: NA
30TH SEPTEMBER 2014, 31ST DECEMBER 2014, 31ST MARCH 2015, 30TH JUNE 2015, 30TH
Put:PUT OPTION CAN BE EXCERCISED BY THE HOLDER OF DEBENTURES AT ANY TIME FROM
30TH SEPTEMBER 2014, 31ST DECEMBER 2014, 31ST MARCH 2015, 30TH JUNE 2015, 30TH
Put:PUT OPTION CAN BE EXCERCISED BY THE HOLDER OF DEBENTURES AT ANY TIME FROM
QUARTERLY ON 31 JAN, 30 APR, 31 JUL AND 31 OCT STARTING 31-JAN-17 TILL 31-OCT-18
Put: NACall: NA
INTEREST IS ACCRUED ON 31 MAR OF EVERY YEAR SUBJECT TO THE TERMS AND CONDITIONS OF THE
Put: NACall: NA
INTEREST IS ACCRUED ON 31 MAR OF EVERY YEAR SUBJECT TO THE TERMS AND CONDITIONS OF THE
Put: NACall: NA
INTEREST IS ACCRUED ON 31 MAR OF EVERY YEAR SUBJECT TO THE TERMS AND CONDITIONS OF THE
Put: NACall: NA
INTEREST IS ACCRUED ON 31 MAR OF EVERY YEAR SUBJECT TO THE TERMS AND CONDITIONS OF THE
Put: NACall: NA
INTEREST IS ACCRUED ON 31 MAR OF EVERY YEAR SUBJECT TO THE TERMS AND CONDITIONS OF THE
Put: NACall: NA
51-100
1-50
1-40
1-20
1-40
1-25
1-25
NA
NA
1-25
1-20
1-30
INTEREST IS ACCRUED ON 31 MAR OF EVERY YEAR SUBJECT TO THE TERMS AND CONDITIONS OF THE
Put: NACall: NA
06/(115004001-128740170)
QUARTERLY ON 30-SEP-15, 31-DEC-15, 31-MAR-16, 30-JUN-16, 30-SEP-16, 02-JAN-17, 31-MAR-17, 30-JUN-17,
Put: NACall: NA
QUARTERLY ON 30 SEP, 31 DEC, 31 MAR AND 30 JUN EVERY YEAR STARTING 30-SEP-15 TILL 30-JUN-18 AND
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC STARTING 31-MAR-16 TILL 31-DEC-18 AND ON
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC STARTING 31-MAR-16 TILL 31-MAR-19 AND ON
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC STARTING 31-MAR-16 TILL 31-MAR-19 AND ON
Put: NACall: NA
ANNUAL 03-JUN-17, 03-JUN-18 AND 03-JUN-19
Put: NACall: NA
ANNUAL 03-JUN-17, 03-JUN-18 AND 03-JUN-19
Put: NACall: NA
ANNUAL ON 03-JUN-17, 03-JUN-18 AND 03-JUN-19
Put: NACall: NA
ANNUAL ON 03-JUN-17, 03-JUN-18 AND 03-JUN-19
Put: NACall: NA
ANNUAL ON 28-OV-17, 28-NOV-18 AND 28-NOV-19
Put: NACall: NA
ANNUAL ON 28-OV-17, 28-NOV-18 AND 28-NOV-19
Put: NACall: NA
ANNUAL ON 28-OV-17, 28-NOV-18 AND 28-NOV-19
Put: NACall: NA
1-25
NA
Annually on 10th March 501-1500
251-500
NA NA
NA NA
NA NA
001-900
NA
1-100
1101-1800
1-1100
ANNUAL ON 28-OV-17, 28-NOV-18 AND 28-NOV-19
Put: NACall: NA
QUARTERLY ON 31-MAR-15, 30-JUN-15, 30-SEP-15, 31-DEC-15, 31-MAR-16, 30-JUN-16, 30-SEP-16, 02-JAN-
Put:AT THE END OF 19 MONTHS FROM DATE OF ALLOTMENT AND SIX MONTHS THEREAFTER
QUARTERLY 31-MAR-16, 30-JUN-16, 30-SEP-16, 02-JAN-17, 31-MAR-17, 30-JUN-17, 02-OCT-17, 01-JAN-
Put:28/02/2017, 31/08/2017, 28/02/2018, 31/08/2018 & 28/02/2019Call:28/02/2017, 31/08/2017, 28/02/2018, 31/08/2018 & 28/02/2019Put: N.A.Call: N.A.
BULLET PAYMENT TILL 29.03.2012 AND THEN PAYABLE MONTHLY ON LAST DAY OF EVERY
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
QUARTERLY ON 30TH OR LAST DAY OF EVERY QUARTER FOR EG. 30-JUN-17
Put:BY GIVING FIFTEEN DAYES PRIOR NOTICE IN WRITING TO THE DEBENTURE HOLDERS AND
QUARTERLY ON 10 NOV, 10 FEB, 10 MAY AND 10 AUG STARTING 10-FEB-16 TILL 10-NOV-18 AND
Put: NACall: NA
QUARTERLY ON 30 SEP, 31 DEC, 31 MAR AND 30 JUN STARTING 30-SEP-17 TILL 30-JUN-21 AND ON 09-
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-MAR-17 TILL 31-MAR-22
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-MAR-17 TILL 31-MAR-22
Put: NACall: NA
1-1100
01/(001-070)
1-1000
601-1000
NA
001-1080
1-2450
01-13000
1-2000
1-1650
NA
1-90
1-90
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-MAR-17 TILL 31-MAR-22
Put: NACall: NA
QUARTERLY ON 13-OCT-16, 10-JAN-17, 10-APR-17, 11-JUL-17, 11-OCT-17, 10-JAN-18, 10-APR-18, 11-JUL-18
Put: NACall:12 MONTHS FROM THE DATE OF ALLOTMENT i.e 03.09.17
FROM COMMERCIAL OPERATION DATE ON THE DATE THE RESTRICTED PAYMENT CONDITIONS ARE
Put: NACall: NA
FROM COMMERCIAL OPERATION DATE ON THE DATE THE RESTRICTED PAYMENT CONDITIONS ARE
Put: NACall: NA
QUARTERLY ON 30 SEP, 31 DEC, 31 MAR AND 30 JUN STARTING 30-SEP-17 TILL 30-JUN-20
Put: NACall: NA
SEMI ANNUAL ON 12 JUN AND 12 DEC STARTING 12-JUN-17 TILL 12-JUN-20
Put: NACall: NA
ANNUAL ON 26-SEP SATRTING 26-SEP-14 TILL 26-SEP-18
Put: NACall:THE ISSUER AT ANY TIME AFTER THE DEEMED DATE OF ALLOTMENT HAVE THE RIGHT BUT QUARTERLY ON LAST DAY
OF EACH CALEENDAR QUARTER STARTING FROM 31-DEC-15 TILL 31-DEC-19
Put: NACall: NA
HALF YEARLY TILL 29-MAR-19 THEREAFTER QUARTERLY FROM 28-JUN-19 i.e. 29-SEP-17, 30-MAR-
Put: NACall:THE ISSUER HAS THE RIGHT TO REDEEM/ BUYBACK THE DEBENTURES IN END OF EVERY QUARTER
STARTING 31-DEC-15Put: NACall: NA
END OF EVERY QUARTER i.e 30 JUN, 30 SEP, 31 DEC AND 31 MAR STARTING 30-JUN-16
Put: NACall: NA
MONTHLY FOR EG 30-JUN-15, 31-JUL-15 ETC
Put: NACall: NA
MONTHLY FOR EG 30-JUN-15, 31-JUL-15 ETC
Put: NACall: NA
1-90
1-5
1-3
ONE
UP TO 2
TWO
TWO
01-04
01-02
NA
NA
NA
01-1250
MONTHLY FOR EG 30-JUN-15, 31-JUL-15 ETC
Put: NACall: NA
MONTHLY FOR EG 30-JUN-15, 31-JUL-15 ETC
Put: NACall: NA
MONTHLY FOR EG 31-DEC-15, 31-JAN-16, ETC
Put: NACall: NA
MONTHLY FOR EG 31-MAR-16, 30-APR-16, ETC
Put: NACall: NA
MONTHLY FOR EG 31-MAR-16, 30-APR-16, ETC
Put: NACall: NA
MONTHLY FOR EG 31-MAR-16, 30-APR-16, ETC
Put: NACall: NA
MONTHLY FOR EG 31-MAY-16, 30-JUN-16 ETC
Put: NACall: NA
MONTHLY 31-JUL-16, 31-AUG-16, ETC
Put: NACall: NA
MONTHLY LAST DAY OF EVERY MONTH
Put: NACall: NA
Semi annually on 23rd September & 23rd March
Put: N.A.Call: N.A.
Semi annually on 14th February & 14th August
Put: N.A.Call: N.A.
Semi annually on 14th February & 14th August
Put: N.A.Call: N.A.
QUARTERLY ON 10 MAY, 10 AUG, 10 NOV AND 10 FEB STARTING 10-MAY-16 TILL 10-FEB-19 AND ON
Put: NACall: NA
001-005/(1-27000)
NA 1-650000
ANNUALLY ON 03RD APRIL NA
NA
1-12000
1-1800
1-3950
1-3500
001-035
001-090
091-115
0001-4300
001-510
1ST OF EVERY MONTH STARTING FROM 01/12/13
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
QUARTERLY ON 24 MAR, 24 JUN, 24 SEP AND 24 DEC
Put: NACall: NA
QUARTERLY ON 31 DEC, 31 MAR, 30 JUN, 30 SEP STARTING 31-DEC-16 TILL 30-SEP-21
Put: NACall: NA
QUARTERLY ON 31 DEC, 31 MAR, 30 JUN AND 30 SEP EVERY YEAR STARTING 31-DEC-16 TILL 30-SEP-21
Put: NACall: NA
QUARTERLY ON 30 MAR, 30 JUN, 30 SEP AND 30 DEC STARTING 30-MAR-19 TILL 30-SEP-22
Put: NACall: NA
QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR STARTING 30-JUN-17 TILL 30-JUN-20
Put: NACall: NA
QUARTERLY ON 30 SEP, 31 DEC, 31 MAR AND 31 MAR STARTING 30-SEP-16 TILL 31-MAR-20
Put: NACall: NA
QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR STARTING 30-JUN-16 TILL 31-MAR-22
Put: NACall: NA
QUARTERLY ON 30 SEP, 31 DEC, 31 MAR AND 30 JUN STARTING 30-SEP-17 TILL 31-MAR-23
Put: NACall:ONLY IN CASE OF PREPAYMENT
LAST DATE OF EVERY QUARTER STARTING FROM 31-DEC-16, 31-MAR-17, 30-JUN-17, 30-SEP-17 etc
Put: NACall: NA
SEMI ANNUAL ON 13 NOV AND 13 MAY STARTING 13-NOV-16 TILL 13-MAY-19 AND ON 24-AUG-19
Put: NACall: NA
50001-519000
ON MATURITY i.e 16-JAN-27 1-946250
1-1359750
D-001 - D-400
1-2700
NA NA
Annually on 23rd November 1 - 200
Annually on 13th December 60514701 - 60514950
NA
NA NA
60527268-60529017
60520423-60521423
60524668-60525017
ON MATURITY i.e 16-MAY-26
Put:ANY TIME PRIOR TO MANDATORY CONVERSION PERIOD AS SPECIFIED IN THE BOARD RESOLUTIONPut:ANY TIME PRIOR TO MANDATORY CONVERSION PERIOD AS SPECIFIED IN THE BOARD RESOLUTION
ON MATURITY i.e 05-MAY-27
Put: NACall: NA
PAYABLE HALF YEARLY 21ST JUNE AND 21 DECEMBER EACH YEAR
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING FROM 30-JUN-15 TILL 31-MAY-18
Put: NACall: NA
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
ANNUALLY 05/01/15, 04/01/16, 04/01/17 AND 04/01/18
Put: NACall: NA
Put: NACall: NA
FIRST INTEREST PAYMNET ON 22-MAR-17 AND ON MATURITY i.e 22-MAR-18
Put: NACall: NA
ANNUAL 27-MAR-16, 27-MAR-17 AND 27-MAR-18
Put: NACall: NA
ANNUAL 12-AUG-16 12-AUG-17 AND 12-AUG-18
Put: NACall: NA
60525018-60525767
60534718-60536067
NA
NA NA
NA
NA
NA
1 - 10000
NA
NA
NA NA
60529018-60530017
NA NA
ANNUAL 28-OCT-16, 30-OCT-17 AND 30-OCT-18
Put: NACall: NA
ON 26-DEC-17 AND 24-DEC-18
Put: NACall: NA
ANNUALLY 05/01/15, 04/01/16, 04/01/17, 04/01/18 AND 04/01/19
Put: NACall: NA
Put: NACall: NA
05/01/15, 04/01/16, 04/01/17, 04/01/18 AND 04/01/19
Put: NACall: NA
ANNUALLY ON 1ST MARCH & ON MATURITY
Put: NACall: NA
ANNUALLY ON 1ST MARCH & ON MATURITY
Put: NACall: NA
ANNUALLY ON 15TH MARCH
Put: NACall: NA
ANNUALLY ON 01ST MARCH & ON MATURITY
Put: NACall: NA
ANNUAL 27/05/2015, 27/05/2016, 27/05/2017, 28/05/2018 AND 27/05/2019
Put: NACall: NA
Put: NACall: NA
ANNUAL 09-OCT-17, 08-OCT-18 AND 07-OCT-19
Put: NACall: NA
Put: NACall: NA
NA
NA 60529018-60530217
NA 60531168-60534667
60521636-60522136
60522137-60522637
NA 60534668-60534717
Annually on 04th February 60514951 - 60515000
NA 9400003431-9400003590
NA 9400003821-9400004120
NA 9400004121-9400004370
NA 9400002951-9400003130
NA 9400003281-9400003430
8500000801 - 8500000967
ANNUALLY ON JANUARY 07TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL ON 17 JUN STARTING 17-JUN-16 TILL 17-JUN-20
Put: NACall: NA
ANNUAL ON 22 JUN STARTING 22-JUN-16 TILL 22-JUN-20
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 1ST DECEMBER
Put: NACall: NA
8500000301 - 8400000550
8500000551 - 8500000800
8600000001-8600000500
8700000001-8700000250
8700000251-8700000450
8700000451-8700000570
9900000001-9900000100
9400001851-9400002950
9400004593-9400004842
NA
NA
ANNUAL ON 12-AUG-17 NA
NA NA
ANNUALLY ON 1ST DECEMBER & ON MATURITY
Put: NACall: NA
ANNUALLY ON 1ST DECEMBER & ON MATURITY
Put: NACall: NA
ANNUALLY ON 22ND MARCH EVERY YEAR TILL MATURITY
Put: NACall: NA
ANNUALLY ON 25TH JUNE EVERY YEAR STARTING FROM 25/06/2014 AND ON MATURITY i.e. 25/06/2023
Put: NACall: NA
ANNUALLY ON 28TH JUNE EVERY YEAR STARTING FROM 28/06/2014 AND ON MATURITY i.e. 28/06/2023
Put: NACall: NA
ANNUALLY ON 3RD JULY EVERY YEAR STARTING FROM 03.07.2014 AND ON MATURITY i.e. 03.07.2023
Put: NACall: NA
ANNUALLY ON 12TH AUG EVERY YEAR STARTING FROM 12.08.2015 TILL 12.08.2023 AND ON
Put: NACall: NA
ANNUAL 27-FEB-16, 27-FEB-17, 27-FEB-18, 27-FEB-19, 27-FEB-20, 27-FEB-21, 27-FEB-22, 27-FEB-23, 27-
Put: NACall: NA
ANNUAL ON 16 APR STARTING 16-APR-16 TILL 16-APR-25
Put: NACall: NA
MONTHLY ON 2ND STARTING 02/01/15
Put: NACall: NA
ANNUAL ON 26TH DECEMBER EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
NA
NA NA
NA
1-1000
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUAL 28-JUN-17 AND 28-JUN-18
Put: NACall: NA
Put: NACall: NA
ANNUAL 12-SEP-17, 12-SEP-18 AND 12-SEP-19
Put: NACall: NA
ANNUAL ON 21-SEP-17, 21- SEP-18 AND 19-SEP-19
Put: NACall: NA
ANNUAL ON 25-NOV-17, 25-NOV-18 AND 25-NOV-19
Put: NACall: NA
ANNUAL ON 26TH DECEMBER EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUAL 27-OCT-16, 27-OCT-17, 26-OCT-18, 25-OCT-19 AND 27-OCT-20
Put: NACall: NA
ANNUAL ON 10TH OCT AND ON REDEMPTION
Put: NACall: NA
ANNUAL ON 13TH OCT AND ON REDEMPTION
Put: NACall: NA
ANNUAL ON 26TH DECEMBER EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUAL 29 APR STARTING 29-APR-17 TILL 29-APR-23
Put: NACall: NA
ANNUAL 02 MAY STARTING 02-MAY-17 TILL 02-MAY-23
Put: NACall: NA
ANNUAL ON 10TH OCT AND ON REDEMPTION
Put: NACall: NA
NA 01-6500
8400041376 - 8400041475
8400041476 - 8400041575
8500006000 - 8500006099
8500006290 - 8500006389
9500009251-9500009750
9600008781-9600009030
8500013890 - 8500017889
NA 9600009531-9600009780
NA 8500013890 - 8500013939
8500018142 - 8500018171
9500009751-9500010250
9600017281-9600017480
Put:29/06/2018Call:29/06/2018
ANNUALLY ON 23/10/13, 23/10/14, 23/10/15, 23/10/16 AND ON MATURITY i.e. 23/10/17
Put: NACall: NA
ANNUALLY ON 23/10/2013, 23/10/2014, 23/10/2015, 23/10/2016 AND ON MATURITY i.e. 23/10/2017
Put: NACall: NA
ANNUALLY ON 06/11/2013, 06/11/2014, 06/11/2015, 06/11/2016 AND ON MATURITY i.e. 06/11/2017
Put: NACall: NA
ANNUALLY ON 08/11/2013, 08/11/2014, 08/11/2015, 08/11/2016 AND ON MATURITY i.e. 08/11/2017
Put: NACall: NA
ANNUAL ON 11/11/2015, 11/11/2016 AND ON MATURITY 10/11/2017
Put: NACall: NA
ANNUAL 19-DEC-15, 19-DEC-16 AND ON MATURITY i.e 19-DEC-17
Put: NACall: NA
15/07/13, 15/01/14, 15/07/14, 15/01/15, 15/07/15, 15/01/16, 15/07/16, 15/01/17, 15/07/17, 15/01/18
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
29/01/14, 29/01/15, 29/01/16, 29/01/17 AND ON MATURITY i.e. 23/01/18
Put: NACall: NA
ANNUAL ON 11/11/2015, 11/11/2016, 11/11/2017 AND ON MATURITY 12/02/2018
Put: NACall: NA
ANNUAL 26-FEB-16, 26-FEB-17 AND ON MATURITY 26-FEB-18
Put: NACall: NA
NA 9600017031-9600017280
8500019042-8500019141
9700010251-9700012750
8500020722-8500020921
NA 9600016681-9600017030
NA 9600017961-960008120
NA 9600017791-9600017860
9500010251-9500010750
9600021241-9600021340
NA 9600017481-9600017790
9700027451-9700029700
2700000001 - 2700000550
9500010751-9500011250
Put: NACall: NA
ANNUALLY ON 13TH MARCH EVERY YEAR TILL MATURITY
Put: NACall: NA
ANNUALLY ON 13-MAR-17 AND 13-MAR-18
Put: NACall: NA
ANNUALLY ON 15TH MARCH EVERY YEAR TILL MATURITY.
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL ON 11/11/2015, 11/11/2016, 11/11/2017 AND ON MATURITY 11/04/2018
Put: NACall: NA
ANNUAL 20-APR-16, 20-APR-17 AND ON MATURITY i.e 20-APR-18
Put: NACall: NA
Put: NACall: NA
ANNUAL ON 05-AUG-17 AND ON MATURITY i.e 05-JUN-18
Put: NACall: NA
ANNUALLY ON 7TH MARCH EVERY YEAR TILL MATURITY i.e. ON 07/06/2018
Put: NACall: NA
ANNUAL ON 11/11/2015, 11/11/2016, 11/11/2017 AND ON MATURITY 11/06/2018
Put: NACall: NA
8500026372-8500026471
8500026472-8500026521
2000000251 - 2000000750
9700029701-9700031950
NA 9600016231-9600016680
2600001851 - 2600001950
0000001-2988457
000001-590172
NA 0000001-528621
Annually on 04th August 7000001501-7000002000
9700031951-9700034200
8500027118-8500027317
NA 9600021341-9600021510
ANNUALLY ON 25TH JUNE AND ON MATURITY i.e. 25/06/2018
Put: NACall: NA
ANNUALLY ON 27TH JUNE AND ON MATURITY i.e. 27/06/2018
Put: NACall: NA
ANNUALLY ON 01ST JANUARY & ON MATURITY
Put: NACall: NA
ANNUAL ON 05-AUG-17 AND ON MATURITY i.e 05-JUL-18
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 31ST DEC AND ON MATURITY ie 31/07/2018
Put: NACall: NA
ANNUAL 01/04/2014, 01/04/2015, 01/04/2016, 01/04/2017, 31/07/2017, 01/04/2018 AND 31/07/2018
Put: NACall: NA
MONTHLY ON 1ST DAY OF EACH MONTH STARTING FROM 01/09/2013
Put: NACall: NA
Put: NACall: NA
Put: N.A.Call: N.A.
ANNUAL ON 05-AUG-17 AND ON MATURITY i.e 04-AUG-18
Put: NACall: NA
ANNUALLY ON 6TH AUGUST EVERY YEAR STARTING FROM 06/08/2014 TILL MATURITY
Put: NACall: NA
Put: NACall: NA
9700013001-9700015250
2600001951 - 2600002100
2600002101 - 2600002223
8600010298-8600011047
8600011048-8600011397
9700015251-9700017500
3000000251-3000000500
-
NA -
2800000551-2800000650
2800000001-2800000550
Annually on 05th November 9000000001-9000003000
Annually on 07th November 9000003001-9000004500
ANNUALLY ON 29-JUL-17, 30-JUL-18 AND ON MATURITY i.e 29-AUG-18
Put: NACall: NA
ANNUALLY ON 30TH JANUARY AND ON MATURITY i.e. 30/08/2018
Put: NACall: NA
ANNUALLY ON 30TH JANUARY AND ON MATURITY i.e. 30/08/2018
Put: NACall: NA
ANNUALLY ON 13TH SEPT EVERY YEAR STARTING FROM 13/09/2014 TILL MATURITY i.e. 13/09/2018
Put: NACall: NA
ANNUALLY ON 17TH SEPT EVERY YEAR STARTING FROM 17/09/2014 TILL MATURITY i.e. 17/09/2018
Put: NACall: NA
ANNUALLY ON 29-JUL-17, 30-JUL-18 AND ON MATURITY i.e 29-SEP-18
Put: NACall: NA
ANNUALLY ON 15TH JULY EVERY YEAR STARTING FROM 15/07/2014 AND ON MATURITY i.e. 15/10/2018
Put: NACall: NA
ANNUALLY ON 1ST APRIL EVERY YEAR STARTING 01/04/14 TILL 01/04/18 AND ON 24/10/18
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 28TH MARCH EVERY YEAR AND ON MATURITY i.e. ON 28/10/2018
Put: NACall: NA
ANNUALLY ON 28TH MARCH EVERY YEAR AND ON MATURITY i.e. ON 28/10/2018
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
8500027318-8500027567
9900026801-9900029800
8700000151-8700000350
9600022011-9600022110
2900000701-2900000950
Annually on 29th December 9000015011-9000015051
9900041401-9900044400
3000000751-3000000990
9600018241-9600021240
9600022111-9600022210
9700039201-9700040200
3000000991-3000001190
NA 9600021661-9600022010
ANNUALLY ON 12TH AUGUST EVERY YEAR STARTING FROM 12/08/2014 TILL MATURITY
Put: NACall: NA
ANNUAL ON 12-DEC-17 AND ON MATURITY i.e 12-DEC-18
Put: NACall: NA
ANNUALLY ON 13TH DECEMBER EVERY YEAR STARTING FROM 13/12/14 TILL 13/12/17 AND ON
Put: NACall: NA
ANNUAL22-DEC-16, 22-DEC-17 AND ON MATURITY i.e 21-DEC-18
Put: NACall: NA
ANNUALLY ON 29/05/14, 29/05/15, 29/05/16, 29/05/17, 29/05/18 AND ON MATURITY i.e. 28/12/18
Put: NACall: NA
Put: N.A.Call: N.A.
ANNUAL 17-JAN-18 AND ON MATURITY i.e. 17-JAN-19
Put: NACall: NA
ANNUALLY ON 10.12.2014, 10.12.2015, 10.12.2016, 10.12.2017, 10.12.2018 AND ON MATURITY i.e.ON
Put: NACall: NA
ANNUAL 17-APR-16, 17-APR-17, 17-APR-18 AND 13-MAR-19
Put: NACall: NA
ANNUAL 15-MAR-17, 15-MAR-18 AND ON MATURITY i.e 15-MAR-19
Put: NACall: NA
ANNUAL 30-MAR-17, 30-MAR-18 AND 29-MAR-19
Put: NACall: NA
ANNUALLY AND ON MATURITY 26.12.2014, 26.12.2015, 26.12.2016, 26.12.2017, 26.12.2018 AND
Put: NACall: NA
Put: NACall: NA
NA 9900020801-9900021800
9600039271-9600039470
9900024301-9900026800
9900029801-9900034800
9900039451-9900040450
9700000851-9700001650
NA
9700002501-9700009500
9300000001- 9200005000
NA 9700036651-9700036900
9700017501-9700021250
Put:AT THE END OF 13 MONTHS i.e 09/07/18Call: NA
ANNUAL 09-JUN-17, 11-JUN-18 AND ON MATURITY i.e 10-JUN-19
Put: NACall: NA
ANNUAL ON 12-JUL-18 AND ON MATURITY i.e 12-JUN-19
Put:AT THE END OF 13 MONTHS i.e 12/07/18Call: NA
ANNUAL ON 13-JUN-18 AND ON MATURITY i.e 13-JUN-19
Put: NACall: NA
ANNUAL ON 15-JUN-18 AND ON MATURITY i.e 14-JUN-19
Put: NACall: NA
ANNUAL 05-JUL-17, 05-JUL-18 AND ON MATURITY i.e 05-JUL-19
Put: NACall: NA
ANNUAL ON 15/07/15, 15/07/16, 15/07/17, 15/07/18 AND 15/07/19
Put: NACall: NA
MONTHLY ON FIRST OF EVERY MONTH STARTING 01/09/14
Put: NACall: NA
Put: NACall: NA
ANNUAL, IF PUT OPTION EXCERCISED 17-JUL-17 AND 01-AUG-17 IF PUT OPTION NOT EXCERCISED
Put:01/08/17 i.e AT THE END OF 1 YEAR 15 DAYS FROM THE DEEMED DATE OF ALLOTMENT
MONTHLY ON 21/08/14,19/09/14,21/10/14,21/11/14,19/12/14,21/01/15,20/02/15,20/03/15,21/04/15,21/05/
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 29-JUL-17, 30-JUL-18 AND ON MATURITY i.e 29-JUL-19
Put: NACall: NA
9700021951-9700022950
9300005001-9300010000
9700001651-9700002500
9900051901-9900054200
9700035551-9700036650
9300010001-9300012500
9300012501-9300015000
NA 9700037101-9700037800
9300018026-9300018525
NA 9700012751-9700012900
NA 9700012901-9700013000
9700037801-9700039100
9700040201-9700043200
ANNUAL 02-AUG-17, 02-AUG-18 AND ON MATURITY I.E. 02-AUG-19
Put: NACall: NA
MONTHLY ON 05/09/14, 03/10/14, 05/11/14, 05/12/14, 05/01/15, 05/02/15, 05/03/15, 03/04/15, 05/05/15, 05/06/15,
Put: NACall: NA
ANNUAL 05-JUL-17, 05-JUL-18, 05-JUL-19 AND ON MATURITY i.e 05-AUG-19
Put: NACall: NA
ANNUAL ON 17-AUG-18 AND 16-AUG-19
Put: NACall: NA
ANNUAL ON 19-AUG-17, 19-AUG-18 AND ON MATURITY i.e 19-AUG-19
Put: NACall: NA
MONTHLY ON 26/09/14, 28/10/14, 28/11/14, 26/12/14, 28/01/15, 27/02/15, 27/03/15, 28/04/15, 28/05/15, 26/06/15,
Put: NACall: NA
MONTHLY 10/10/14, 12/11/14, 12/12/14, 12/01/15, 12/02/15, 12/03/15, 10/04/15, 12/05/15, 12/06/15, 10/07/15,
Put: NACall: NA
Put: NACall: NA
ANNUAL ON 19H SEPT EVERY YEAR STARTING 19/9/15 TILL 19/09/19
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL ON 22-SEP-17, 21-SEP-18 AND ON MATURITY i.e 20-SEP-19
Put: NACall: NA
ANNUAL ON 30-SEP-17, 30-SEP-18, 27-SEP-19
Put: NACall: NA
9700039101-9700039200
9000035552- 9000038451
9000038452 - 9000040551
9700043201-9700044950
9600006001-9600006750
Annually on 31st December 9000040552 - 9000041020
9600014781-9600014930
3100000001-31000005000
9000052022 to 9000052921
9600015931-9600016230
9000054998 to 9000055097
9700044951-9700045350
9700046351-9700046450
ANNUAL ON 30-SEP-17, 30-SEP-18 AND 30-SEP-19
Put: NACall: NA
Annually on 31st October & on maturity
Put: N.A.Call: N.A.
Annually on 24th November & on maturity
Put: N.A.Call: N.A.
ANNUAL ON 25-NOV-17, 25-NOV-18 AND 25-NOV-19
Put: NACall: NA
ANNUAL 28TH NOV STARTING 28/11/15 TILL 28/11/19
Put: NACall: NA
Put: N.A.Call: N.A.
ANNUAL ON 19-JAN-16, 19-JAN-17, 19-JAN-18, 19-JAN-19 AND ON MATURITY i.e 17-JAN-20
Put: NACall: NA
ANNUALLY & ON MATURITY 28/07/2015, 28/07/2016, 28/07/2017, 28/07/2018, 28/07/2019 AND
Put: NACall: NA
Annually on 1st January & on maturity
Put: N.A.Call: N.A.
ANNUAL ON 04-FEB-16, 04-FEB-17, 04-FEB-18, 04-FEB-19 AND ON MATURITY i.e. 04-FEB-20
Put: NACall: NA
Annually on 1st January & on maturity
Put: N.A.Call: N.A.
ANNUAL ON 27-FEB-18, 27-FEB-19 AND 27-FEB-20
Put: NACall: NA
ANNUAL ON 24-MAR-18, 24-MAR-19 AND ON 24-MAR-20
Put: NACall: NA
NA 9700045351-9700046350
2000000251 - 2000000750
2000000751-2000002750
9700021451-9700021950
2000017301 - 2000019800
2700001483-2700001982
2900000001-2900000250
2000003001 - 2000003750
NA
Annually on 1st July 2000004001 - 2000004250
NA 9900021801-9900024300
Put: NACall: NA
Annually on 1st January & on maturity
Put: N.A.Call: N.A.
Annually on 1st January & on maturity
Put: N.A.Call: N.A.
2000000001 - 2000000250
Annually on 1st July & on maturity
Put: N.A.Call: N.A.
ANNUALLY ON 01-AUG-17, 01-AUG-18, 01-AUG-19 AND ON MATURITY i.e 27-APR-20
Put: NACall: NA
Annually on 1st January & on maturity
Put: N.A.Call: N.A.
2000010001 - 2000014800
Annually on 1st January & on maturity
Put: N.A.Call: N.A.
ANNUALLY ON 16TH MAY EVERY YEAR AND ON MATURITY i.e. 16.05.2020
Put: NACall: NA
ANNUALLY ON 20TH MAY EVERY YEAR AND ON MATURITY i.e. 20.05.2020
Put: NACall: NA
Annually on 1st July & on maturity
Put: N.A.Call: N.A.
ANNUAL ON 29-MAY-18, 29-MAY-19 AND ON MATURITY i.e 29-MAY-20
Put: NACall: NA
Put: N.A.Call: N.A.
Put:AT THE END OF 13 MONTHS i.e 09/07/18, AT THE END OF 24 MONTHS i.e 07/06/19, AT THE END
9900034801-9900039450
NA 9900040451-9900040950
9900040951-9900041300
NA 900041301-9900041400
9900054201-9900056500
NA 9900056501-9900057750
8600000298-8600010297
8800000186-8800000235
-
NA -
9010000001-9010003600
9600021511-9600021660
9600022211-9600023210
ANNUAL ON 13-JUN-18, 13-JUN-19 AND ON MATURITY i.e 12-JUN-20
Put: NACall: NA
Put: NACall: NA
ANNUAL ON 27-JUN-18, 27-JUN-19 AND ON MATURITY i.e 26-JUN-20
Put: NACall: NA
Put: NACall: NA
ANNUAL ON 19-JUL-18, 19-JUL-19 AND ON MATURITY i.e. 17-JUL-20
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 21ST AUGUST EVERY YEAR STARTING FROM 21/08/2014 TILL MATURITY
Put: NACall: NA
ANNUALLY ON 13TH SEPT EVERY YEAR STARTING FROM 13/09/2014 TILL MATURITY i.e. 13/09/2020
Put: NACall: NA
ANNUALLY ON 01 APRIL EVERY YEAR STARTING 01/04/14 TILL 01/04/20 AND ON 24/10/20
Put: NACall: NA
Put: NACall: NA
ANNUAL ON 10-AUG-18, 10-AUG-19, 10-AUG-20 AND 10-NOV-20
Put: NACall: NA
ANNUAL 04 DEC STARTING 04-DEC-16 TILL MATURITY i.e 04-DEC-20
Put: NACall: NA
ANNUAL 18 MAR STARTING 18-MAR-17 TILL 18-MAR-21
Put: NACall: NA
8600016284-8600016483
9600029211-9600029960
2000000543 - 2000000792
9600031411-9600036570
9600038621-9600038770
9800000001-9800006600
NA 9600039596-9600039645
9700000001-9700000850
NA
NA 9910000001-9910005500
9700022951-9700027450
ANNUAL AND ON MATURITY ON 28TH MARCH EVERY YR STARTING 28/03/15 TILL
Put: NACall: NA
ANNUAL 29 MAR STARTING 29-MAR-17 AND ON MATURITY i.e 29-MAR-21
Put: NACall: NA
Annually on 1st January & on Maturity
Put: NACall: NA
ANNUAL 13TH APRIL EVERY YEAR STARTING FROM 13-APR-17 TILL MATURITY
Put: NACall: NA
ANNUAL 29 APR STARTING 29-APR-17 TILL 29-APR-21
Put: NACall: NA
SEMI ANNUAL 05 DEC AND 05 JUN 05-DEC-16 TILL 05-JUN-21
Put: NACall: NA
Put: NACall: NA
ANNUAL 30 JUN STARTING 30-JUN-17 TILL 30-JUN-21
Put: NACall: NA
ANNUAL ON 15/07/15, 15/07/16, 15/07/17, 15/07/18, 15/07/19, 15/07/20 AND 15/07/21
Put: NACall: NA
MONTHLY ON 1ST OF EVERY MONTH STARTING 01/09/14
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL ON 03 AUG STARTING 03-AUG-17 TILL 03-AUG-21
Put: NACall: NA
9700035301-9700035550
ANNUAL ON 30 AUG 9700036901-9700037100
8000016351-8000017600
9910008251-9910008750
9300018526-9300019025
9300019026-9300019275
9600009781-9600014780
9500003951-9500009950
2600000001-2600000500
NA 9900044401-9900051900
2600000501 - 2600001150
2600001151 - 2600001850
ANNUAL ON 16-AUG-17, 16-AUG-18, 16-AUG-19, 16-AUG-20 AND ON MATURITY i.e 16-AUG-21
Put: NACall: NA
Put: NACall: NA
ANNUAL 1ST JULY EVERY YEAR STARTING FROM 01-JUL-12 TILL 01-JUL-21 AND ON MATURITY i.e. 13-SEP-
Put: NACall: NA
ANNUALLY - 19-SEP-18, 19-SEP-19, 19-SEP-20 AND ON MATURITY i.e. ON 17-SEP-21
Put: NACall: NA
ANNUAL ON 19TH SEPT EVERY YEAR STARTING 19/09/15 TILL 19/09/21
Put: NACall: NA
ANNUAL ON 19TH SEPT EVERY YEAR STARTING 19/09/15 TILL 19/09/21
Put: NACall: NA
MONTHLY FIRST INTEREST ON 05-FEB-15 AND LAST INTEREST ON 05-JAN-22 . CONTACT
Put: NACall: NA
ANNUAL ON 23-MAR-18, 23-MAR-19, 23-MAR-20, 23-MAR-21 AND ON MATURITY i.e 23-MAR-22
Put:23/03/2020 i.e. AT THE END OF 3 YEARS FROM THE DEEMED DATE OF ALLOTMENT
ANNUALLY - 01/06/2013, 01/06/2014, 01/06/2015, 01/06/2016, 01/06/2017, 01/06/2018, 01/06/2019,
Put: NACall: NA
Put:AT THE END OF 18 MONTHS i.e 18/01/19, AT THE END OF 24 MONTHS i.e 18/07/19 AND AT THE
ANNUALLY ON 20TH JULY EVERY YEAR AND ON MATURITY i.e. ON 20TH JULY 2022
Put: NACall: NA
ANNUAL ON 22 AUG STARTING 22-AUG-18 TILL 22-AUG-22
Put: NACall: NA
9910005501-9910007750
ANNUALLY ON 31ST DEC AND ON MATURITY.
Put: NACall: NA
2600002474 - 2600002500
2600002224 - 2600002473
2700000550 - 2700000670
2700000671 - 2700001000
2700001001 - 2700001025
2700001026-2700001040
2800000651-2800001000
2700001041-2700001047
2700001248-2700001482
2700001048-2700001247
2900000351-2900000550
2900000251-2900000350
9600038771-9600039270
ANNUALLY ON 30TH JANUARY AND ON MATURITY i.e. 30/01/2023
Put: NACall: NA
ANNUALLY ON 30TH JANUARY AND ON MATURITY i.e. 30/01/2023
Put: NACall: NA
ANNUALLY ON 7TH MARCH EVERY YEAR TILL MATURITY i.e. ON 07/03/2023
Put: NACall: NA
ANNUALLY ON 7TH MARCH EVERY YEAR TILL MATURITY i.e. ON 07/03/2023
Put: NACall: NA
ANNUALLY ON 8TH MARCH EVERY YEAR TILL MATURITY i.e. ON 08/03/2023
Put: NACall: NA
ANNAUALLY ON 13TH MARCH EVERY YEAR TILL MATURITY
Put: NACall: NA
ANNUALLY ON 28TH MARCH EVERY YEAR TILL MATURITY i.e. ON 28/03/2023
Put: NACall: NA
ANNUALLY ON 28TH MARCH EVERY YEAR TILL MATURITY i.e. ON 28/03/2023
Put: NACall: NA
ANNUALLY ON 02ND MAY EVERY YEAR AND ON MATURITY i.e. 02/05/2023
Put: NACall: NA
ANNUALLY ON 02ND MAY EVERY YEAR AND ON MATURITY i.e. 02/05/2023
Put: NACall: NA
ANNUALLY ON 21ST MAY EVERY YEAR AND ON MATURITY i.e. 19.05.2023
Put: NACall: NA
ANNUALLY ON 20TH MAY EVERY YEAR AND ON MATURITY i.e. 20.05.2023
Put: NACall: NA
ANNUAL 25 MAY STARTING 25-MAY-17 TILL 25-MAY-23
Put: NACall: NA
9600039471-9600039595
2900000951-2900001450
2900001451-2900001700
8500026522-8500027021
3000000001-3000000250
8500027022-8500027117
9700009501-9700010250
8600000001-8600000297
8700000001-8700000150
8800000001-8800000185
3100000501-3100001170
8800000336-8800000485
8800000236-8800000335
ANNUAL 09-JUN-17, 11-JUN-18, 10-JUN-19, 09-JUN-20, 09-JUN-21, 09-JUN-22 AND ON MATURITY i.e 09-
Put: NACall: NA
ANNUALLY ON 24TH JUNE EVERY YEAR AND ON MATURITY i.e. 24/06/2023
Put: NACall: NA
ANNUALLY ON 28TH JUNE EVERY YEAR AND ON MATURITY i.e. 28/06/2023
Put: NACall: NA
ANNUALLY ON 5TH JULY EVERY YEAR STARTING FROM 05/07/2014 TILL MATURITY i.e. 05/07/2023
Put: NACall: NA
ANNUALLY ON 5TH JULY EVERY YEAR STARTING FROM 05/07/2014 ADN ON MATURITY i.e. 05/07/2023
Put: NACall: NA
ANNUALLY ON 15TH JULY EVERY YEAR STARTING FROM 15/07/2014 TILL MATURITY i.e. 15/07/2023
Put: NACall: NA
ANNUALLY ON 19 JUL STARTING 19-JUL-17 TILL 19-JUL-23
Put: NACall: NA
ANNUALLY ON 14TH AUGUST EVERY YEAR STARTING FROM 14/08/2014 TILL MATURITY
Put: NACall: NA
ANNUALLY ON 14TH AUGUST EVERY YEAR STARTING FROM 14/08/2014 TILL MATURITY
Put: NACall: NA
ANNUALLY ON 27TH AUGUST EVERY YEAR STARTING FROM 27/08/2014 TILL MATURITY
Put: NACall: NA
ANNUALLY 30 SEP EVERY YEAR STARTING 30-SEP-16 TILL 30-SEP-22 AND ON 29-SEP-23
Put: NACall: NA
ANNUALLY ON 25TH SEPT EVERY YEAR TILL 25/09/22 AN ON MATURITY i.e 30/09/23
Put: NACall: NA
ANNUALLY ON 25TH SEPT EVERY YEAR TILL 25/09/22 AN ON MATURITY i.e 30/09/23
Put: NACall: NA
3000000501-3000000750
8800000486-8800000585
8700000351-8700000810
3000000811-3000000910
8800000586-8800000685
8600016484-8600016683
3100001171-3100001570
9300015026-9300018025
9300019276-9300019525
9500000001-9500004750
9500009001-9500009250
9500011251-9500014830
9600005001-9600006000
ANNUALLY ON 4TH OCT EVERY YEAR STARTING FROM 04/10/2014 AND ON MATURITY i.e. 04/10/2023
Put: NACall: NA
ANNUALLY ON 9TH OCT EVERY YEAR STARTING 09/10/14 TILL 09/10/2023
Put: NACall: NA
ANNUALLY ON 13TH DECEMBER EVERY YEAR STARTING FROM 13/12/14 TILL 13/12/22 AND ON
Put: NACall: NA
ANNUALLY AND ON MATURITY 30.12.2014, 30.12.2015, 30.12.2016, 30.12.2017, 30.12.2018,
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 28TH MARCH STARTING 28/03/15 TILL 28/03/24
Put: NACall: NA
ANNUALLY AND ON MATURITY ON 28TH MARCH EVERY YEAR STARTING 28/03/15 TILL
Put: NACall: NA
ANNUAL ON 01 DEC STARTING 01-DEC-17 TILL 01-DEC-23 AND ON 30-MAY-24
Put: NACall: NA
ANNUAL AND ON MATURITY i.e ON 18TH SEPT EVERY YEAR STARTING 18/09/15 TILL
Put: NACall: NA
ANNUAL ON 19TH SEPT EVERY YEAR STARTING 19/09/15 TILL 19/09/24
Put: NACall: NA
ANNUAL ON 10TH OCT STARTING 10/10/15 TILL 10/10/24
Put: NACall: NA
ANNUAL 31 OCT STARTING 31/10/15 TILL 31/10/23 AND ON MATURITY i.e 31/10/24
Put: NACall: NA
ANNUAL 13TH NOV STARTING FROM 13/11/2015 TILL 13/11/2024
Put: NACall: NA
ANNUAL 28TH NOV STARTING 28/11/15 TILL 28/11/24
Put: NACall: NA
96000006751-9600007250
Annually on 30th August 2000000000-2000000292
Annually on 9th September 2000000293 - 2000000542
9600023211-9600024210
9600029961-9600031410
9600036571-9600038360
9600038361-9600038620
9700034201-9700035300
3100001571-3100002170
3100002171-3100002920
2900000551-2900000700
2000000001 TO 2000000250
ANNUAL ON 30 NOV 01/(01-1450)
ANNUAL ON 28 NOV STARTING 28/11/15 TILL 28/11/24
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
ANNUAL 18 MAR STARTING 18-MAR-17 TILL 18-MAR-26
Put: NACall: NA
ANNUAL 29 MAR STARTING 29-MAR-17 TILL 29-MAR-25 AND ON MATURITY i.e 27-MAR-26
Put: NACall: NA
ANNUAL 13TH APRIL EVERY YEAR STARTING FROM 13-APR-17 TILL MATURITY
Put: NACall: NA
ANNUAL ON 22 APR SATRTING 22-APR-17 TILL 22-APR-26
Put: NACall: NA
ANNUAL 08 AUG STARTING 08-AUG-17 TILL 08-AUG-26
Put: NACall:07/08/2020
ANNUAL ON 01 DEC STARTING 01-DEC-17 TILL 01-DEC-26
Put: NACall: NA
ANNUALLY 29 DEC EVERY YEAR STARTING 29-DEC-17 TILL 29-DEC-26
Put: NACall: NA
ANNUALLY ON 29TH MAY EVERY YEAR TILL MATURITY i.e. ON 29/05/2028
Put: NACall: NA
Annually on 1st July & on Maturity
Put: N.A.Call: N.A.
Put: NACall:THE ISSUER SHALL HAVE OPTION TO BUY BACK PARTIALLY AND OR FULLY THE NCD 3 YEARS
1-6649000
1-750
001-200
002/(1001-2000)
001/(0001-1000)
001/(0001-1000)
001/(0001-1000)
001/(0001-1000)
001/(0001-1000)
1/(1-100)
NA
NA
NA
ON 19-DEC-15 FOR FIRST YEAR, THEREAFTER QUARTERLY ON ON 01-APR-16, 01-JUL-16, 01-OCT-
Put: NACall: NA
SEMI ANNUAL ON 21 DEC AND 21 JUN STARTING 21-DEC-16 TILL 21-JUN-23
Put: NACall: NA
QUARTERLY ON 30TH MAR, 26TH JUNE, 29TH SEP, 30TH DEC EVERY YAER STARTING FROM 29-JUN-16
Put: NACall: NA
SEMI ANNUAL ON 27-DEC-16, 27-JUN-17, 27-DEC-17, 27-JUN-18, 27-DEC-18, 27-JUN-19, 27-DEC-19, 29-JUN-
Put: NACall: NA
SEMI ANNUAL ON 30 SEP AND 31 MAR STARTING 30-SEP-17 TILL 31-MAR-19
Put: NACall: NA
SEMI ANNUAL ON 30 SEP AND 31 MAR STARTING 30-SEP-17 TILL 31-MAR-20
Put: NACall: NA
SEMI ANNUAL ON 30 SEP AND 31 MAR STARTING 30-SEP-17 TILL 31-MAR-21
Put: NACall: NA
SEMI ANNUAL ON 30 SEP AND 31 MAR STARTING 30-SEP-17 TILL 31-MAR-22
Put: NACall: NA
SEMI ANNUAL ON 30 SEP AND 31 MAR STARTING 30-SEP-17 TILL 31-MAR-23
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC EVERY YEAR STARTING 27-JUN-16
Put: NACall:PRE PAYMENT CHARGES AT THE RATE OF 2% ON THE AMOUNT PREPAID FROM THE QUARTERLY 30-JUN-16, 30-
SEP-16, 31-DEC-16, 31-MAR-17, 30-JUN-17, 30-SEP-17, 31-DEC-17, 31-
Put: NACall: NA
QUARTERLY 30-JUN-16, 30-SEP-16, 31-DEC-16, 31-MAR-17, 30-JUN-17, 30-SEP-17, 31-DEC-17, 31-
Put: NACall: NA
ANNUAL ON 04-DEC-17, 03-DEC-18, 02-DEC-19 AND 02-JAN-20
Put: NACall:07/12/2019
0001-1350
1351-2700
NA
NA
NA
NA
NA
NA
NA
NA
NA
N.A.
NA
ANNUAL 16/07/15, 15/07/16, 14/07/17 AND 16/07/18
Put: NACall: NA
ANNUAL 16/07/15, 15/07/16, 14/07/17, 16/07/18 AND 16/07/19
Put: NACall: NA
ANNUAL ON 24 JUL EVERY YEAR AND ON REDEMPTION
Put:17/06/2018Call:17/06/2018
ANNUAL ON 22ND JAN EVERY YEAR AND ON MATURITY
Put: NACall: NA
ANNUAL ON 22ND JAN EVERY YEAR AND ON MATURITY
Put:PUT AT THE END OF 3 YEARS (22 JAN 2018)Call: NA
ANNUALLY ON 26TH DECEMBER EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 11TH MARCH EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 18TH MARCH EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 28TH MARCH EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 9TH JULY EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 28TH JULY EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 29TH JUNE EVERY YEAR & ON REDEMPTION
Put:AT THE END OF 7TH YEAR DEEMED DATE OF ALLOTMENTCall:AT THE END OF 7TH YEAR DEEMED DATE OF ALLOTMENT
ANNUALLY ON 6TH DECEMBER EVERY YEAR AND ON REDEMPTION
Put:AT THE END OF 7TH YEAR DEEMED DATE OF ALLOTMENTCall:AT THE END OF 7TH YEAR DEEMED DATE OF ALLOTMENT
NA
NA
NA
01-160, 161-200
1-17, 18-22
1 - 230
1 TO 500
L-1 - L-5000
1-2250
1-2750
1-850
1-2500
1-1125
ANNUALLY ON 31ST DECEMBER & ON MATURITY
Put:AT THE END OF 7TH YEAR FROM THE DEEMED DATE OF ALLOTMENTCall:AT THE END OF 7TH YEAR FROM THE DEEMED DATE OF ALLOTMENT
ANNUALLY ON 12TH FEBRUARY & ON MATURITY
Put:AT THE END OF 7TH YEAR FROM THE DEEMED DATE OF ALLOTMENTCall:AT THE END OF 7TH YEAR FROM THE DEEMED DATE OF ALLOTMENT
ANNUAL O 17 JUN EVERY YEAR AND ON REDEMPTION
Put:AT THE END OF 36 MONTHS (3 YEAR) FROM DEEMED DATE OF ALLOTMENT (i.e. 17/06/2018)Call:AT THE END OF 36 MONTHS (3 YEAR) FROM DEEMED DATE OF ALLOTMENT (i.e. 17/06/2018)
QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR EVERY YEAR STARTING 30-JUN-15 TILL 31-MAR-20
Put: NACall: NA
QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR EVERY YEAR STARTING 30-JUN-15 TILL 31-MAR-20
Put: NACall: NA
ANNUALLY ON 11TH APRIL
Put:11/04/2015, 11/04/2017Call:11/04/2015, 11/04/2017
SEMI-ANNUALLY ON 1ST JUNE , 1ST DECEMBER TILL REDEMPTION
Put: NACall: NA
QUARTERLY 08 JAN, 08 APR, 08 JUL AND 08 OCT EVERY YEAR STARTING 08-JAN-16
Put: NACall: NA
QUARTERLY ON 11TH SEPT, DEC, MAR AND JUNE EVERY YEAR
Put:10/06/19 AT THE END OF 5TH YEAR FROM DEEMED DATE OF ALLOTMENT
QUARTERLY 30TH DEC, 30TH MAR, 30TH JUN AND 30TH SEPT
Put:AT THE END OF FIFTH YEAR FROM DEEMED DATE OF ALLOTMENT i.e 30/09/19
ON MATURITY i.e. 18-FEB-18
Put: NACall: NA
QUARTERLY 8TH JAN, 8TH APR, 8TH JUL AND 8TH OCT EVERY YEAR STARTING FROM 08-JAN-16
Put: NACall: NA
QUARTERLY 11TH JUN, 11TH SEP, 11TH MAR AND 11TH DEC EVERY YEAR TILL MATURITY
Put:AT THE END OF 5TH YEAR FORM THE DEEMED DATE OF ALLOTMENT THAT IS JUNE 11,2019
1-1375
1-2000
D00001-D09733
D09734-D11497
D11498-D14145
ANNUAL ON 31 MAR 1-164500000
1-120020000
1-275
1-1000
1-1000
1-1000
1-5
1-10
QUARTERLY 30TH MAR, 30TH JUN, 30TH SEP AND 30TH DEC EVERY YEAR STARTING FROM 30-DEC-
Put:AT THE END OF THE 5TH YEAR FROM THE DEEMED DATE OF ALLOTMENT i.e. 30/09/19
QUARTERLY FIRST INTEREST ON 29-AUG-16 AND SUBSEQUENTLY ON 28-NOV-16, 27-FEB-17 AND
Put: NACall: NA
QUARTERLY 13TH AUG, 13TH NOV, 13TH FEB AND 13TH MAY
Put: NACall: NA
QUARTERLY 22 OCT, 22 JAN, 22 APR AND 22 JUL EVERY YEAR
Put: NACall: NA
QUARTERLY 09 JAN, 09 APR, 09 JUL AND 09 OCT
Put: NACall: NA
Put: NACall: NA
THE CCD SHALL CARRY INTEREST AT THE RATE OF 0.00001% PER ANNUM WHICH SHALL BE PAYABLE
Put:THE CCD SHALL BE CONVERTED IN ONE OR MORE INSTALMENTS ANY TIME AFTER 1ST APRIL
SEMI ANNUAL ON 31 MAY AND 30 NOV EVERY YEAR STARTING 31-MAY-15
Put: NACall:THE ISSUER SHALL HAVE THE RIGHT TO REDEEM THE DEBENTURES IN FULL OR ANNUAL 30-MAR-16, 30-
MAR-17 AND 30-MAR-18Put:30/04/2017 AND 30/10/2017Call: NA
ANNUAL 15-MAY STARTING 15-MAY-16
Put:THE DATE FALLING 24 MONTHS AFTER THE DEEMED DATE OF ALLOTMENT i.e 15/05/17
ANNUAL 15-MAY STARTING 15-MAY-16
Put:THE DATE FALLING 27 MONTHS AFTER THE DEEMED DATE OF ALLOTMENT i.e 15/08/17
MONTHLY 31-MAR-17, 30-APR-17, 31-MAY-17 AND ONWARDS
Put: NACall: NA
MONTHLY 31-MAR-17, 30-APR-17, 31-MAY-17 AND ONWARDS
Put: NACall: NA
1-5
1-10
1-5
1-5
1-5
1-3
1-59
1-5
1-7
1-3
1-10
1-10
1-8
MONTHLY 30-APR-17, 31-MAY-17, 30-JUN-17 AND ONWARDS
Put: NACall: NA
MONTHLY 30-APR-17, 31-MAY-17, 30-JUN-17 AND ONWARDS
Put: NACall: NA
MONTHLY 31-MAY-17, 30-JUN-17, 31-JUL-17 AND ONWARDS
Put: NACall: NA
MONTHLY 31-MAY-17, 30-JUN-17M 31-JUL-17 AND ONWARDS
Put: NACall: NA
MONTHLY 30-JUN-17, 31-JUL-17 AND 30-AUG-17 ONWARDS
Put: NACall: NA
MONTHLY 31-JUL-17, 31-AUG-17, 30-SEP-17 AND ONWARDS
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-OCT-16
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-OCT-16
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-OCT-16
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-OCT-16
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-OCT-16
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-OCT-16
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-OCT-16
Put: NACall: NA
1-03
1-224
1-250
001-150
01-2100
NA
NA
1-4000
NA
NA
NA
NA
NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-MAR-17
Put: NACall: NA
MONTHLY 30-SEP-17, 31-OCT-17 AND ONWARDS
Put: NACall: NA
QUARTERLY ON 31 DEC, 31 MAR, 30 JUN AND 30 SEP STARTING 31-MAR-17 TILL 31-MAR-20 AND ON 10-
Put: NACall: NA
QUARTERLY ON 31 DEC, 31 MAR, 30 JUN AND 30 SEP STARTING 30-JUN-17 TILL 31-MAR-20 AND ON 10-
Put: NACall: NA
QUARTERLY ON 30 SEP, 31 DEC, 31 MAR AND 30 JUN STARTING 30-SEP-17 TILL 30-JUN-20
Put:PUT OPTION IS AVAILABLE FOR ALL PRINCIPAL AND INTEREST PAYMENTS
MONTHLY ON LAS DAY OF EVERY MONTH STARTING 31-AUG-16 TILL 31-JUL-21
Put: NACall: NA
MONTHLY LAST DAY OF EVERY MONTH STARTING FROM 29-AUG-17
Put: NACall: NA
ANNUAL ON 20-SEP-18,20-SEP-19 AND 18-SEP-20
Put: NACall: NA
1ST COUPON PAYMENT ON 09-MAR-16 AND SUBSEQUENTLY ON 09TH MAR EVERY YEAR TILL
Put: NACall: NA
ANNUAL ON 20 MAR STARTING 20-MAR-16 TILL MATURITY
Put: NACall: NA
1ST COUPON PAYMENT ON 09-MAR-16 AND SUBSEQUENTLY ON 09-MAR-17, 09-MAR-18 AND
Put: NACall: NA
ANNUAL ON 20 MAR STARTING 20-MAR-16 TILL MATURITY
Put: NACall: NA
ANNUAL ON 30-MAR EVERY YEAR STARTING 30-MAR-16
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA 1/(1-300)
NA 1/(1-180)
NA 1/(1-180)
1-100000
NA 1/(1-170)
ANNUAL 27-FEB-17, 26-FEB-18 AND ON 26-FEB-19
Put:27/02/2017Call: NA
ANNUAL 15-MAR-16, 15-MAR-17, 15-MAR-18 AND ON 15-MAR-19
Put:15/03/2017Call: NA
ANNUAL 29-JAN-17, 29-JAN-18, 29-JAN-19 AND ON MATURITY i.e 26-MAR-19
Put: NACall: NA
ANNUAL ON 02-FEB-17, 02-FEB-18, 02-FEB-19 AND ON MATURITY i.e 26-MAR-19
Put: NACall: NA
ANNUAL 10-FEB-17, 08-FEB-18, 10-FEB-19 AND ON MATURITY i.e 26-MAR-19
Put: NACall: NA
ANNUAL 16-FEB-17, 16-FEB-18, 16-FEB-19 AND ON MATURITY i.e 26-MAR-19
Put: NACall: NA
ANNUAL 28 MAR STARTING 28-MAR-16 TILL 28-MAR-19
Put: NACall: NA
ANNUAL ON 19-MAY-18, 19-MAY-19, 19-MAY-20 AND 19-JUN-20
Put:19/11/2018Call:19/11/2018
Put: NACall: NA
Put: NACall: NA
Put:DEBENTURE HOLDERS WILL HAVE PUT OPTION AT THE END OF 3 YEARS FROM DEEMED DATE OF
SEMI ANNUAL ON 01 FEB AND 01 AUG EVERY YEAR STARTING 01-FEB-17
Put:ANY DATE AFTER EXPIRY OF 3 YEARS FROM THE DATE OF ISSUECall:ANY DATE AFTER EXPIRY OF 3 YEARS FROM THE DATE OF ISSUEPut:DEBENTURE HOLDERS WILL HAVE PUT OPTION AT THE END OF 3 YEARS FROM DEEMED DATE OF
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
1-12230000
1-38000000
ANNUAL ON 03 MAR EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUAL ON 17 MAR EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUAL ON 21 MAR EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUAL ON 29 JUL EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUAL ON 18 SEP EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUAL ON 20 JUL EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUAL ON 29 JUL EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUAL ON 29 SEP EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUAL ON 03 MAR EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUAL ON 11 MAR EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUAL ON 21 MAR EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUAL e.g. 31-MAR-16, 31-MAR-17 AND SO ON
Put: NACall: NA
ANNUAL FOR e.g. 31-MAR-16, 31-MAR-17
Put: NACall: NA
1-15290000
NA D01/(01-5119)
01-31265
01-763083
CCD 01- CCD 72000
CCD 72001- CCD 232000
ANNUAL ON 30 JUN CCD 232001- CCD 376100
ANNUAL ON 30 JUN CCD 376101- CCD 425100
ANNUAL ON 30 JUN CCD 425101-CCD 450300
573-812
1378-1747
NA
23798-24097
ANNUAL FOR e.g. 31-MAR-16, 31-MAR-17 AND SO ON
Put: NACall: NA
Put: NACall: NA
QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR EVERY YEAR
Put: NACall: NA
QUARTERLY ON 30TH JUN, 30TH SEP, 31ST DEC AND 31ST MAR EVERY YEAR
Put: NACall: NA
ANNUAL ON 30 JUN EVERY YEAR
Put: NACall: NA
ANNUAL ON 30 JUN EVERY YEAR
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
SEMI ANNUAL 24 JAN AND 24 JULY
Put:ON COMPLETION OF 24 MONTHS BEING 22/07/16 FROM DEEMED DATE OF ALLOTMENT
QUARTERLY ON 25 MAR, 25 JUN, 25 SEP AND 25 DEC EVERY YEAR STARTING 25-JUN-15 TILL 25-MAR-19
Put:25/09/2017Call:25/09/2017
SEMI ANNUALLY 01 JULY , 01 JANUARY
Put:01/01/2017. PUT NOTICE DEADLINE DATE AND PUT NOTIFICATION TIME-15 DAYS PRIOR TO PUT DATE
QUARTERLY ON 21 JUN, 21 SEP, 21 DEC AND 21 MAR STARTING 21-JUN-17 TILL 21-JUN-19 AND THEN ON
Put: NACall: NA
1898-2197
1748-1897
23128-23797
22348-22447
22198-22347
22448-23127
24098-24877
001-400
001-060
001-100
01-21540
01-8618
1-500
SEMI ANNUAL ON 30 DEC AND 30 JUN EVERY YEAR
Put:ON COMPLETION OF 36 MONTHS BEING 30/06/18 FROM DEEMED DATE OF ALLOTMENTCall:ON COMPLETION OF 36 MONTHS BEING 30/06/18 FROM DEEMED DATE OF ALLOTMENT
QUARTERLY ON 29 JUN, 29 SEP, 30 DEC AND 30 MAR EVERY YEAR STARTING 29-JUN-15 TILL 29-SEP-20
Put:SHALL BE THE DATE FALLING ON COMPLETION OF 24 MONTHS BEING 06/04/17
SEMI ANNUAL ON 26 APR AND 26 OCT STARTING 26-APR-17 TILL 26-OCT-21
Put:26/10/2019Call:26/10/2019
QUARTERLY ON 30 MAR, 29 JUN, 29SEP AND 30 DEC STARTING 30-MAR-16 TILL 30-MAR-22 AND ON 15-
Put:SHALL BE DATE FALLING ON COMPLETION OF 36 MONTHS FROM THE DEEMED DATE OF
QUARTERLY ON 30 MAR, 29 JUN, 29SEP AND 30 DEC STARTING 30-MAR-16 TILL 30-MAR-22 AND ON 15-
Put: NACall: NA
SEMI ANNUAL ON 22 DEC AND 22 JUN STARTING 22-DEC-16 TILL 22-JUN-22
Put:24/06/2019Call:24/06/2019
SEMI ANNUAL ON 31-JAN-18, 31-JUL-18, 31-JAN-19, 31-JUL-19, 31-JAN-20, 31-JUL-20, 01-FEB-21, 02-AUG-
Put:YES, 31/07/2020Call:YES, 31/07/2020
SEMI ANNUAL ON 13 NOV AND 13 MAY STARTING 13-NOV-16 TILL 13-MAY-19 AND ON 24-AUG-19
Put: NACall: NA
QUARTERY 30-SEP-17, 31-DEC-17, 31-MAR-18, 30-JUN-18 AND 08-JUL-18
Put: NACall:AS PER DEBENTURE TRUST DEED AGREEMENT
QUARTERLY 31ST MAR, 30TH JUN, 30TH SEP AND 31ST DEC EVERY YEAR STARTING FROM 31-DEC-
Put: NACall:09/12/2017 (AFTER 12 MONTHS FROM ALLOTMENT DATE)
HALF YEARLY STARTS FROM 1ST APRIL AND 1ST OCT EVERY YEAR TILL MATURITY
Put: NACall: NA
HALF YEARLY STARTS FROM 1ST APRIL AND 1ST OCT EVERY YEAR TILL MATURITY
Put: NACall: NA
SEMI ANNUAL 31-DEC-15, 30-JUN-16, 31-DEC-16, 30-JUN-17, 31-DEC-17
Put: NACall: NA
1-520
1-520
1-550
1-560
1-600
1-610
1-700
1-710
1-760
1-770
1-780
1-790
1-850
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 30-JUN-18
Put: NACall:31/12/2017
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 31-DEC-18
Put: NACall:31/12/2017
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 30-JUN-19
Put: NACall:31/12/2017
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 31-DEC-19
Put: NACall:31/12/2017
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 30-JUN-20
Put: NACall:31/12/2017
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 31-DEC-20
Put: NACall:31/12/2017
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 30-JUN-21
Put: NACall:31/12/2017
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 31-DEC-21
Put: NACall:31/12/2017
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 30-JUN-22
Put: NACall:31/12/2017
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 31-DEC-22
Put: NACall:31/12/2017
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 30-JUN-23
Put: NACall: NA
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 31-DEC-23
Put: NACall: NA
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 30-JUN-24
Put: NACall: NA
1-880
1-910
1-930
1-1020
1-1050
1-1100
1-1130
1-1250
1-1290
1-1340
1-1250
1-1400
1-1250
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 31-DEC-23
Put: NACall: NA
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 30-JUN-25
Put: NACall: NA
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 31-DEC-25
Put: NACall: NA
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 30-JUN-26
Put: NACall: NA
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 31-DEC-26
Put: NACall: NA
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 30-JUN-27
Put: NACall: NA
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 31-DEC-27
Put: NACall: NA
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 30-JUN-28
Put: NACall: NA
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 31-DEC-28
Put: NACall: NA
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 30-JUN-29
Put: NACall: NA
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 31-DEC-23
Put: NACall: NA
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 30-JUN-30
Put: NACall: NA
SEMI ANNUAL 31 DEC AND 30 JUN EVERY YEAR STARTING 31-DEC-15 TILL 31-DEC-30
Put: NACall: NA
NA
NA
1-4000
NA
33-35
36-37
38-39
40-40
41-44
45-58
1-20000
20001-40000
NA
MONTHLY STARTING 15-SEP-17
Put: NACall: NA
ANNUAL ON 26-SEP-18, 26-SEP-19 AND 25-SEP-20
Put:AT THE END OF 367 DAYS AND 24 MONTHS FROM THE DEEMED DATE OF ALLOTMENT
QUARTERLY ON 28 DEC, 28 MAR, 28 JUN AND 28 SEP STARTING 28-DEC-17 TILL 28-SEP-20
Put:DATE 1 - SHALL BE THE DATE FALLING ON THE COMPLETION OF 12 MONTHS FROM THE INITIAL
HALF YEARLY - 18TH MAR AND 18TH SEP EVERY YEAR STARTING FROM 18-MAR-18 TILL 18-SEP-23
Put:COUPON RATE MAY BE RESET ON THE COUPON RESET DATE. b) THE MAJORITY DEBENTURE
MONTHLY 31-MAR-15, 30-APR-15, 31-MAY-15 SO ON
Put: NACall: NA
MONTHLY 31-MAR-15, 30-APR-15, 31-MAY-15 SO ON
Put: NACall: NA
MONTHLY 31-MAY-15, 30-JUN-15, 31-JUL-15 SO ON
Put: NACall: NA
MONTHLY 31-MAY-15, 30-JUN-15, 31-JUL-15 AND SO ON
Put: NACall: NA
MONTHLY 30-JUL-15, 31-AUG-15, 30-SEP-15 AND SO ON
Put: NACall: NA
MONTHLY 31-JAN-16 AND SO ON
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC STARTING 31-MAR-16 TILL 31-MAR-19
Put: NACall: NA
QUARTERLY ON 01 OCT, 01 JAN, 01 APR AND 01 JUL STARTING 01-OCT-16 TILL 01-JUL-20 AND ON 30-SEP-
Put: NACall: NA
MONTHLY 31/07/14, 31/08/14, ETC
Put: NACall: NA
11/04/2018 001/(001-25676565)
NA
NA
11301-21300
1-56
57-106
1-82
1980-3479
0001-3500
3501-4000
0001-1979
3480-3500
Monthly on 31st D001 - D500
Put: NACall: NA
ANNAUL 18TH SEP EVERY YEAR
Put: NACall: NA
10% INTEREST QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR STARTING 30-JUN-17 TILL 31-MAR-22
Put: NACall: NA
QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-MAR-17
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-MAR-17
Put: NACall: NA
QUARTERLY 30TH JUN, 30TH SEP, 31TH DEC, 31ST MAR
Put: NACall: NA
QUARTERLY 30TH JUNE, 30TH SEPTEMBER, 31ST DECEMBER AND 31ST MARCH
Put: NACall: NA
QUARTERLY 30TH JUNE, 30TH SEPTEMBER, 31ST DECEMBER AND 31ST MARCH
Put: NACall: NA
QUARTERLY 30TH JUNE, 30TH SEPTEMBER, 31ST DECEMBER AND 31ST MARCH
Put: NACall: NA
QUARTERLY 30TH JUNE, 30TH SEPTEMBER, 31ST DECEMBER AND 31ST MARCH
Put: NACall: NA
QUARTERLY 30TH JUNE, 30TH SEPTEMBER, 31ST DECEMBER AND 31ST MARCH
Put: NACall: NA
Put: N.A.Call: N.A.
CCD 01- CCD 335500
001-20/(0001-960)
0001/200/(0001-10000)
ANNUAL ON 31 DEC 001-50/(0001-1600)
ON MATURITY - 06-JUL-18 001-2500
001-250
NA 001-1500
ON MATURITY i.e 20/03/19 01-150
01-125
01-50
01-50
001-2500
ANNUAL ON 30 JUN EVERY YEAR
Put: NACall: NA
QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR STARTING 30-JUN-16 TILL 30-SEP-18
Put: NACall: NA
001-13/(0001-1200) 14-16/(1201-1450)
SINGLE INTEREST PAYMENT ON 17-JAN-18
Put:ON OR AFTER 17 JAN 19Call:ON OR AFTER 17 JAN 19
SINGLE INTEREST PAYMENT ON 17-JAN-18
Put:ON OR AFTER 17 JAN 19Call:ON OR AFTER 17 JAN 19Put:24 MONTHS FROM DEEMED DATE OF ALLOTMENTCall:36 MONTHS FROM DEEMED DATE OF ALLOTMENTPut:22-DEC-17,23-MAR-18Call:22-DEC-17,23-MAR-18,21-JUN-18
ANNUAL ON 30 MAR STARTING 30-MAR-16 AND ON MATURITY i.e 21-SEP-18
Put:1) FIRST PUT OPTION ON 370TH DAY FROM THE DATE OF ALLOTMENT i.e 26 SEP Put:INVESTOR/ ISSUER- PUT OPTION DATE- 14/03/18Call:INVESTOR/ ISSUER- CALL OPTION DATE- 14/03/18Put:FIRST PUT OPTION ON 21/03/16, SECOND ON 21/03/17 AND THIRD ON 21/03/18
ON MATURITY i.e 20-MAR-19
Put: NACall: NA
ON MATURITY i.e 22-MAR-19
Put: NACall: NA
ON MATURITY i.e 12-APR-19
Put: NACall: NA
ON 23-MAR-18 AND ON MATURITY i.e 25-MAR-21
Put:INVESTOR/ ISSUER CALL OPTION DATE- 23/03/18Call:a. INVESTOR/ ISSUER CALL OPTION DATE- 23/03/18 b. ISSUER CALL OPTION REDEMPTION DATE
NA 001-2500
NA NA
NA NA
NA
NA
NA NA
NA
NA
NA NA
0001-2000
NA
NA
NA
Put:09/08/18, 09/08/19 AND 07/08/20Call:a. ANNUAL CALLS 09/08/18, 09/08/19, 07/08/20 b. ISSUER CALL OPTION - REDEMPTION Put: NACall: NA
Put: NACall: NA
ANNUAL 01-APR-16, 01-APR-17, 01-APR-18 AND 11-MAY-18
Put: NACall: NA
MONTHLY ON 1ST OF EVERY MONTH SATRTING 01-JUL-15 TILL 01-MAY-18 AND ON MATURITY i.e 11-
Put: NACall: NA
Put: NACall: NA
MONTHLY ON 1ST OF EVERY MONTH STARTING 01-JUL-15 TILL 01-AUG-18 AND ON MATURITY i.e 11-
Put: NACall: NA
ANNUAL 01-APR-16, 01-APR-17, 01-APR-18 AND 11-AUG-18
Put: NACall: NA
Put: NACall: NA
QUARTERLY ON 22-NOV-16, 22-FEB-17, 22-MAY-17, 22-AUG-17, 22-NOV-17, 22-FEB-18, 22-MAY-18, 22-
Put:AT THE END OF EVERY QUARTER FROM THE DEEMED DATE OF ALLOTMENT i.e.
MONTHLY ON 07TH OF EVERY MONTH STARTING 07-MAR-17 TILL MATURITY
Put: NACall: NA
MONTHLY ON 07TH OF EVERY MONTH STARTING 07-MAR-17 TILL MATURITY
Put: NACall: NA
ANNUAL ON 01 APR STARTING 01-APR-17 TILL MATURITY
Put: NACall: NA
NA
NA NA
NA NA
0001-0010
0001-0010
NA
NA
ANNUAL ON 31 MARCH 0001-360
0001-0100
0001-01500
0001-0070
0001-0050
NA
ANNUAL ON 01-APR-17, 01-APR-18, 01-APR-19 AND 17-JAN-20
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL 28 APR STARTING 28-APR-17 TILL 28-APR-20
Put: NACall: NA
ANNUAL ON 28-OCT-17, 28-OCT-18, 28-OCT-19 AND 28-APR-20
Put: NACall: NA
MONTHLY ON 1ST OF EVERY MONTH STARTING 01-JUL-15 TILL 01-MAY-20 AND ON MATURITY i.e 11-
Put: NACall: NA
ANNUAL 01-APR-16, 01-APR-17, 01-APR-18, 01-APR-19, 01-APR-20 AND 11-MAY-20
Put: NACall: NA
Put: NACall: NA
ANNUAL on 20.12.14, 20.12.15, 20.12.16, 20.12.17, 20.12.18, 20.12.19, 20.12.20
Put: NACall: NA
ANNUAL ON 24TH SEP EVERY YEAR AND ON MATURITY
Put: NACall: NA
ANNUAL 01-FEB-17, 01-FEB-18, 01-FEB-19, 01-FEB-20, 01-FEB-21 AND 01-MAY-21
Put: NACall: NA
ANNUAL ON 06-OCT-17, 06-OCT-18, 06-OCT-19, 06-OCT-20 AND 06-OCT-21
Put: NACall: NA
MONTHLY ON 07TH OF EVERY MONTH STARTING 07-MAR-17 TILL MATURITY
Put: NACall: NA
NA
NA
NA
NA NA
NA NA
NA
0001-0050
0001-500
NA
NA
NA NA
NA
0001-0020
MONTHLY ON 07TH OF EVERY MONTH STARTING 07-MAR-17 TILL MATURITY
Put: NACall: NA
ANNUAL ON 01 APR STARTING 01-APR-17 TILL MATURITY
Put: NACall: NA
ANNUAL ON 01 APR STARTING 01-APR-17 TILL MATURITY
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL 01-APR-16, 01-APR-17, 01-APR-18, 01-APR-19, 01-APR-20, 01-APR-21, 01-APR-22 AND 11-MAY-22
Put: NACall: NA
ANNUAL ON 09-MAR-18, 09-MAR-19, 09-MAR-20, 09-MAR-21, 09-MAR-22 AND 09-JUN-22
Put: NACall: NA
ANNUAL ON 13 AUG EVERY YEAR AND ON MATURITY
Put: NACall: NA
MONTHLY ON 25TH STARTING 25-SEP-17 AND ON MATURITY i.e 08-NOV-22
Put: NACall: NA
ANNUAL 01-APR-18, 01-APR-19, 01-APR-20, 01-APR-21, 01-APR-22 AND 08-NOV-22
Put: NACall: NA
Put: NACall: NA
24 TH JAN EACH YEAR TILL MATURITY
Put: NACall: NA
ANNUAL 29 MAR STARTING 29-MAR-17 TILL 29-MAR-23
Put: NACall: NA
0001-01500
0001-0050
0001-0750
0001-0500
NA
NA
0001-0050
0001-100
0001-100
NA
NA
NA
NA NA
ANNUAL ON 24TH SEP EVERY YEAR AND ON MATURITY
Put: NACall: NA
ANNUAL ON 02-DEC STARTING 02-DEC-17 TILL 02-DEC-23
Put: NACall: NA
ANNUAL ON 10 MAR SATRTING 10-MAR-18 TILL 10-MAR-24
Put: NACall: NA
ANNUAL ON 25-OCT STARTING 25-OCT-17 TILL 25-OCT-23 AND ON 25-APR-24
Put: NACall: NA
ANNUAL ON 26 MAY STARTING 26-MAY-18 TILL 26-MAY-24
Put: NACall: NA
ANNUAL 31ST MAY EVERY YEAR STARTING FROM 31-MAY-18 TILL 31-MAY-24
Put: NACall: NA
ANNUAL ON 01 MAR STARTING 01-MAR-18 TILL 01-MAR-24 AND ON 01-JUN-24
Put: NACall: NA
ANNUALLY ON 13TH JUNE STARTING 13/06/15 TILL MATURITY i.e 13/06/24
Put: NACall: NA
ANNUALLY ON 20TH JUNE STARTING 20/06/15 TILL MATURITY i.e 20/06/24
Put: NACall: NA
ANNUAL ON 22 JUN STARTING 22-JUN-18 TILL 22-JUN-24
Put: NACall: NA
MONTHLY ON 25TH STARTING 25-SEP-17 AND ON MATURITY i.e 08-AUG-24
Put: NACall: NA
ANNUAL 01-APR-18, 01-APR-19, 01-APR-20, 01-APR-21, 01-APR-22, 01-APR-23, 01-APR-24 AND
Put: NACall: NA
Put: NACall: NA
NA
NA
0001-50
0001-1500
0001-0100
0001-01500
0001-0150
0001-0050
0001-0050
0001-0050
0001-0200
0001-0200
0001-0040
ANNUAL ON 15 SEP STARTING 15-SEP-18 TILL 15-SEP-24
Put: NACall: NA
ANNUAL ON 03 OCT STARTING 03-OCT-18 TILL 03-OCT-24
Put: NACall: NA
SEMI ANNUAL ON 16 MAR AND 16 SEP EVERY YEAR
Put: NACall: NA
ANNUAL ON 13 AUG EVERY YEAR AND ON MATURITY
Put: NACall: NA
ANNUAL 20 AUG AND ON MATURITY
Put: NACall: NA
ANNUAL ON 24TH SEP EVERY YEAR AND ON MATURITY
Put: NACall: NA
ANNUAL ON 11 JAN EVERY YEAR AND ON MATURITY
Put: NACall: NA
ANNUAL ON 19 JAN STARTING 19-JAN-17 TILL 19-JAN-26
Put: NACall: NA
ANNUAL 04 FEB EVERY YEAR STARTING 04-FEB-17 TILL 04-FEB-26
Put: NACall: NA
ANNAUL 17 MARCH EVERY YEAR STARTING FROM 17-MAR-17 TILL 17-MAR-26
Put: NACall: NA
ANNUAL 31 MAR STARTING 31-MAR-17 TILL 31-MAR-26
Put: NACall: NA
ANNUAL 25 MAY STARTING 25-MAY-17 TILL 25-MAY-26
Put: NACall: NA
ANNUAL 26 MAY STARTING 26-MAY-17 TILL 26-MAY-26
Put: NACall: NA
0001-0300
0001-0150
0001-0400
0001-0100
0001-0100
NA
NA
NA
NA NA
NA
NA
NA
NA
ANNUAL 24 AUG STARTING 24-AUG-17 TILL 24-AUG-26
Put: NACall: NA
ANNUAL 04 OCT STARTING 04-OCT-17 TILL 04-OCT-25 AND ON 03-OCT-26
Put: NACall: NA
ANNUAL ON 07-OCT STARTING 07-OCT-17 TILL 07-OCT-26
Put: NACall: NA
ANNUAL 4TH NOV EVERY YEAR STARTING FROM 04-NOV-17 TILL 04-NOV-26
Put: NACall: NA
ANNUAL ON 20 DEC STARTING 20-DEC-17 TILL 20-DEC-26
Put: NACall: NA
ANNUAL ON 23 JUN STARTING 23-JUN-18 TILL 23-JUN-27
Put: NACall: NA
MONTHLY ON 25TH STARTING 25-SEP-17 AND ON MATURITY i.e 08-AUG-27
Put: NACall: NA
ANNUAL 01-APR-18, 01-APR-19, 01-APR-20, 01-APR-21, 01-APR-22, 01-APR-23, 01-APR-24, 01-
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 7TH MAY EVERY YEAR AND ON MATURITY i.e. 07.08.2018
Put: NACall: NA
08TH FEBRUARY EACH YEAR TILL MATURITY
Put: NACall: NA
Annually on 27/09/2012, 27/09/2013, 26/09/2014, 28/09/2015, 27/09/2016, 27/09/2017, 27/09/2018
Put: NACall: NA
28TH MARCH EVERY YEAR AND ON MATURITY i.e. 28/09/2018
Put: NACall: NA
NA
NA
0001-0150
NA
NA
NA
NA
NA
NA
NA
NA
Annually on 31st March NA
NA
ANNUALLY ON 29TH JUNE EVERY YEAR TILL MATURITY
Put: NACall: NA
ANNUALLY ON 24TH JULY EVERY YEAR TILL MATURITY
Put: NACall: NA
ANNUAL FOR FIRST 5 YEARS & AT THE TIME OF MATURITY 29/11/14, 29/11/15, 29/11/16, 29/11/17,
Put: NACall: NA
Semmi annually on 23/06/2010,23/21/2010,23/06/2011,23/12/2011,22/06/2012,21/12/2012,21/06/2013,23/12
Put: N.A.Call: N.A.
Semi annually on 19/09/2010,19/03/2011,19/09/2011,19/03/2012,19/09/2012,19/03/2013,19/09/2013,19/0
Put: N.A.Call: N.A.
Semi annually on 30th September & 31st March
Put: N.A.Call: N.A.
ANNUALLY ON 29TH JUNE EVERY YEAR TILL MATURITY
Put: NACall: NA
ANNUALLY ON 27TH SEPT EVERY YEAR TILL MATURITY
Put: NACall: NA
17/12/13, 17/12/14, 17/12/15, 17/12/16, 17/12/17, 17/12/18, 17/12/19, 17/12/20, 17/12/21, 17/12/22
Put: NACall: NA
ANNUALLY ON 7TH MAY EVERY YEAR TILL MATURITY
Put: NACall: NA
ANNUALLY ON 30TH DECEMBER
Put: NACall:THE BOND SHALL HAVE THE CALL OPTION ONLY AFTER THE BOND HAVE RUN FOR MINIMUM Put: NACall: NA
ANNUALLY ON 31ST JULY EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
NA
NA NA
NA NA
NA
NA
NA
NA
NA
NA
NA
NA
NA NA
NA
PAYABLE ANNUALLY ON 31ST OCTOBER EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
MONTHLY ON 1ST OF EVERY MONTH STARTING 01/01/15 TILL 01/11/17 AND 12/11/17
Put: NACall: NA
ANNUAL 01/04/15, 01/04/16, 01/04/17 AND 12/11/17
Put: NACall: NA
PAYABLE ANNUALLY ON 28TH SEPTEMBER EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 2ND JANUARY & ON MATURITY
Put: NACall: NA
PAYABLE ANNUALLY ON 18TH OCTOBER EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
PAYABLE ANNUALLY ON JANUARY 24TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 31ST OCTOBER EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 1ST JANUARY & ON MATURITY
Put: NACall: NA
Put: NACall: NA
ANNUAL ON 01-APR-17, 01-APR-18 AND ON 03-APR-18
Put: NACall: NA
NA
NA
NA
NA
06/05/2018 NA
NA
NA
NA
NA
NA
NA
NA
NA
PAYABLE ANNUALLY ON JANUARY 16 EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
PAYABLE ANNUALLY ON JANUARY 24 EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
PAYABLE ANNUALLY ON JANUARY 24 EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
PAYABLE ANNUALLY ON JANUARY 28 EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
Put: NACall: NA
ANNUALLY 06/05/2014, 06/05/2015, 06/05/2016, 06/05/2017, 06/05/2018
Put: NACall: NA
PAYABLE ANNUALLY ON 1ST MARCH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
PAYABLE ANNUALLY ON 22ND MARCH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
PAYABLE MONTHLY STARTING 26/10/2013 TILL 26/09/2018
Put: NACall: NA
PAYABLE MONTHLY STARTING 26/10/2013 TILL 26/09/2018
Put: NACall: NA
PAYABLE MONTHLY STARTING 26/10/2013 TILL 26/09/2018
Put: NACall: NA
ANNUALLY ON 26.09.14, 26.09.15, 26.09.16, 26.09.17 AND 26.09.18
Put: NACall: NA
ANNUALLY ON 26.09.14, 26.09.15, 26.09.16, 26.09.17 AND 26.09.18
Put: NACall: NA
NA
NA
NA
NA NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUALLY ON 26.09.14, 26.09.15, 26.09.16, 26.09.17 AND 26.09.18
Put: NACall: NA
MONTHLY ON 1ST OF EVERY MONTH STARTING 01-SEP-15 TILL 01-OCT-18 AND ON MATURITY i.e 28-
Put: NACall: NA
ANNUAL ON 01-APR-16, 01-APR-17, 01-APR-18 AND 28-OCT-18
Put: NACall: NA
Put: NACall: NA
ANNUAL INTEREST PAYMENT i.e. 29.11.14,29.11.15,29.11.16,29.11.17 & 29.11,18
Put: NACall: NA
ANNUALLY ON 27.12.14, 27.12.15, 27.12.16, 27.12.17, 27.12.18
Put: NACall: NA
ANNUAL i.e 11/02/15, 11/02/16, 11/02/17, 11/02/18, 11/02/19
Put: NACall: NA
ANNUAL i.e 11/02/15, 11/02/16, 11/02/17, 11/02/18, 11/02/19
Put: NACall: NA
MONTHLY STARTING 11/03/14 TILL 11/02/19
Put: NACall: NA
MONTHLY STARTING 11/03/2014 TILL 11/02/2019
Put: NACall: NA
ANNUALLY i.e 11/02/15, 11/02/16, 11/02/17, 11/02/18, 11/02/19
Put: NACall: NA
ANNUAL i.e 11/02/15, 11/02/16, 11/02/17, 11/02/18, 11/02/19
Put: NACall: NA
PAYABLE ANNUALLY ON 29TH JUNE EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA NA
NA
NA
NA
NA
NA
NA
PAYABLE ANNUALLY ON 29TH JUNE EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
PAYABLE ANNUALLY ON 17TH JULY EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
PAYABLE ANNUALLY ON 17TH JULY EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
MONTHLY STARTING FROM 01/07/2014 TILL 01/05/2019 AND ON 28/05/2019
Put: NACall: NA
ANNUALLY ON 01/04/15, 01/04/16, 01/04/17, 01/04/18, 01/04/19 AND 28/05/19
Put: NACall: NA
ANNUALLY STARTING FROM 01/04/2015 TILL 01/04/2019 AND ON 28/05/2019
Put: NACall: NA
Put: NACall: NA
MONTHLY STARTING FROM 01/07/2014 TILL 01/05/2019 AND ON 28/05/2019
Put: NACall: NA
ANUALLY 10/06/2015, 10/06/2016, 10/06/2017, 10/06/2018 AND 10/06/2019
Put: NACall: NA
ANNUAL ON 16/06/15, 16/06/16, 16/06/17, 16/06/18 AND 16/06/19
Put: NACall: NA
ANNUALLY ON SEPTEMBER 17 EVERY YEAR AND ON REDEMPTION, 17.09.13,
Put: NACall: NA
MONTHLY ON 07 STARTING 07-NOV-16 AND ON MATURITY i.e 06-OCT-19
Put: NACall: NA
ANNUAL ON 01 APR STARTING 01-APR-17 TILL 01-APR-19 AND ON 06-OCT-19
Put: NACall: NA
NA NA
NA
NA
NA
NA
NA NA
NA NA
06/11/2019 NA
NA NA
NA
NA
NA
NA
Put: NACall: NA
1ST DAY AT THE END OF EVERY MONTH FROM THE DEEMED DATE OF ALLOTMENT (i.e. 5TH DAY
Put:05/11/2017Call: NA
1ST DAY AT THE END OF EVERY QUARTER (5TH JAN, 5TH APR, 5TH JUL, 5TH OCT) FROM DEEMED
Put:05/11/2017Call: NA
1ST DAY AT THE END OF EVERY YEAR FROM THE DEEMED DATE OF ALLOTMENT i.e. 05/11/13,
Put: NACall: NA
1ST DAY AT THE END OF EVERY YEAR FROM THE DEEMED DATE OF ALLOTMENT i.e. 05/11/13,
Put:05/11/2017Call: NA
Put: NACall: NA
Put:05/11/2017Call: NA
Put: NACall: NA
Put: NACall: NA
MONTHY ON 1ST OF EVERY MONTH STARTING 01/01/15 TILL 01/11/19 AND ON 12/11/19
Put: NACall: NA
ANNUAL 01/04/15, 01/04/16, 01/04/17, 01/04/18, 01/04/19 AND ON 12/11/19
Put: NACall: NA
CUMULATIVE i.e. 26/12/2019
Put: NACall: NA
ANNUALLY ON 2ND JANUARY & ON MATURITY
Put: NACall: NA
NA
NA
NA NA
NA
NA
NA
NA
NA NA
NA
Annually on 10th November NA
NA
NA
NA
MONTHLY ON 07TH STARTING 07-APR-17
Put: NACall: NA
ANNUAL ON 01-APR-17, 01-APR-18, 01-APR-19 AND ON 27-FEB-20
Put: NACall: NA
Put: NACall: NA
Semi annually on 23rd March & 23rd September
Put: N.A.Call: N.A.
PAYABLE ANNUALLY ON 29TH JUNE EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
PAYABLE ANNUALLY ON 17TH JULY EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUAL ON 01 APR STARTING 01-APR-16 TILL 01-APR-20 AND ON 28-JUL-20
Put: NACall: NA
Put: NACall: NA
MONTHLY ON 1ST OF EVERY MONTH STARTING 01-SEP-15 TILL 01-JUL-20 AND ON MATURITY i.e 28-
Put: NACall: NA
Put: N.A.Call: N.A.
Annually on 9th September & on maturity
Put: NACall: NA
MONTHLY ON 07 STARTING 07-NOV-16 AND ON MATURITY i.e 06-OCT-21
Put: NACall: NA
ANNUAL ON 01 APR STARTING 01-APR-17 TILL 01-APR-21 AND ON 06-OCT-21
Put: NACall: NA
NA NA
NA
NA
NA
NA
NA
NA
NA NA
CUMULATIVE 22/03/2022 NA
Annually on 22nd March NA
NA
NA
NA
Put: NACall: NA
Annually on 29th October & on Maturity
Put: NACall: NA
ANNUALLY ON 23RD DECEMBER ON MATURITY
Put: NACall: NA
ANNUALLY ON 11TH JANUARY & ON MATURITY
Put: NACall: NA
ANNUALLY ON 12TH JANUARY
Put: NACall: NA
MONTHLY ON 07TH STARTING 07-APR-17 TILL 27-FEB-22
Put: NACall: NA
ANNUAL ON 01-APR-17, 01-APR-18, 01-APR-19, 01-APR-20, 01-APR-21 AND 27-FEB-22
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 30TH MARCH
Put: NACall: NA
ANNUALLY ON 01ST JUNE EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 8TH JUNE EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
N.A.
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUALLY ON 31ST JULY EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 31ST JULY EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
PAYABLE ANNUALLY ON 28TH SEPTEMBER EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON OCTOBER 5TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
PAYABLE ANNUALLY ON 18TH OCTOBER EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUALLY ON 31ST OCTOBER EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
PAYABLE ANNUALLY ON JANUARY 16 EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
PAYABLE ANNUALLY ON JANUARY 16 EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
PAYABLE ANNUALLY ON JANUARY 24TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
PAYABLE ANNUALLY ON JANUARY 24TH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
PAYABLE ANNUALLY ON JANUARY 24 EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
PAYABLE ANNUALLY ON JANUARY 28 EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
PAYABLE ANNUALLY ON 1ST MARCH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
Annually on 22nd March NA
CUMULATIVE 22/03/2027 NA
1-6500
0001-2000
NA
PAYABLE ANNUALLY ON 28TH MARCH EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
PAYABLE ANNUALLY ON 29TH JUNE EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
PAYABLE ANNUALLY ON 29TH JUNE EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
PAYABLE ANNUALLY ON 17TH JULY EVERY YEAR AND ON REDEMPTION
Put: NACall: NA
ANNUAL INTEREST PAYMENT i.e. 29.11.14,29.11.15,29.11.16,29.11.17,29.11,18,29.11.19,29.11.
Put: NACall: NA
ANUALLY 10/06/2015, 10/06/2016, 10/06/2017, 10/06/2018, 10/06/2019, 10/06/2020, 10/06/2021,
Put: NACall: NA
ANNUAL ON 09 DEC STARTING 09/12/15 TILL 09/12/24
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL ON 30 JUN STARTING 30-JUN-18
Put: NACall: NA
NCD-1(2017-18)/ NCD(2017-18) 1-NCD(2017-18) 3000
SEMI ANNUAL ON 15TH JAN AND 15TH JUL EVERY YEAR STARTING 15/01/15
Put:ANY DATE AFTER EXPIRY OF 3 MONTHS FROM THE DATE OF ISSUE IN FULL OR PART
ANNUAL 30-MAY-18, 30-MAY-19, 01-SEP-20, 31-MAY-21, 30-MAY-22, 30-MAY-23, 30-MAY-24 AND
Put: NACall:06-SEP-2022
ANNUAL ON 28TH OCTOBER
Put: NACall: NA
NA
NA
NA
NA
001 TO 5000
1501 to 4500
1-2000
0001 to 2000
Annually on 1st April NA
NA
NA
Annually on 31st March NA
ANNUAL ON 31 MARCH NA
ANNUAL ON 28TH OCTOBER
Put: NACall: NA
ON MATURITY i.e 07-SEP-20
Put: NACall: NA
ON MATURITY i.e 07-SEP-20
Put: NACall: NA
ON MATURITY i.e 07-SEP-21
Put: NACall: NA
ANNUALLY ON 01ST APRIL
Put: NACall: NA
Annually on 1st April Put: N.A.Call:After 10th year from the deemed date of allotment i.e.15/10/2017
ANNUALLY ON 01ST APRIL STATRING FROM 01-APR-15 AND SO ON TILL 2025
Put: NACall: NA
Annually on 1st April Put: N.A.Call:at par at the end of 10th year from the date of allotment i.e.20/03/2018 (with prior permission of RBI)Put: N.A.Call:At the end of 10th year i.e.19/03/2018
Annually on 31st March Put: N.A.Call:The bank may exercise call option at par only with prior approval of RBI & only if the instrument has run for Annually on 31st March Put: N.A.Call:The bank may exercise call option at par only with prior approval of RBI & only if the instrument has run for Put: N.A.Call:The bank may exercise call option at par only with prior approval of RBI & only if the instrument has run for Put: NACall: NA
NA
NA
NA
NA
NA
Annually on 1st April NA
NA
NA
NA
NA
Annually on 1st April NA
Annually on 01st April NA
NA
ANNUAL ON 31 MAR EVERY YEAR
Put: NACall: NA
ANNUAL ON 31 MAR EVERY YEAR
Put: NACall: NA
Annually on 1st April Put: N.A.Call:at par at the end of 10th year from the date of allotment i.e.on 28/03/2018 & thereafter on each coupon payment date Annually on 31st March Put: N.A.Call:The bank may exercise call option at par only with prior approval of RBI & only if the instrument has run for Annually on 31st March Put: N.A.Call:The bank may exercise call option at par only with prior approval of RBI & only if the instrument has run for Put: N.A.Call: N.A.
Annually on 01st April & on maturity
Put: N.A.Call: N.A.
Annually on 2nd April, the last interest payment will be made along with repayment of the principal
Put: N.A.Call:4th November,2015
Annually on 2nd April.However, if the date of interest payment falls on a saturday
Put: NACall:The Bank has a call option to redeem the bonds after five year & one day from the deemed date of AllotmentAnnually on 2nd April.
HoweverPut: NACall:The Bank has a call option to redeem the bonds after five year & one day from the deemed date of AllotmentPut: N.A.Call:After 10 years from the deemed date of allotment i.e. 05/06/2016Put: N.A.Call:After 10 years from the date of allotment i.e. 12/09/2016
Annually on 1st April Put: N.A.Call:After 10 years from the date of allotment i.e. 07/06/2017
NA
Annually on 1st April NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
Annually on 1st April Put: N.A.Call:After 10 years from the date of allotment i.e. 11/09/2017Put: N.A.Call:After 10 years from the date of allotment i.e. 19/12/2018
ANNUALLY ON 2ND JANUARY TILL MATURITY
Put: NACall: NA
Annually on 1st April Put: N.A.Call:After 10 years from the date of allotment i.e. 02/03/2019
Annually on 1st April Put: N.A.Call:After 10 years from the date of allotment i.e. 06/03/2019
Annually on 2nd April, the last interest payment will be made along with repayment of the principal
Put: N.A.Call:4th November,2020
ANNUALLY ON 23RD DEC TILL MATURITY
Put: NACall: NA
ANNUALLY ON 18TH FEB TILL MATURITY
Put: NACall:18/02/2021, SUBJECT TO RBI GUDELINES
Annually on 2nd April.However
Put: NACall:The Bank has a call option to redeem the bonds after ten year & one day from the deemed date of AllotmentAnnually on 2nd April.
HoweverPut: NACall:The Bank has a call option to redeem the bonds after ten years & one day from the deemed date of AllotmentANNUALLY ON 18TH MAR
TILL MATURITYPut: NACall:18/03/2021
ANNUALLY ON 21TH MAR TILL MATURITY
Put: NACall:21/03/2021
Annually on 1st April Put: N.A.Call:After 10 years from the date of allotment i.e. 14/08/2019
NA
ANNUALLY ON 06TH SEP NA
ANNUALLY ON 27TH SEP NA
ANNUALLY ON 25TH OCT NA
ANNUALLY ON 02 AUG NA
Annually on 1st April NA
NA
Annually on 1st April NA
Annually on 2nd April 001-3000
Annually on April 01 001 - 3400
01-04/(1-5000)
01-03/(1-3000)
01-02/(1-2000)
Annually on 1st April Put: N.A.Call:After 10 years from the date of allotment i.e. 27/01/2020Put: NACall:06/09/2021 OR ANY COUPON PAYMENT DATE THEREAFTERPut: NACall:27/09/2021 OR ANY COUPON PAYMENT DATE THEREAFTERPut: NACall:25/10/2021 OR ANY COUPON PAYMENT DATE THEREAFTERPut: NACall:02/08/2022 OR ANY ANNIVERSARY DATE THEREAFTERPut: N.A.Call:After 10 years i.e. 22/03/2017
Annually on 1st April Put: N.A.Call:After 10 years i.e.on 20/03/2019
Put: N.A.Call:After 10 years i.e. 28/09/2017
Put: N.A.Call:After 10 years from the date of allotment.i.e.15-11-2016Put: N.A.Call:At the end of 120 months from the sate of allotment with prior approval of RBI i.e. 16/01/2018 and thereafter on ANNUAL FIRST INTEREST
ON 1-APR-15 AND SUBSEQUENTLY ON 1ST APRIL EVERY YEAR TILL
Put: NACall: NA
ANNUAL ON 01 APR EVERY YEAR
Put: NACall: NA
ANNUAL ON 01 APR EVERY YEAR
Put: NACall: NA
001-1600
Annually on 1st April 0001 to 1000
Annually on 20th December NA
NA
NA
ANNUALY
NA
Annually on 08th January NA
NA
1 TO 5000
Annually on 31st March 1 to 1000
NA
01-1500
Annually on 1st April Put: N.A.Call:At par at the end of 10th year from allotment date i.e. on 30/11/2017 & thereafter on each anniversary date (with Put: N.A.Call:At the end of 10 years from the date of allotment with prior approval of RBI.Contact issuer for further details.Put: N.A.Call:At the end of 10 years from the date of allotment i.e. 20/12/2017
Annually on 20th March Put: N.A.Call:At the end of 10 years from the date of allotment i.e. 20/03/2018
Annually on 13th March Put: N.A.Call:At the end of 10 years i.e. 13/03/2019
Put: NACall: NA
Annually on 18th January Put: N.A.Call:At par on 18/01/2020 or thereafter (Subject to prior approval from RBI)Put: N.A.Call: N.A.
ANNUAL ON 30 MAR EVERY YEAR TILL MATURITY
Put: NACall:30/03/21 SUBJECT TO TAX CALL AND REGULATORY CALL
ANNUALLY ON 26TH MARCH
Put: NACall:AT PAR AT THE END OF 10 YEAR i.e. on 26/03/2022Put: N.A.Call:At par at the end of 10th Year i.e.on 31/03/2018 (with RBI approval) or thereafter on each anniversary date i.e.31st ANNUAL ON 30 DEC EVERY
YEAR TILL MATURITYPut: NACall:30/12/2021 SUBJECT TO TAX CALL AND REGULATORY CALL
ANNUAL 01-OCT-16, 01-OCT-17, 01-OCT-18
Put: NACall: NA
01-3000
01-2000
01-1500
1 to 140
NA
NA
1-8000
1 - 144
1-144
NA
NA
NA
1 to 140
ANNUAL ON 25TH JUNE STARTING 25/06/15 TILL 25/06/19
Put: NACall: NA
ANNUALLY 30/07/2015, 30/07/2016, 30/07/2017, 30/07/2018 AND 30/07/2019
Put: NACall: NA
ANNUAL 01-OCT-16, 01-OCT-17, 01-OCT-18, 01-OCT-19, 01-OCT-20
Put: NACall: NA
Annually on 26th October till redemption
Put: N.A.Call: N.A.
ANNUALLY ON 16TH DEC EVERY YEAR
Put: NACall: NA
ANNUALLY ON 15TH APR EVERY YEAR
Put: NACall: NA
ANNUALLY ON 06TH MAY EVERY YEAR TILL REDEMPTION ON 06/05/2018
Put:AT THE END OF 3 YEARS EXCERCISABLE ON 06/05/2018Call:AT THE END OF 3 YEARS EXCERCISABLE ON 06/05/2018
ANNUALLLY ON 25TH MAY EVERY YEAR TILL REDEMPTION ON 25TH MAY 2018
Put: NACall: NA
ANNUALLLY ON 25TH MAY EVERY YEAR TILL REDEMPTION ON 25/05/2018
Put: NACall: NA
ANNUALLY ON 09TH JUN EVERY YEAR
Put: NACall: NA
ANNUALLY ON 27TH JUL EVERY YEAR
Put: NACall: NA
ANNUALLY ON 10TH AUG EVERY YEAR
Put: NACall: NA
Annually on 26th October till redemption
Put: N.A.Call: N.A.
Annually on 1st May 1 to 19000
Annually on 11th May 1 to 5250
1 - 144
Annually on 22nd June 1 to 8250
1 to 500
1 to 140
1 to 3350
Annually on 7th December 1 to 1200
1 to 4500
NA
Annually on 1st February 1 to 2420
1 to 5450
Put: N.A.Call:after 30/04/2014
Put:After 11/05/2014Call:After 11/05/2014
ANNUALLLY ON 25TH MAY EVERY YEAR TILL REDEMPTION ON 25TH MAY 2019
Put: NACall: NA
ANNUALLLY ON 25TH MAY EVERY YEAR TILL REDEMPTION ON 25/05/2019
Put: NACall: NA
Put: N.A.Call: N.A.
Annually on 15th Septeber till redemption
Put: N.A.Call: N.A.
Annually on 26th October till redemption
Put: N.A.Call: N.A.
Annually on 19th November till redemption
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 30th December till final redemption
Put: N.A.Call: N.A.
ANNUALLY ON 21ST JAN EVERY YEAR
Put: NACall: NA
Put: N.A.Call:After expiry of 5 years from the date of allotmenti.e.after 01/02/2015
Annually on 23rd April & on maturity
Put: N.A.Call: N.A.
1 to 6600
1 - 144
1-144
NA
1 to 140
1 - 144
1-144
Annually on 11th August 1-7000
1 TO 400
1 - 144
ANNUALLY 1-144
1 to 140
Annually on 30th April till final redemption
Put: N.A.Call: N.A.
ANNUALLLY ON 25TH MAY EVERY YEAR TILL REDEMPTION ON 25TH MAY 2020
Put: NACall: NA
ANNUALLLY ON 25TH MAY EVERY YEAR TILL REDEMPTION ON 25/05/2020
Put: NACall: NA
ANNUALLY ON 25TH AUG EVERY YEAR
Put: NACall: NA
Annually on 26th October till redemption
Put: N.A.Call: N.A.
ANNUALLLY ON 25TH MAY EVERY YEAR TILL REDEMPTION ON 25TH MAY 2021
Put: NACall: NA
ANNAUALLY ON 25TH MAY EVERY YEAR TILL REDEMPTION AND ON 25TH MAY 2021
Put: NACall: NA
Put: N.A.Call: N.A.
Annually on 23rd August & on Maturity
Put: NACall: NA
Annually on 26th October till redemption
Put: N.A.Call: N.A.
1 to 140
ANNUALLLY ON 25TH MAY EVERY YEAR TILL REDEMPTION ON 25TH MAY 2022
Put: NACall: NA
Put: NACall: NA
Annually on 26th October till redemption
Put: N.A.Call: N.A.
NA
NA
NA
1 to 140
1 to 3000
1 to 500
NA
Annually on 9th September 1 to 4550
D01-D1000000
1-2
NA 1/(01-2500)
ANNUALLY ON 19TH NOV EVERY YEAR
Put: NACall: NA
ANNUALLY ON 01ST AUG EVERY YEAR
Put: NACall: NA
ANNUALLY ON 03RD AUG EVERY YEAR
Put: NACall: NA
Annually on 26th October till redemption
Put: N.A.Call: N.A.
Annually on 25th August till redemption
Put: N.A.Call:After 12 years i.e. on 25/08/2021
Annually on 15th Septeber till redemption
Put: N.A.Call: N.A.
ANNUALLY ON 14TH OCT EVERY YEAR
Put: NACall: NA
Annually on 26th October till redemption
Put: N.A.Call: N.A.
1 to 140
Annually on 26th October till redemption
Put: N.A.Call: N.A.
1 to 140
Put: NACall:At the end of 12th year i.e.on 12/09/2023
ON MATURITY i.e 13-NOV-21
Put: NACall: NA
SEMI ANNUAL ON 31 MAR AND 30 SEP
Put: NACall: NA
Put:PUT OPTION AT THE END OF THE TENURE ON 30.06.18 AT 19% IRR OR AT DEVELOPER BUYBACK
N.A 1/(01 - 2500)
1-1200
NA 4-5
NA 2
NA 3
NA
NA
NA
NA
NA
NA
01-2000
Put:PUT OPTION AT THE END OF THE TENURE ON 30.09.18 AT 19% IRR OR AT DEVELOPER BUYBACK
SEMI ANNUAL 31ST MAR AND 30TH SEP EVERY YEAR STARTING FROM 31-MAR-18 TILL 31-MAR-22
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL 25 OCTOBER EACH YEAR TILL MATURITY
Put:25/10/2017Call:25/10/2017
ANNUAL 27 NOVEMBER EACH YEAR TILL MATURITY
Put:27/11/2017Call:27/11/2017
ANNUAL 06/12/2013, 06/12/2014, 06/12/2015, 06/12/2016, 06/12/2017
Put:06/12/2017Call:06/12/2017
ANNUAL 20/12/13, 20/12/14, 20/12/15, 20/12/16, 20/12/17
Put:20/12/2017Call:20/12/2017
ANNUAL 05/04/2014, 05/04/2015, 05/04/2016, 05/04/2017, 05/04/2018
Put:05/04/2018Call:05/04/2018
ANNUAL 04/07/2014, 04/07/2015, 04/07/2016, 04/07/2017, 04/07/2018
Put:04/07/2018Call:04/07/2018
ANNUAL 05/07/2014, 05/07/2015, 05/07/2016, 05/07/2017, 05/07/2018
Put: NACall: NA
ANNUAL 16-NOV-17, 16-NOV-18 AND 15-APR-19
Put:IN CASE THE RATING OF THE DEBENTURES FALLS BELOW A- (i.e BBB+ OR LOWER) BY THE CREDIT
2001-3000
1-750
1-750
1-500
001-448
1-2500
1-1355
NA
01/(01-15079137)
02/(15079138-19261242)
03/(19261243-22598114)
04/(22598115-25984862)
05/(25984863-28259987)
ANNUAL 16-NOV-17, 16-NOV-18 AND 15-APR-19
Put:IN CASE THE RATING OF THE DEBENTURES FALLS BELOW A- (i.e BBB+ OR LOWER) BY THE CREDIT
ANNUAL ON 22-MAR-18, 22-MAR-19 AND 20-MAR-20
Put:DEEBENTURE HOLDERS SHALL BE ENTITLED TO (AT ITS SOLE DISCRETION) EITHER (i) REQUIRE THE
ANNUAL ON 22-MAR-18, 22-MAR-19, 20-MAR-20 AND 22-SEP-20
Put:DEEBENTURE HOLDERS SHALL BE ENTITLED TO (AT ITS SOLE DISCRETION) EITHER (i) REQUIRE THE
MONTHLY ON 30 OF EVERY MONTH
Put: NACall: NA
FIRST INTEREST PAYMENT ON 30-APR-15 THEN ANNUAL ON 31-MAR-16 AND 30-SEP-16
Put: NACall: NA
MONTHLY ON 01ST STARTING 01-NOV-17
Put: NACall:LOCK IN PERIOD OF 12 MONTHS AND NO PENALTY AFTER 12 MONTHS
MONTHLY ON 01ST STARTING 01-NOV-17
Put: NACall:LOCK IN PERIOD OF 12 MONTHS AND NO PENALTY AFTER 12 MONTHS
MONTHLY ON 1ST OF EVERY MONTH STARTING 01-APR-15 TILL 01-FEB-20
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC EVERY YEAR
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC EVERY YEAR
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC EVERY YEAR
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC EVERY YEAR
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC EVERY YEAR
Put: NACall: NA
06/(28259988-30158274)
1-5000
1-5000
1-22720
01-300
NA NA
NA
NA
NA
NA NA
NA
NA
NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC EVERY YEAR
Put: NACall: NA
ANNUAL 23-DEC-16 AND 22-DEC-17
Put: NACall: NA
ANNUAL 23-DEC-16, 26-DEC-17, 24-DEC-18 AND 22-MAR-19
Put: NACall: NA
SEMI ANNUAL ON 10 JAN AND 10 JUL STARTING 10-JAN-18
Put:ANY DATE AFTER THE EXPIRY OF THREE YEARS FROM THE DATE OF ISSUECall:ANY DATE AFTER THE EXPIRY OF THREE YEARS FROM THE DATE OF ISSUE
MONTHLY ON 15TH OF EVERY MONTH STARTING FROM 15-OCT-16 TILL 15-DEC-20 AND ON 22-DEC-20
Put:NONE, EXCEPT IN CASE OF EARLY REDEMPTIONCall:NONE, EXCEPT IN CASE OF EARLY REDEMPTIONPut: NACall: NA
ANNUALLY 24/01/13, 24/01/14, 27/01/15, 25/01/16, 24/01/17, 20/12/17
Put: NACall: NA
06/01/2014,05/01/2015,04/01/2016,04/01/2017 & 04/01/2018
Put: NACall: NA
ANNUALLY ON 07/03/2014,09/03/2015,07/03/2016,07/03/2017 AND 23/01/2018
Put: NACall: NA
Put: NACall: NA
ANNUAL 25-FEB-16, 27-FEB-17 AND 23-FEB-18
Put: NACall: NA
ANNUAL 29-FEB-16, 27-FEB-17 AND 27-FEB-18
Put: NACall: NA
ANNUAL 03-MAR-16, 03-MAR-17 AND 02-MAR-18
Put: NACall: NA
NA NA
NA NA
NA
NA
NA NA
NA
NA NA
NA NA
NA NA
NA NA
NA
NA NA
NA
Put: NACall: NA
Put: NACall: NA
ANNUAL 09-MAR-17 AND 09-MAR-18
Put: NACall: NA
ANNUALLY ON 19.03.2014,19.03.2015,21.03.2016,20.03.2017 AND 19.03.2018
Put: NACall: NA
Put: NACall: NA
ANNUAL 16-MAR-16, 16-MAR-17, 16-MAR-18 AND 23-MAR-18
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 22/04/2014, 22/04/2015, 22/04/2016, 24/04/2017 AND 20/04/2018
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 8TH MAY EVERY YEAR STARTING FROM 08/05/2013
Put: NACall: NA
NA
NA NA
NA NA
NA NA
ON MATURITY i.e. 12-JUL-18 NA
NA
NA
NA NA
NA
NA
NA
NA
NA
PAYABLE ANNUALLY 20/05/2014, 20/05/2015, 20/05/2016, 20/05/2017, 20/05/2018
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL 02-AUG-17 AND 02-AUG-18
Put: NACall: NA
ANNUALLY 08/08/2014, 10/08/2015, 08/08/2016, 08/08/2017, 08/08/2018
Put: NACall: NA
Put: NACall: NA
ANNUAL 10-OCT-16, 09-OCT-17, 08-OCT-18 AND 09-OCT-18
Put: NACall: NA
ANNUAL 14-OCT-16, 16-OCT-17, 15-OCT-18
Put: NACall: NA
ANNUAL 14-DEC-16, 14-DEC-17 AND 14-DEC-18
Put: NACall: NA
ANNUALLY ON 19TH JANUARY
Put: NACall: NA
ANNUALLLY ON 21/01/15, 21/01/16, 23/01/17, 22/01/18, 21/01/19
Put: NACall: NA
NA
NA
NA
NA NA
NA
NA
NA NA
NA NA
NA
NA
NA NA
NA
ANNUALLY ON 08/02/2013, 10/02/2014, 09/02/2015, 08/02/2016, 08/02/2017, 08/02/2018, 08/02/2019
Put: NACall: NA
ANNUAL Y 10/02/15, 10/02/16, 10/02/17, 12/02/18 AND 08/02/19
Put: NACall: NA
ANNUAL ON 08-FEB-18 AND 08-FEB-19
Put: NACall: NA
ANNUALLY ON 22ND FEBRUARY
Put: NACall: NA
Put: NACall: NA
ANNUAL 02-MAR-17, 02-MAR-18 AND 01-MAR-19
Put: NACall: NA
ANNUAL 13-MAR-17, 12-MAR-18 AND 11-MAR-19
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL 18-JUN-18 AND 14-JUN-19
Put: NACall: NA
ANNUALLY ON 29TH JUNE EVERY YEAR
Put: NACall: NA
Put: NACall: NA
ANNUAL 02-JUL-18 AND 28-JUN-19
Put: NACall: NA
NA NA
NA
NA
NA
NA NA
NA
NA
NA
NA
NA
NA
NA
NA
Put: NACall: NA
ANNUAL ANNUAL 12-JUL-17, 12-JUL-18, 12-JUL-19
Put: NACall: NA
ANNUAL 17-JUL-17, 16-JUL-18 AND 15-JUL-19
Put: NACall: NA
ANNUAL 20/07/15, 18/07/16, 18/07/17, 18/07/18, 18/07/19
Put: NACall: NA
Put: NACall: NA
23/08/2013, 25/08/2014, 24/08/2015, 23/08/2016, 23/08/2017, 23/08/2018, 23/08/2019
Put: NACall: NA
ANNUAL 11/9/15, 12/09/16, 11/09/17, 11/09/18 AND 11/09/19
Put: NACall: NA
ANNUAL 12-JUL-17, 12-JUL-18, 12-JUL-19, 12-SEP-19
Put: NACall: NA
ANNUAL 15/09/15, 15/09/16, 15/09/17, 17/09/18 AND 13/09/19
Put: NACall: NA
ANNUAL 28/09/15, 26/09/16, 26/09/17, 26/09/18, 26/09/19
Put: NACall: NA
ANNUAL 19/10/15, 17/10/16, 17/10/17, 17/10/18 AND 17/10/19
Put: NACall: NA
ANNUAL 28-NOV-17, 28-NOV-18 AND 28-NOV-19
Put: NACall: NA
ANNUAL 01-DEC-17, 03-DEC-18 AND 29-NOV-19
Put: NACall: NA
NA
NA NA
NA NA
NA
NA
NA
NA
NA
NA
NA
NA
0001-0500
0001-1000
ANNUAL 13-APR-16, 13-APR-17, 13-APR-18, 15-APR-19 AND 13-APR-20
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL 12-JUL-17, 12-JUL-18, 12-JUL-19, 10-JUL-20
Put: NACall: NA
ANNUAL ON 30-AUG-18, 30-AUG-19 AND 28-AUG-20
Put: NACall: NA
ANNUAL 04-SEP-18, 04-SEP-19 AND 04-SEP-20
Put: NACall: NA
ANNUAL 10-OCT-16, 09-OCT-17, 09-OCT-18, 09-OCT-19 AND 09-OCT-20
Put: NACall: NA
ANNUALLY ON 28TH JUNE EVERY YEAR
Put: NACall: NA
28/02/13,28/02/14,02/03/15,29/02/16,28/02/17,28/02/18,28/02/19,28/02/20,01/03/21,28/02/22,28/02/23
Put: NACall: NA
ANNUAL 16-DEC-15, 16-DEC-16, 18-DEC-17, 17-DEC-18, 16-DEC-19, 16-DEC-20, 16-DEC-21, 16-
Put: NACall: NA
ANNUAL 24-FEB-16, 24-FEB-17, 26-FEB-18, 25-FEB-19, 24-FEB-20, 24-FEB-21, 24-FEB-22, 24-FEB-23, 26-
Put: NACall: NA
ANNUAL ON 27-OCT-16 AND 27-OCT-17
Put: NACall: NA
ANNUAL ON 16-NOV-16 AND 16-NOV-17
Put: NACall: NA
0001-1000
0001-0550
0001-0500
0001-0600
0001-0250
NA 0001-0358
1-500
0001-0500
0001-1500
0001-1000
0001-0180
0001-1100
0001-1000
ANNUAL 05-DEC-16 AND 04-DEC-17
Put: NACall: NA
ANNUAL 08-DEC-16 AND 08-DEC-17
Put: NACall: NA
ANNUAL ON 09-JAN-17 AND 22-DEC-17
Put: NACall: NA
ANNUAL ON 09-JAN-17 AND 05-JAN-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 12-JAN-16, 12-JAN-17 AND 12-JAN-18
Put: NACall: NA
Put: NACall: NA
28/01/2014, 28/01/2015, 28/01/2016, 30/01/2017 & 29/01/2018
Put: NACall: NA
ANNUAL 07-MAR-16, 07-MAR-17 AND 07-MAR-18
Put: NACall: NA
AT THE END OF SIX MONTH AND ON MATURITY i.e 14-MAR-17 AND 14-MAR-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 13-APR-17 AND 19-MAR-18
Put: NACall: NA
ANNUAL ON 12TH JAN STARTING 12-JAN-16 TILL 12-JAN-18 AND ON MATURITY i.e 12-APR-18
Put: NACall: NA
ANNUAL 18-APR-17 AND 18-APR-18
Put: NACall: NA
ANNUAL 25-APR-17 AND 25-APR-18
Put: NACall: NA
0001-0600
0001-1450
0001-1530
ON MATURITY i.e. 12-JUN-18 0001-0250
0001-1430
0001-2000
0001-1500
NA 0001-1000
0001-1000
0001-1400
0001-0500
0001-1000
0001-0500
ANNUALLY 28/04/2014, 27/04/2015, 27/04/2016, 27/04/2017, 27/04/2018
Put: NACall: NA
ANNUAL 09-MAY-17 AND 09-MAY-18
Put: NACall: NA
ANNUALLY 29/05/2014, 29/05/2015, 30/05/2016, 29/05/2017, 29/05/2018
Put: NACall: NA
Put: NACall: NA
ANNUAL 29-JUN-16, 29-JUN-17 AND 29-JUN-18
Put: NACall: NA
ANNUALLY 13/08/2014, 13/08/2015, 16/08/2016, 14/08/2017, 13/08/2018
Put: NACall: NA
ON MATURITY i.e 14-SEP-18
Put: NACall: NA
Put: NACall: NA
ANNUAL AND ON MATURITY i.e. 09-OCT-17 AND 08-OCT-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e. 09-OCT-17 AND 08-OCT-18
Put: NACall: NA
ANNUAL 24-OCT-17 AND 24-OCT-18
Put: NACall: NA
ANNUAL 21-NOV-17 AND 21-NOV-18
Put: NACall: NA
ANNUAL ON 21-NOV-17 AND 21-NOV-18
Put: NACall: NA
0001-1000
0001-0250
NA 0001-0600
NA 0001-1180
0001-0500
0001-1000
0001-1000
0001-0500
0001-0250
0001-1000
0001-1000
0001-2000
0001-0600
ANNUAL & ON MATURITY 04-DEC-17 & 30-NOV-18
Put: NACall: NA
ANNUAL ON 17-JAN-18 AND 17-JAN-19
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL 20-FEB-18 AND 20-FEB-19
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 20-APR-18 & 15-MAR-19
Put: NACall: NA
FIRST COUPON PAYMENT ON 19-MAR-18 AND ON MATURITY i.e. 18-MAR-19
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 13-APR-17, 13-APR-18 AND 12-APR-19
Put: NACall: NA
ANNUAL 13-APR-17, 13-APR-18 AND 12-APR-19
Put: NACall: NA
ANNUAL ON 12-APR-18 AND 12-APR-19
Put: NACall: NA
ANNUAL ON 24-APR-18 AND 24-APR-19
Put: NACall: NA
ANNUAL 25-APR-17, 25-APR-18 AND 25-APR-19
Put: NACall: NA
ANNUALLY ON 06/05/15, 06/05/16, 06/05/17, 07/05/18 AND ON MATURITY i.e 06/05/19
Put: NACall: NA
0001-0200
0001-2000
0001-0500
0001-0700
0001-0500
0001-3000
0001-0800
0001-0600
0001-0550
0001-2500
0001-1000
0001-2000
0001-2000
ANNUALLY ON 20/05/15, 20/05/16, 20/05/17, 21/05/18 AND ON MATURITY i.e 20/05/19
Put: NACall: NA
ANNUAL ON 09-JUN-18 AND 07-JUN-19
Put: NACall: NA
ANNUAL 18-APR-17, 18-APR-18, 18-APR-19 AND ON MATUIRTY i.e 14-JUN-19
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 16-JUN-17, 18-JUN-18 AND 17-JUN-19
Put: NACall: NA
ANNUAL ON 25-JUN-18 AND 21-JUN-19
Put: NACall: NA
ANNUAL ON 28-JUN-18 AND 28-JUN-19
Put: NACall: NA
ANNUALLY AND ON MATURITY (VIZ) 27/07/15, 25/07/16, 25/07/17, 25/07/18 AND 25/07/19
Put: NACall: NA
ANNUALLY 16-AUG-18 AND 16-AUG-19
Put: NACall: NA
ON MATURITY i.e 28/08/2019
Put:AT THE END OF 16 MONTHS FROM THE DATE OF ALLOTMENT i.e ON 28/12/15
ANNUAL ON 30-AUG-18 AND 30-AUG-19
Put: NACall: NA
ANNUAL 14-SEP-17, 14-SEP-18 AND ON MATURITY i.e. 13-SEP-19
Put: NACall: NA
ANNUAL 22-FEB-18, 22-FEB-19 AND 20-SEP-19
Put: NACall: NA
ANNUAL 09-OCT-18, 09-OCT-19
Put: NACall: NA
0001-1000
NA
001-1000
0001-2000
0001-0670
0001-1000
ON MATURITY i.e 08-JUN-20 0001-2500
0001-1000
0001-5900
0001-2000
0001-0451
0001 - 0300
0001 - 0200
ANNUAL ON 18-DEC-17, 17-DEC-18 AND 16-DEC-19
Put: NACall: NA
ANNUAL 01-MAR-18, 01-MAR-19 AND 28-FEB-20
Put: NACall: NA
ANNUAL 23-JAN-18, 23-JAN-19, 23-JAN-20 AND ON 23-MAR-20
Put: NACall: NA
ANNUAL ON 02-APR-18, 02-APR-19 AND 31-MAR-20
Put: NACall: NA
Annually on 09/05/2011,07/05/2012,07/05/2013,07/05/2014,07/05/2015,09/05/2016,08/05/2017,07/05/2
Put: N.A.Call: N.A.
ANNUAL 29-MAY-17, 28-MAY-18, 27-MAY-19 AND 27-MAY-20
Put: NACall: NA
Put: NACall: NA
ANNUAL ON 19-JUN-18, 19-JUN-19, 19-JUN-20 AND 20-JUL-20
Put: NACall: NA
ANNUAL 03-SEP-18, 02-SEP-19 AND 01-SEP-20
Put: NACall: NA
ANNUAL 09-OCT-18, 09-OCT-19 AND 09-NOV-20
Put: NACall: NA
Annually on 22/12/2011,24/12/2012,23/12/2013,22/12/2014,22/12/2015,22/12/2016,22/12/2017,24/12/2
Put: NACall: NA
Annually on 30/01/2012,28/01/2013,28/01/2014,28/01/2015,28/01/2016,30/01/2017,29/01/2018,28/01/2
Put: NACall: NA
Annually on 09/04/2012, 08/04/2013, 07/04/2014, 07/04/2015, 07/04/2016, 07/04/2017, 09/04/2018,
Put: NACall: NA
0001-0500
0001 - 0300
0001 - 0200
0001 - 0300
0001-0500
0001 - 1400
0001 - 0600
0001-0250
0001-1000
0001-500
0001-0400
0001-1500
0001-1500
ANNUAL 20-APR-17, 20-APR-18, 22-APR-19, 20-APR-20 AND 20-APR-21
Put: NACall: NA
Annually on 30/07/2012, 29/07/2013, 29/07/2014, 29/07/2015,29/07/2016, 31/07/2017,30/07/2018,29/07/
Put: NACall: NA
Annually on 09/08/2012, 09/08/2013, 11/08/2014, 10/08/2015, 09/08/2016, 09/08/2017, 09/08/2018,
Put: NACall: NA
ANNUALLY ON 02/04/2013, 31/03/2014, 30/03/2015,30/03/2016, 30/03/2017, 30/03/2018,
Put: NACall: NA
ANNUALLY 29/07/13, 28/07/14, 27/07/15, 27/07/16, 27/07/17, 27/07/18, 29/07/19, 27/07/20, 27/07/21,27/07/22
Put: NACall: NA
ANNUALLY 30/09/13, 29/09/14, 28/09/15, 28/09/16, 28/09/17, 28/09/18, 30/09/19, 28/09/20, 28/09/21, 28/09/22
Put: NACall: NA
ANNUALLY 31/01/14,02/02/15,01/02/16,31/01/17,31/01/18,31/01/19,31/01/20,01/02/21,31/01/22,31/01/
Put: NACall: NA
ANNUALLY & ON MATURITY 10/11/2015, 10/11/2016, 10/11/2017, 10/11/2018, 11/11/2019,
Put: NACall: NA
ANNUALLY & ON MATURITY 12/11/2015, 12/11/2016, 13/11/2017, 12/11/2018, 12/11/2019,
Put: NACall: NA
ANNUALLY & ON MATURITY 27/11/15, 28/11/16, 27/11/17, 27/11/18, 27/11/19, 27/11/20, 27/11/21,
Put: NACall: NA
ANNUAL 23-MAY-16, 22-MAY-17, 22-MAY-18, 22-MAY-19, 22-MAY-20, 22-MAY-21, 23-MAY-22, 22-MAY-23, 22-MAY-24 AND 22-MAY-25
Put: NACall: NA
ANNUAL 03-AUG-17, 03-AUG-18, 05-AUG-19, 03-AUG-20, 03-AUG-21, 03-AUG-22, 03-AUG-23, 05-
Put: NACall: NA
ANNUAL ON 07-MAY-18, 06-MAY-19, 05-MAY-20, 05-MAY-21, 05-MAY-22, 05-MAY-23, 06-MAY-24, 05-
Put: NACall: NA
0001-1500
0001-1500
1-7000
1-2500
NA 1-3913310
NA
NA
NA
NA 1/(1-630)
NA 1/(1-600)
1-10500
1/(1-2133036)
1/(1-312500)
ANNUAL ON 07-JUN-18, 07-JUN-19, 08-JUN-20, 07-JUN-21, 07-JUN-22, 07-JUN-23, 07-JUN-24, 09-JUN-25, 08-
Put: NACall: NA
QUARTERLY ON 31-MAR-15, 30-JUN-15, 30-SEP-15, 31-DEC-15, 31-MAR-16, 30-JUN-16, 30-
Put: NACall: NA
LAST DAY OF EVERY QUARTER STARTING 30-JUN-17
Put: NACall: NA
QUARTERLY ON 31 JUL, 31 OCT, 31 JAN AND 30 APR EVERY YEAR STARTING 31-JUL-15 TILL 30-APR-18
Put: NACall: NA
Put:AT ANY TIME ON THE EXPIRY OF TWELVE MONTHS FROM THE DATE OF ALLOTMENT
ANNUAL ON 13 JAN EVERY YEAR
Put: NACall: NA
ANNUAL ON 13 JAN EVERY YEAR
Put: NACall: NA
ANNUAL ON 13 JAN EVERY YEAR
Put: NACall: NA
Put:DEBENTURE HOLDERS WILL HAVE PUT OPTION AT THE END OF 3 YEARS FROM DEEMED DATE OF Put: NACall: NA
INTEREST PAYMENT ON 31-MAY-17, 31-AUG-17 AND THEREAFTER LAST DAY OF MONTH UNTIL FINAL
Put: NACall: NA
INTEREST SHALL RESTS ON ANNUAL BASIS ON 31 MAR OF EVERY YEAR AFTER ACCRUE OF INTEREST i.e
Put:FROM 27/06/2017 TO 26/06/2046Call:FROM 27/06/2017 TO 26/06/2046
ANNUAL 31ST MARCH EVERY YEAR
Put:FROM 27/01/17 TOL 26/01/46Call:FROM 27/01/17 TOL 26/01/46
2/(312501-2037413)
1-6500
1-11990000
Annually on 31st March 1 to 27445
301-330
1-300
NA 1/(1-200)
NA 1-40
NA 1-40
000001-144000
5426-7425
7826-8425
1-500
ANNUAL 31ST MARCH EVERY YEAR
Put:FROM 01/09/17 TO 31/08/46Call:FROM 01/09/17 TO 31/08/46
QUARTERLY ON 01 NOV, 01 FEB, 01 MAY AND 01 AUG EVERY YEAR STARTING 01-NOV-15 TILL
Put: NACall: NA
ANNUAL FOR e.g. 31-MAR-16, 31-MAR-17 AND SO ON
Put: NACall: NA
Put: N.A.Call: N.A.
QUARTERLY ON LAST DAY OF EACH QUARTER STARTING 30-JUN-15 TILL 31-MAR-19
Put:ON OR ANY TIME AFTER THE OCCURENCE OF AN EVENT OF DEFAULT, THE INVESTOR MAY DELIVER A
QUARTERLY ON LAST DAY OF EACH QUARTER STARTING 30-JUN-15 TILL 30-JUN-19
Put:ON OR ANY TIME AFTER THE OCCURENCE OF AN EVENT OF DEFAULT, THE INVESTOR MAY DELIVER A Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL 31-MAR-15 AND 31-MAR-16
Put: NACall: NA
ANNUAL 30-OCT-17, 29-OCT-18 AND 28-OCT-19
Put: NACall: NA
SEMI ANNUAL ON 06 JUN AND 06 DEC STARTING 06-JUN-17 TILL 06-DEC-19
Put:06/06/18 SHALL BE THE DATE FALLING ON THE COMPLETION OF 18 MONTHS FROM THE
ANNUAL ON 12-JAN-18, 14-JAN-19, 10-JAN-20
Put:YES 12/07/18 SHALL BE THE DATE FALLING ON THE COMPLETION OF 18 MONTHS FROM THE
2536-2925
2386-2535
2926-5425
1971-2385
1091-1461
NCD-00741 TO NCD-01090
1461-1560
1561-1610
1611-1970
NA
1-9200
1-260
1-100
SEMI ANNUAL ON 30 MAR AND 30 SEP
Put:ON COMPLETION OF 36 MONTHS FROM THE DEEMED DATE OF ALLOTMENT 30/09/2018
QUARTERLY ON 01 JAN, 01 APR, 01 JUL AND 01 OCT EVERY YEAR STARTING 01-APR-16 TILL 01-APR-21
Put: NACall: NA
QUARTERLY 26-DEC-16, 27-MAR-17, 26-JUN-17, 26-SEP-17, 26-DEC-17, 26-MAR-18, 26-JUN-18, 26-
Put: NACall: NA
SEMI ANNUAL ON 13 NOV AND 13 MAY STARTING 13-NOV-15 TILL 13-MAY-18 AND ON 13-JUL-18
Put: NACall: NA
SEMI ANNUAL ON 15-SEP-15, 15-MAR-16, 15-SEP-16, 15-MAR-17, 15-SEP-17, 15-MAR-18, 17-SEP-18 AND 29-
Put:30/03/2018Call:30/03/2018
SEMI ANNUALLY ON NOVEMBER 28 & MAY 28
Put: NACall: NA
QUARTERLY ON 29 JUN, 29 SEP, 30 DEC AND 30 MAR EVERY YEAR STARTING 29-JUN-15 TILL 29-SEP-20
Put: NACall: NA
QUARTERLY ON 29 JUN, 29 SEP, 30 DEC AND 30 MAR EVERY YEAR STARTING 29-JUN-15 TILL29-SEP-20
Put:SHALL BE DATE FALLING ON COMPLETION OF 24 MONTHS BEING 31/03/17
SEMI ANNUAL ON 13 NOV AND 13 MAY
Put:SHALL BE DATE FALLING ON COMPLETION OF 36 MONTHS BEING BEING
SEMI ANNUAL ON 30 JUN AND 31 DEC EACH YEAR
Put: NACall: NA
QUARTERLY STARTING FROM 31-DEC-15, 31-MAR-16, 30-JUN-16 AND SO ON
Put: NACall:ANY TIME DURING THE TENURE OF DEBENTURES
SEMI ANNUAL 30 MAY AND 30 NOV EVERY YEAR STARTING 30-MAY-16 TILL 30-NOV-20
Put:30/11/2018Call:30/11/2018
QUARTERLY ON 29 JUN, 29 SEP, 30 DEC AND 30 MAR EVERY YEAR STARTING 29-JUN-15 TILL 29-SEP-20 AND ON 18-DEC-20
Put: NACall: NA
1-30
1-260
01-4165
1-100
1-100
1-75
1-75
1-10
01-1125
NA
1-12500
ANNUAL 31ST MARCH... 1-641334
On Maturity N.A
QUARTERLY ON 29 JUN, 29 SEP, 30 DEC AND 30 MAR EVERY YEAR STARTING 29-JUN-15 TILL 29-SEP-20 AND ON 18-DEC-20
Put:SHALL BE THE DATE FALLING ON COMPLETION OF 24 MONTHS BEING 01/06/17 AND 48 MONTHS BEING 01/06/19 FROM THE SEMI ANNUAL 05 JUL AND
05 JAN STARTINF 05-JUL-16 TILL 05-JAN-21
Put:05/01/2019Call:05/01/2019
SEMI ANNUAL 15-FEB-17, 16-AUG-17, 15-FEB-18, 16-AUG-18, 15-FEB-19, 26-AUG-19, 17-FEB-20, 17-
Put:15/02/17, 16/08/17, 15/02/18, 16/08/18, 15/02/19 AND 26/08/19Call:15/02/17, 16/08/17, 15/02/18, 16/08/18, 15/02/19 AND 26/08/19
MONTHLY 25-MAR-16, 27-APR-16, 27-MAY-16, 27-JUN-16, 27-JUL-16, 26-AUG-16, 27-SEP-16, 27-OCT-16,
Put: NACall: NA
MONTHLY ON 01-AUG-16, 01-SEP-16, 03-OCT-16, 01-NOV-16, 01-DEC-16, 02-JAN-17, 01-FEB-17, 01-
Put: NACall: NA
MONTHLY ON 14-NOV-16, 13-DEC-16, 13-JAN-17, 13-FEB-17, 13-MAR-17, 13-APR-17, 15-MAY-17, 13-
Put: NACall: NA
MONTHLY STARTING 07-APR-17 TILL 07-MAR-19
Put: NACall: NA
QUARTERLY ON 30 MAR, 29 JUN, 29 SEP, 30 DEC STARTING 30-MAR-17 TILL 29-SEP-19 AND ON 09-
Put: NACall: NA
QUARTERLY ON 30 SEP, 31 DEC, 31 MAR AND 30 JUN EVERY YEAR STARTING 30-SEP-15 TILL 30-JUN-20 AND
Put:20/09/2019Call:20/09/2018
MONTHLY STARTING 31-DEC-14 AND THEREAFTER LAST DAY OF EVERY MONTH
Put: NACall: NA
SEMI ANNUAL ON 01 FEB AND 01 AUG EVERY YEAR STARTING 01-FEB-17
Put:ANY DATE AFTER EXPIRY OF 3 YEARS FROM THE DATE OF ISSUECall:ANY DATE AFTER EXPIRY OF 3 YEARS FROM THE DATE OF ISSUEPut: NACall: NA
Dist Nos : 0000001 to 4855770Dist Nos : 7355771 to 7805770
On Maturity N.A
0001-1000
Annually on 26th December 1-3000
Annually on 15th June 1-2000
ANNUALLY DECEMBER 31 1 - 10000
NA
NA
NA
NA
NA
1-2400
1-3390
1-1940
Dist Nos : 4855771 to 7355770
ANNUAL 12-DEC-16, 11-DEC-17 AND 11-JUN-18
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: NACall: NA
ANNUAL ON 02 DECEMBER EACH YEAR TILL MATURITY
Put: NACall: NA
ANNUAL ON 23 MARCH EACH YEAR TILL MATURITY
Put: NACall: NA
ANNUAL ON 28 SEP TILL MATURITY
Put: NACall: NA
ANNUAL ON 18 DEC TILL MATURITY
Put: NACall: NA
ANNUAL ON 03 MAY TILL MATURITY
Put: NACall:THE BOND IS SUBJECT TO ISSUER CALL/ TAX CALL/ REGULATORY CALL. THE ISSUER CALL WHICH IS Annually on 25th March Put: N.A.Call:25/03/2018 (Subject to prior approval of RBI)
Annually on 12th January Put: N.A.Call:at par at the end of 10 years from the date of allotment & every year thereafter on each anniversary Annually on 29th June Put: N.A.Call:at par after the instruments has ran for atleast 10 years from the date of allotment i.e.29/06/2009
NA
NA
NA
NA
NA
NA
D01/(01-16500000)
D02/(16500001-18500000)
18500000- 39510000
39510000-47010000
47010001-56710000
D01/(01-10000000)
10000001-30000000
ANNUAL ON 30 MAR EVERY YEAR
Put: NACall:THE BOND IS SUBJECT TO ISSUER CALL/ TAX CALL/ REGULATORY CALL. THE ISSUER CALL WHICH IS ANNUAL ON 30 MAR EVERY
YEAR Put: NACall:THE BOND IS SUBJECT TO ISSUER CALL/ TAX CALL/ REGULATORY CALL. THE ISSUER CALL WHICH IS ANNUAL 15TH JULY EVERY
YEAR Put: NACall:THE BOND IS SUBJECT TO ISSUER CALL/ TAX CALL/ REGULATORY CALL. THE ISSUER CALL WHICH IS ANNUAL 24 OCT EVERY
YEAR Put: NACall:THE BOND IS SUBJECT TO ISSUER CALL/ TAX CALL/ REGULATORY CALL. THE ISSUER CALL WHICH IS ANNUAL ON 25 JUL EVERY
YEARPut: NACall:THE BOND IS SUBJECT TO ISSUER CALL/ TAX CALL/ REGULATORY CALL. THE ISSUER CALL WHICH IS ANNUAL 04-AUG-17 AND
04-FEB-18Put: NACall: NA
THE INTEREST ACCRUES AND BECOME DUE ANNUALLY HOWEVER THE DATES OF PAYMENT OF
Put: NACall: NA
THE INTEREST ACCRUES AND BECOME DUE ANNUALLY HOWEVER THE DATES OF PAYMENT OF
Put: NACall: NA
THE INTEREST ACCRUES AND BECOME DUE ANNUALLY HOWEVER THE DATES OF PAYMENT OF
Put: NACall: NA
THE INTEREST ACCRUES AND BECOME DUE ANNUALLY HOWEVER THE DATES OF PAYMENT OF
Put: NACall: NA
THE INTEREST ACCRUES AND BECOME DUE ANNUALLY HOWEVER THE DATES OF PAYMENT OF
Put: NACall: NA
THE INTEREST ACCRUES AND BECOME DUE ANNUALLY HOWEVER THE DATES OF PAYMENT OF
Put: NACall: NA
THE INTEREST ACCRUES AND BECOME DUE ANNUALLY HOWEVER THE DATES OF PAYMENT OF
Put: NACall: NA
D01 TO D06
1-250
1-250
1-250
1-200
1-300
1-250
1-250
1-300
NA
NA
NA
NA
THE INTERST ACCRUES AND BECOMES DUE ANNUALLY HOWEVER THE DATES OF PAYMENT OF
Put: NACall: NA
ANNUAL 07-DEC-16, 07-DEC-17 AND 07-DEC-18
Put: NACall: NA
ANNUAL ON 22 APRIL STARTING 25/04/15 TILL 25/04/20
Put:AT THE END OF 3RD YEAR i.e 25/04/17Call:AT THE END OF 3RD YEAR i.e 25/04/17
ANNUAL 4TH MARCH EVERY YEAR STARTING FROM 04-MAR-16 TILL 04-MAR-21
Put:CAN BE EXERCISED AT THE END OF 3RD YEAR i.e. ON 04/03/2018Call:CAN BE EXERCISED AT THE END OF 3RD YEAR i.e. ON 04/03/2018
ANNUAL 17 JUN STARTING 17-JUN-17 TILL 17-JUN-21
Put:AT THE END OF 3 YEARS OF THE DATE OF ALLOTMENT i.e 17/06/19Call:AT THE END OF 3 YEARS OF THE DATE OF ALLOTMENT i.e 17/06/19
ANNUAL 08 JUL STARTING 08-JUL-17 TILL 08-JUL-21
Put: NACall: NA
ANNUAL 06 NOV STARTING 06-NOV-16 TILL 06-NOV-21
Put:CAN BE EXERCISED AT THE END OF 3RD YEAR i.e. ON 06/11/18Call:CAN BE EXERCISED AT THE END OF 3RD YEAR i.e. ON 06/11/18
ANNUAL ON 03 JAN STARTING 03-JAN-18 TILL 03-JAN-23
Put:AT THE END OF 3 YEARS i.e ON 03/01/20Call:AT THE END OF 3 YEARS i.e ON 03/01/20
ANNUAL ON 11 APR STARTING 11-APR-18 TILL 11-APR-23
Put:AT THE END OF 3 YEARS i.e ON 11/04/20Call:AT THE END OF 3 YEARS i.e ON 11/04/20
ANNUAL 11/11/2015, 11/11/2016 AND 10/11/2017
Put: NACall: NA
ANNUAL 27-MAR-16, 27-MAR-17, 27-MAR-18 AND 27-APR-18
Put: NACall: NA
ANNUAL 27-MAR-16, 27-MAR-17, 27-MAR-18 AND 27-APR-18
Put: NACall: NA
ANNUAL ON 02-MAR-18, 02-MAR-19 AND 20-SEP-19
Put: NACall: NA
NA
NA
1 to 2000
1 to 5326
1 to 691
1 to 4810
1 to 2000
1 to 3190
NA
NA
NA
NA
NA
ANNUAL ON 01-DEC-17, 01-DEC-18 AND 29-NOV-19
Put: NACall: NA
ANNUAL ON 04-AUG-18, 04-AUG-19, 04-AUG-20
Put: NACall: NA
Semi annually on 1st March & 1st September
Put:After 7 year i.e.01/03/2015Call:After 7 year i.e.01/03/2015
Semi annually on 04th November & 04th May
Put:04/05/2016Call:04/05/2016
Semi annually on 30th June & 31st December
Put:30/06/2016Call:30/06/2016
Semi annually on 6h July & 6th January
Put:06/01/2017Call:06/01/2017
Semi annually on 19th August & 19th February
Put:19/02/2017Call:19/02/2017
Semi annually on 29th September & 29th March
Put:29/03/2017Call:29/03/2017
PAYABLE SEMI ANNUALLY 03RD OCTOBER AND 3RD APRIL OF EVERY YEAR
Put: NACall: NA
PAYABLE SEMI ANNUALLY 07TH NOVEMBER AND 07TH MAY OF EVERY YEAR
Put: NACall: NA
PAYABLE SEMI ANNUALLY 16TH NOVEMBER AND 16TH MAY OF EVERY YEAR
Put: NACall: NA
PAYABLE SEMI ANNUALLY 22ND NOVEMBER AND 22ND MAY OF EVERY YEAR
Put: NACall: NA
PAYABLE SEMI ANNUALLY 3OTH NOVEMBER AND 31ST MAY OF EVERY YEAR
Put: NACall: NA
NA
NA
1 to 15
NA
NA
NA
1-6335
1-10000
1-10000
1-5018
1-500
1-400
PAYABLE SEMI ANNUALLY 17TH DECEMBER AND 17TH JUNE OF EVERY YEAR
Put: NACall: NA
PAYABLE SEMI ANNUALLY 24TH DECEMBER AND 24TH JUNE OF EVERY YEAR
Put: NACall: NA
Semi annually on 7th August & 7th February
Put:At the end of 5th year - 07/02/2016Call:At the end of 5th year - 07/02/2016
Semi annually on 7th July & 7th January
Put:At the end of 7th years-07/07/2018Call:At the end of 7th years-07/07/2018
Semi-Annually on 26th August & 26th February
Put:at the end of 7th year - 26/08/2018Call:at the end of 7th year - 26/08/2018
Semi Annually on 03rd October & 03rd April
Put:03/10/2018Call:03/10/2018
Semi-Annually on 21st May, 21st November
Put:AT THE END OF 7TH YEAR - 21/11/2018Call:AT THE END OF 7TH YEAR - 21/11/2018
PAYABLE SEMI ANNUALLY 10TH AUG AND 10TH FEB OF EVERY YEAR
Put:PUT OPTION DATE-10.02.2021, PUT NOTIFICATION DEADLINE DATE-11.01.2021 AND PUT
PAYABLE SEMI ANNUALLY 16TH JUL AND 16TH JAN OF EVERY YEAR
Put:16/07/21, AT THE END OF 7TH YEAR FROM DEEMED DATE OF ALLOTMENT
PAYABLE SEMI ANNUALLY 18TH JUN AND 18TH DEC OF EVERY YEAR
Put:18/12/2021 AT THE END OF 7TH YEAR FROM DEEMED DATE OF ALLOTMENT
PAYABLE SEMI ANNUALLY 11TH JUN AND 11TH DEC OF EVERY YEAR
Put:11/06/2022 AT THE END OF 7TH YEAR FROM DEEMED DATE OF ALLOTMENTCall:11/06/2022 AT THE END OF 7TH YEAR FROM DEEMED DATE OF ALLOTMENTPAYABLE SEMI ANNUALLY
ON 08 FEB AND 08 AUG EVERY YEAR
Put:08/02/2023Call:08/02/2023
HALF YEARLY ON 24 JUN AND 24 DEC EVERY YEAR
Put:24/12/2023Call:24/12/2023
NA
NA
NA
NA
001-500
001-500
01-750
01-500
01-1200
01-2500
01-2500
1-95000
1-95000
On 1st March & 1st September every year
Put:TWO MONTHS BEFORE DUE DATE i.e.01/09/2019Call:TWO MONTHS BEFORE DUE DATE i.e.01/09/201909 JUL & 09TH JAN EACH
YEARPut:15DAYS BEFORE THE DUE DATE ie 09/01/2020Call:15DAYS BEFORE THE DUE DATE ie 09/01/2020
9TH APRIL AND 9TH OCTOBER EVERY YEAR
Put:15 DAYS BEFORE THE DUE DATE ie 09/04/2020Call:15 DAYS BEFORE THE DUE DATE ie 09/04/2020
29TH NOVEMBER AND 29TH MAY EVERY YEAR
Put:15 DAYS BEFORE THE DUE DATE i.e. 29.05.2020Call:15 DAYS BEFORE THE DUE DATE i.e. 29.05.2020
QUARTERLY ON 30 SEP, 31 DEC, 31 MAR AND 30 JUN STARTING 30-SEP-16 TILL 31-MAR-18 AND ON 24-
Put:THE DEBENTURE HOLDERS WILL HAVE AN OPTION TO REQUIRE THE COMPANY TO PURCHASE
QUARTERLY ON 30 SEP, 31 DEC, 31 MAR AND 30 JUN STARTING 30-SEP-16 TILL 31-MAR-18 AND ON 24-
Put:THE DEBENTURE HOLDERS WILL HAVE AN OPTION TO REQUIRE THE COMPANY TO PURCHASE
SEMI ANNUAL ON 27-JAN-18, 27-JUL-18, 27-JAN-19 AND 27-JUL-19
Put:ON THE DAY FALLING AT THE END OF 1ST YEAR AND FROM THE ALLOTMENT DATE (PUT
QUARTERLY ON 30-SEP-17, 31-DEC-17, 31-MAR-18, 30-JUN-18 AND 03-AUG-18
Put:THE DEBENTURE HOLDERS WILL HAVE AN OPTION TO REQUIRE THE COMPANY TO PURCHASE
QUARTERLY ON 31 DEC, 31 MAR, 30 JUN AND 30 SEP STARTING 13-DEC-16 TILL 30-SEP-19
Put:ON THE DAY FALLING AT THE END OF (i) 1ST YEAR AND (ii) 2ND YEAR FROM ALLOTMENT DATE
ANNUAL 22-SEP-17, 21-SEP-18, 20-SEP-19 AND 22-NOV-19
Put: NACall: NA
ANNUAL 26-OCT-17, 26-OCT-18, 26-OCT-19 AND 30-JAN-20
Put: NACall: NA
SEMI ANNUAL ON 01 FEB AND 01 AUG EVERY YEAR STARTING 01-FEB-17
Put:ANY DATE AFTER EXPIRY OF 3 YEARS FROM THE DATE OF ISSUECall:ANY DATE AFTER EXPIRY OF 3 YEARS FROM THE DATE OF ISSUE
SEMI ANNUAL ON 01 FEB AND 01 AUG EVERY YEAR STARTING 01-FEB-17
Put:ANY DATE AFTER EXPIRY OF 3 YEARS FROM THE DATE OF ISSUECall:ANY DATE AFTER EXPIRY OF 3 YEARS FROM THE DATE OF ISSUE
NA 1-1134
1-3500
01-1000
301-1000
NA
1-1780
0 NA
NA
NA
NA
NA
NA
NA
Put:ANY TIME AFTER 14 OCT 17 UNTIL MATURITY DATE i.e 14/06/21Call:ANY TIME AFTER 14 OCT 17 UNTIL MATURITY DATE i.e 14/06/21SEMI ANNUAL ON 15TH
JAN AND 15TH JUL EVERY YEAR STARTING 15/01/15
Put:ANY DATE AFTER EXPIRY OF 3 MONTHS FROM THE DATE OF ISSUE IN FULL OR PART
QUARTERLY ON 30-JUN-18, 30-SEP-18, 31-DEC-18 AND 03-MAR-19
Put:30/06/2018, 30/09/2018, 31/12/2018 AND 03/03/2019Call:30/06/2018, 30/09/2018, 31/12/2018 AND 03/03/2019
QUARTERLY ON 30-DEC-16, 31-MAR-17, 30-JUN-17, 30-SEP-17, 31-DEC-17, 30-MAR-18, 30-JUN-18, 30-
Put: NACall: NA
SEMI ANNUAL ON 28 MAR AND 28 SEP
Put: NACall: NA
ANNUAL ON 21 MAR EVERY YEAR TILL MATURITY
Put: NACall:5 YEARS FROM DEEMED DATE OF ALLOTMENT , DATE 21/03/22Put: N.A.Call: N.A.
ANNUAL AND ON MATURITY i.e 13/10/15, 13/10/16 AND 18/10/17
Put: NACall: NA
ANNUAL AND ON MATURITY 21/10/15, 21/10/16 AND 20/10/17
Put: NACall: NA
ANNUAL AND ON MATURITY i.e. 21-OCT-16 AND 20-OCT-17
Put: NACall: NA
ANNUALLY AND ON MATURITY 11/11/13, 10/11/14, 09/11/15, 09/11/16, 09/11/17
Put: NACall: NA
12/11/2013, 12/11/2014, 12/11/2015, 14/11/2016, 10/11/2017
Put: NACall: NA
ANNUAL AND ON MATURITY i.e. 10-NOV-16 AND 10-NOV-17
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUAL & ON MATURITY i.e.19/11/15, 21/11/16 AND 15/11/17
Put: NACall: NA
ANNUAL & ON MATURITY i.e.18/11/15, 18/11/16, 20/11/17
Put: NACall: NA
ANNUAL & ON MATURITY 23/11/15, 21/11/16 AND 20/11/17
Put: NACall: NA
ANNUAL & ON MATURITY i.e. 16/11/2015, 14/11/2016 & 24/11/2017
Put: NACall: NA
ANNUAL & ON MATURITY 23/11/15, 21/11/16 AND 27/11/17
Put: NACall: NA
ANNUAL & ON MATURITY 23/11/15, 21/11/16 AND 29/11/17
Put: NACall: NA
05/12/2013, 05/12/2014, 07/12/2015, 05/12/2016, 05/12/2017
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 08-DEC-15, 08-DEC-16, 08-DEC-17
Put: NACall: NA
ANNUAL 15-JUN-17 AND ON MATURITY i.e. 15-DEC-17
Put: NACall: NA
ON MATURITY i.e. 26-DEC-17
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 16-DEC-15, 16-DEC-16, 18-DEC-17 AND 04-JAN-18
Put: NACall: NA
ANNUAL 07-JUL-17 AND ON MATURITY i.e. 08-JAN-18
Put: NACall: NA
ANNUAL AND ON MATURITY 14-JAN-16, 16-JAN-17 AND 10-JAN-18
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUAL AND ON MATURITY 15-JAN-16, 16-JAN-17 AND 15-JAN-18
Put: NACall: NA
ANNUALY ON 16TH JANUARY AND ON MATURITY
Put: NACall: NA
ANNUALY ON 22ND JANUARY AND ON MATURITY
Put: NACall: NA
ANNUALY ON 22ND JANUARY AND ON MATURITY
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 20-JAN-16, 20-JAN-17 AND 24-JAN-18
Put: NACall: NA
ANNUAL AND ON MATURITY 29-JAN-16, 30-JAN-17 AND 29-JAN-18
Put: NACall: NA
ANNUAL AND ON MATURITY 04-FEB-16, 06-FEB-17 AND 02-FEB-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 22-FEB-16, 20-FEB-17 AND 12-FEB-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 02-MAR-16, 02-MAR-17 AND 02-MAR-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 10-MAR-16, 10-MAR-17 AND 09-MAR-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 13-APR-17 AND 15-MAR-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 05-APR-17 AND 20-MAR-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 24-APR-17 AND 20-MAR-18
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUAL AND ON MATURITY 24-MAR-16, 24-MAR-17 AND 23-MAR-18
Put: NACall: NA
26/03/2014, 26/03/2015, 28/03/2016, 27/03/2017, 26/03/2018
Put: NACall: NA
ANNUAL 15-JUN-17 AND ON MATURITY i.e. 26-MAR-18
Put: NACall: NA
ANNUAL 27-MAR-17 AND 26-MAR-18
Put: NACall: NA
ANNUAL 27-MAR-17 AND 26-MAR-18
Put: NACall: NA
ANNUAL 21-MAR-16, 20-MAR-17, 20-MAR-18 AND 03-APR-18
Put: NACall: NA
ANNUAL AND ON MATURITY 15-JAN-16, 16-JAN-17, 15-JAN-18 AND 05-APR-18
Put: NACall: NA
23/04/2014, 23/04/2015, 25/04/2016, 24/04/2017, 23/04/2018
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 25-APR-17 AND 25-APR-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 27-APR-17 AND 27-APR-18
Put: NACall: NA
07/05/2014, 07/05/2015, 09/05/2016, 08/05/2017 AND 07/05/2018
Put: NACall: NA
07/05/2014, 07/05/2015, 09/05/2016, 08/05/2017 AND 07/05/2018
Put: NACall: NA
22/05/2014, 22/05/2015, 23/05/2016, 22/05/2017, 22/05/2018
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
22/05/2014, 22/05/2015, 23/05/2016, 22/05/2017, 22/05/2018
Put: NACall: NA
ANNUAL & ON MATURITY 22-JUN-16, 22-JUN-17, 22-JUN-18
Put:22/06/16, 22/09/16, 22/12/16, 22/03/17, 22/06/17, 22/09/17, 22/12/17 AND 22/03/18Call: NA
ANNUAL & ON MATURITY i.e 13-JUL-16, 13-JUL-17 AND 13-JUL-18
Put: NACall: NA
ANNUAL AND ON MATURITY 02-AUG-17 AND 02-AUG-18
Put: NACall: NA
ANNUAL 12-AUG-16, 14-AUG-17 AND 10-AUG-18
Put:11/11/16, 10/02/17, 12/05/17, 11/08/17, 10/11/17, 12/02/18, 11/05/18 AND 10/08/18
ANNUAL AND ON MATURITY 14-AUG-17 AND 13-AUG-18
Put: NACall: NA
ANNUAL AND ON MATURITY 16-AUG-17 AND 16-AUG-18
Put: NACall: NA
20/08/2014, 20/08/2015, 22/08/2016, 21/08/2017 AND ON 20/08/2018
Put: NACall: NA
ANNUAL & ON MATURITY i.e 26-AUG-16, 28-AUG-17 AND 24-AUG-18
Put: NACall: NA
ANNUAL 31-AUG-17 AND ON MATURITY 31-AUG-18
Put: NACall: NA
ANNUAL AND ON MATURITY 06-SEP-17 AND 06-SEP-18
Put: NACall: NA
ANNUAL ON 16-OCT-17 AND 12-OCT-18
Put: NACall: NA
ANNUAL AND ON MATURITY 29-NOV-17 AND 29-NOV-18
Put: NACall: NA
NA
NA
NA
NA
1-310
1-177875
1-1496149
1-1176654
NA
NA
NA
NA
NA
ANNUAL ON 30-NOV-17 AND 30-NOV-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e. 09-JAN-17, 08-JAN-18, 08-JAN-19
Put: NACall: NA
ANNUAL ON 06-FEB-18, 06-FEB-19
Put: NACall: NA
ANNUAL 08-FEB-18, 08-FEB-19 AND ON MATURITY i.e 04-MAR-19
Put: NACall: NA
MONTHLY ON 1ST OF EVERY MONTH
Put: NACall: NA
QUARTERLY ON 1ST MARCH, JUNE, SEPTEMBER AND DECEBMER EVERY YEAR
Put: NACall: NA
ANNUALLY ON 1ST DAY OF MARCH EVERY YEAR
Put: NACall: NA
AT THE TIME OF REDEMPTION i.e 05/03/19
Put: NACall: NA
ANNUAL AND ON MATURITY 08-SEP-17, 10-SEP-18, 08-MAR-19
Put: NACall: NA
ANNUAL 20-MAR-17, 19-MAR-18 AND 18-MAR-19
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 07-APR-17, 09-APR-18, 08-APR-19
Put: NACall: NA
ANNUAL ON 10-APR-18 AND 10-APR-19
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 31-MAR-17, 02-APR-18, 01-APR-19, 18-APR-19
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUAL AND ON MATURITY i.e 20-APR-17, 20-APR-18 AND 19-APR-19
Put: NACall: NA
ANNUAL AND ON MATURITY i.e. 06-FEB-17, 05-FEB-18, 05-FEB-19 AND 03-MAY-19
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 24-MAY-17, 24-MAY-18, 24-MAY-19
Put: NACall: NA
ANNUAL ON 30-MAY-18 AND 30-MAY-19
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 12-JUN-17, 11-JUN-18, 10-JUN-19 AND 24-JUN-19
Put: NACall: NA
ANNUAL ON 27-JUN-18 AND 27-JUN-19
Put: NACall: NA
ANNUALLY & ON MATURITY 09/07/2015, 11/07/2016, 10/07/2017, 09/07/2018, 09/07/2019
Put: NACall: NA
ANNUAL ON 10-JUL-18 AND 10-JUL-19
Put: NACall: NA
ANNUAL AND ON MATURITY 12-JUL-17, 12-JUL-18 AND 12-JUL-19
Put: NACall: NA
ANNUAL ON 18-JUL-18 AND 18-JUL-19
Put: NACall: NA
ANNUAL 19-JUL-17, 19-JUL-18, 19-JUL-19
Put: NACall: NA
ANNUAL AND ON MATURITY 31-JUL-17, 30-JUL-18 AND 29-JUL-19
Put: NACall: NA
ANNUAL ON 07-AUG-18 AND 07-AUG-19
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUAL AND ON MATURITY 25-AUG-17, 27-AUG-18 AND 23-AUG-19
Put: NACall: NA
ANNUAL 31-AUG-17, 31-AUG-18 AND ON MATURITY 30-AUG-19
Put: NACall: NA
ANNUAL ON 01-OCT-18 AND 27-SEP-19
Put: NACall: NA
ANNUAL 27-OCT-17, 29-OCT-18 AND 25-OCT-19
Put: NACall: NA
ANNUAL 10-NOV-17, 12-NOV-18 AND 10-DEC-19
Put: NACall: NA
ANNUAL AND ON MATURITY 16-NOV-17, 16-NOV-18, 18-NOV-19, 16-DEC-19
Put: NACall: NA
ON MATURITY i.e 23-DEC-19
Put: NACall: NA
ANNUAL ON 01-MAR-18, 01-MAR-19 AND 28-FEB-20
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 05-MAY-16, 05-MAY-17, 07-MAY-18, 06-MAY-19 AND 05-MAY-20
Put: NACall: NA
ANNUAL ON 11-JUN-18, 10-JUN-19, 09-JUN-20
Put: NACall: NA
ANNUAL AND ON MATURITY 28-AUG-17, 27-AUG-18, 26-AUG-19 AND 01-JUL-20
Put: NACall: NA
ANNUAL ON 12-JUL-18, 12-JUL-19 AND 10-JUL-20
Put: NACall: NA
ANNUAL ON 06-JUL-18, 08-JUL-19, 06-JUL-20 AND 06-AUG-20
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUAL AND ON MATURITY i.e. 16-DEC-16, 18-DEC-17, 17-DEC-18, 16-DEC-19 AND 16-DEC-20
Put: NACall: NA
ANNUAL 16-MAR-17, 16-MAR-18, 18-MAR-19, 16-MAR-20 AND 16-MAR-21
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 21-MAR-17, 21-MAR-18, 21-MAR-19, 23-MAR-20 AND 19-MAR-21
Put: NACall: NA
ANNUAL ON 30-MAY-17, 30-MAY-18, 30-MAY-19, 01-JUN-20, 28-MAY-21
Put: NACall: NA
ANNUAL ON 04-DEC-17, 03-DEC-18, 03-DEC-19, 03-DEC-20, 03-DEC-21 AND 28-DEC-21
Put: NACall: NA
ANNUALLY AND ON MATURITY 16-AUG-18, 16-AUG-19, 17-AUG-20, 16-AUG-21 AND 14-JAN-22
Put: NACall: NA
ANNUAL ON 20-JUL-18, 22-JUL-19, 20-JUL-20, 20-JUL-21 AND 28-FEB-22
Put: NACall: NA
ANNUAL AND ON MATURITY 05TH SEPT EVERY YEAR
Put: NACall: NA
ANNUALLY AND ON MATURITY 28/09/15, 26/09/16, 26/09/17, 26/09/18, 26/09/19, 28/09/20, 27/09/21,
Put: NACall: NA
ANNUAL & ON MATURITY i.e.20/11/15, 21/11/16, 20/11/17, 20/11/18, 20/11/19, 20/11/20, 22/11/21, 21/11/22,
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 08-DEC-15, 08-DEC-16, 08-DEC-17, 10-DEC-18, 09-DEC-19, 08-
Put: NACall: NA
ANNUALLY AND ON MATURITY 07-JAN-16, 09-JAN-17, 08-JAN-18, 07-JAN-19, 07-JAN-20, 07-JAN-21,
Put: NACall: NA
ANNUALLY AND ON MATURITY 01-FEB-16, 30-JAN-17, 30-JAN-18, 30-JAN-19, 30-JAN-20, 01-FEB-21,
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUAL 31-MAR-16, 31-MAR-17, 02-APR-18, 01-APR-19, 31-MAR-20, 31-MAR-21, 31-MAR-22, 31-
Put: NACall: NA
ANNUAL 22-JUL-16, 24-JUL-17, 23-JUL-18, 22-JUL-19, 22-JUL-20, 22-JUL-21, 22-JUL-22, 24-JUL-23, 22-JUL-
Put: NACall: NA
ANNUAL 30-MAR-17, 30-MAR-18, 01-APR-19, 30-MAR-20, 30-MAR-21, 30-MAR-22, 30-MAR-23, 01-
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 11-AUG-17, 13-AUG-18, 12-AUG-19, 11-AUG-20, 11-AUG-21, 11-
Put: NACall: NA
ANNUAL ON 26-OCT-17, 26-OCT-18, 28-OCT-19, 26-OCT-20, 26-OCT-21, 26-OCT-22, 26-OCT-23, 28-
Put: NACall: NA
ANNUAL AND MARCH 27 OF EVERY YEAR
Put: NACall:AS PER CALL OPTION CONDITIONS a) THAT THE INSTRUMENT HAS RUN FOR A MINIMUM PERIOD ANNUAL AND 16 JUL OF
EVERY YEARPut: NACall:AS PER CALL OPTION CONDITIONS a) THAT THE INSTRUMENT HAS RUN FOR A MINIMUM PERIOD OF 10 ANNUAL AND 6 JAN OF
EVERY YEARPut: NACall:AS PER CALL OPTION CONDITIONS a) THAT THE INSTRUMENT HAS RUN FOR A MINIMUM PERIOD OF 10 ANNUAL AND 02 FEB OF
EVERY YEARPut: NACall:AS PER CALL OPTION CONDITIONS a) THAT THE INSTRUMENT HAS RUN FOR A MINIMUM PERIOD OF 10 ANNUAL AND 09 FEB OF
EVERY YEARPut: NACall:AS PER CALL OPTION CONDITIONS a) THAT THE INSTRUMENT HAS RUN FOR A MINIMUM PERIOD OF 10 ANNUAL AND 23 MAR OF
EVERY YEARPut: NACall:AS PER CALL OPTION CONDITIONS a) THAT THE INSTRUMENT HAS RUN FOR A MINIMUM PERIOD OF 10 ANNUAL AND 30 JUN OF
EVERY YEARPut: NACall:AS PER CALL OPTION CONDITIONS a) THAT THE INSTRUMENT HAS RUN FOR A MINIMUM PERIOD OF 10 ANNUAL AND 13 JAN OF
EVERY YEARPut: NACall:AS PER CALL OPTION CONDITIONS a) THAT THE INSTRUMENT HAS RUN FOR A MINIMUM PERIOD OF 10
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUAL AND 08 MAR OF EVERY YEAR
Put: NACall:AS PER CALL OPTION CONDITIONS a) THAT THE INSTRUMENT HAS RUN FOR A MINIMUM PERIOD OF 10 ANNUAL AND 21 JUN OF
EVERY YEARPut: NACall:AS PER CALL OPTION CONDITIONS a) THAT THE INSTRUMENT HAS RUN FOR A MINIMUM PERIOD OF 10 ANNUAL SEP 11 OF EVERY
YEARPut: NACall:AS PER CALL OPTION CONDITIONS a) THAT THE INSTRUMENT HAS RUN FOR A MINIMUM PERIOD OF 10 ANNUAL JULY 14 OF EVERY
YEARPut: NACall:AS PER CALL OPTION CONDITIONS a) THAT THE INSTRUMENT HAS RUN FOR A MINIMUM PERIOD OF 10 ANNUAL AND ON
MATURITY i.e 21-OCT-16 AND 20-OCT-17
Put: NACall: NA
ANNUAL & ON MATURITY 11/11/2015, 11/11/2016, 01/11/2017
Put: NACall: NA
FIRST COUPON ON 07/11/2015, SECOND COUPON ON 07/11/2016 & THIRD COUPON ON
Put: NACall: NA
ANNUAL & ON MATURITY 18/11/15, 18/11/16 AND 21/11/17
Put: NACall: NA
ANNUAL & ON MATURITY 20/11/15, 21/11/16 AND 22/11/17
Put: NACall: NA
ANNUAL & ON MATURITY 16/11/2015, 14/11/2016 AND 24/11/2017
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 07-DEC-16 AND 07-DEC-17
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 23-DEC-16 AND ON 22-DEC-17
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 01-JUN-16, 01-JUN-17 AND 02-JAN-18
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUAL AND ON MATURITY i.e 07-JUL-17 AND 08-JAN-18
Put: NACall: NA
ANNUAL AND ON MATURITY 14-JAN-16, 16-JAN-17 AND 10-JAN-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 20-JAN-16, 20-JAN-17 AND 20-JAN-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 04-FEB-16, 06-FEB-17 AND 02-FEB-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 16-FEB-16, 16-FEB-17 AND 12-FEB-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 27-JAN-16, 27-JAN-17, 29-JAN-18 AND 14-FEB-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 10-MAR-16, 10-MAR-17 AND 09-MAR-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 16-MAR-16, 16-MAR-17 AND 12-MAR-18
Put: NACall: NA
ANNUAL 15-JUN-17 AND ON MATURITY i.e. 15-MAR-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 24-APR-17 AND 20-MAR-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 02-MAY-17 AND 20-MAR-18
Put: NACall: NA
ANNUAL ON 28-MAR-17 AND 28-MAR-18
Put: NACall: NA
ANNUAL AND ON MATURITY 28-MAR-16, 27-MAR-17, 26-MAR-18, 10-AP-18
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUAL AND ON MATURITY 11-APR-16, 10-APR-17 AND 10-APR-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 18-APR-16, 17-APR-17 AND 10-APR-18
Put: NACall: NA
23RD APRIL OF EVERY YEAR
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 27-APR-16, 27-APR-17 AND 27-APR-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 11-MAY-17 AND 11-MAY-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 01-JUN-16, 01-JUN-17 AND 29-MAY-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 01-JUN-16, 01-JUN-17 AND 01-JUN-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 06-JUN-16, 05-JUN-17 AND 04-JUN-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 13-JUN-16, 12-JUN-17 AND 12-JUN-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 24-JUN-16, 26-JUN-17 AND 18-JUN-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 24-JUN-16, 26-JUN-17 AND 19-JUN-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 01-JUN-16, 01-JUN-17, 01-JUN-18 AND 20-JUN-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 25-JUL-16, 24-JUL-17 AND 19-JUL-18
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUAL 01-AUG-16, 31-JUL-17 AND 23-JUL-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 18-JUL-16, 17-JUL-17, 16-JUL-18 AND 26-JUL-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 02-AUG-17 AND 02-AUG-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 26-AUG-16, 28-AUG-17 AND 16-AUG-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 18-AUG-17 AND 16-AUG-18
Put: NACall: NA
ANNUAL 24-AUG-16, 24-AUG-17, 20-AUG-18
Put: NACall: NA
ANNUAL 01-AUG-16, 31-JUL-17 AND 21-AUG-18
Put: NACall: NA
ANNUAL 24-AUG-16, 24-AUG-17, 24-AUG-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 31-AUG-17 AND 31-AUG-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 26-OCT-16, 26-OCT-17 AND 26-OCT-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 02-NOV-16, 02-NOV-17 AND 02-NOV-18
Put: NACall: NA
ANNUAL 17-NOV-17 AND 16-NOV-18
Put: NACall: NA
Annually on 18/11/2012, 19/11/2013, 18/11/2014,18/11/2015, 18/11/2016, 18/11/2017,
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUAL AND ON MATURITY i. NA
NA
ANNUAL AND ON MATURITY i.e 24-JUN-16, 26-JUN-17, 25-JUN-18 AND 07-JAN-19
Put: NACall: NA
ANNUALLY ON 20/01/15, 20/01/16, 20/01/17, 22/01/18 AND ON MATURITY i.e 18/01/19
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 18-JAN-17, 18-JAN-18, 18-JAN-19
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 20-JAN-17, 22-JAN-18, 18-JAN-19
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 05-APR-18 AND 05-APR-19
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 17-APR-18 AND 17-APR-19
Put: NACall: NA
ANNUAL AND ON MATURITY i.e30-MAR-17, 30-MAR-18, 01-APR-19, 18-APR-19
Put: NACall: NA
ANNUAL 18-APR-17, 18-APR-18 AND 18-APR-19
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 02-MAR-17, 02-MAR-18, 04-MAR-19 AND 16-MAY-19
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 30-MAY-18 AND 30-MAY-19
Put: NACall: NA
ANNUAL AND ON MATURITY 15/06/15, 13/06/16, 13/06/17, 13/06/18 AND 13/06/19
Put: NACall: NA
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 12-JUN-17, 11-JUN-18, 10-JUN-19 AND 24-JUN-19
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUAL AND ON MATURITY i.e 14-JUL-17, 16-JUL-18, 12-JUL-19
Put: NACall: NA
ANNUAL ON 13-JUL-18 AND 12-JUL-19
Put: NACall: NA
ANNUAL ON 23-JUL-18 AND 19-JUL-19
Put: NACall: NA
ANNUAL AND ON MATURITY 22/07/15, 22/07/16, 24/07/17, 23/07/18, 22/07/19
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 31-JUL-17, 30-JUL-18 AND 29-JUL-19
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 08-AUG--17, 08-AUG-18, 08-AUG-19
Put: NACall: NA
ANNUAL 24/08/15, 22/08/16, 22/08/17, 22/08/18 AND 22/08/19
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 30-AUG-17, 30-AUG-18 AND 30-AUG-19
Put: NACall: NA
03/10/13, 03/10/14, 01/10/15, 03/10/16, 03/10/17, 03/10/18, 03/10/19
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 22/10/15, 24/10/16, 23/10/17, 22/10/18 AND 22/10/19
Put: NACall: NA
ON MATURITY i.e 23-DEC-19
Put: NACall: NA
ANNUAL 12-FEB-18, 11-FEB-19, 07-FEB-20
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 12-FEB-16, 13-FEB-17, 12-FEB-18, 12-FEB-19 AND 12-FEB-20
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUAL 19-MAR-18, 18-MAR-19, 17-MAR-20
Put:FIRST PUT OPTION 17/04/18, SECOND PUT OPTION 17/05/19Call:FIRST CALL OPTION 17/04/18, SECOND CALL OPTION 17/05/19
ANNUAL AND ON MATURITY i.e 20-APR-18, 22-APR-19, 20-APR-20 AND 29-APR-20
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 14-JUN-18, 14-JUN-19 AND 15-JUN-20
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 07-JUN-18, 07-JUN-19, 08-JUN-20 AND 30-JUN-20
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 11-JUL-16, 10-JUL-17, 09-JUL-18, 09-JUL-19 AND 09-JUL-20
Put: NACall: NA
ANNUAL 08-AUG-16, 07-AUG-17, 07-AUG-18, 07-AUG-19, 07-AUG-20
Put: NACall: NA
ANNUAL 17-AUG-16, 17-AUG-17, 17-AUG-18, 19-AUG-19 AND 17-AUG-20
Put: NACall: NA
ANNUAL 22-AUG-16, 21-AUG-17, 20-AUG-18, 20-AUG-19 AND 20-AUG-20
Put: NACall: NA
ANNUAL ON 31-AUG-18, 02-SEP-19 AND 31-AUG-20
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 14-OCT-16, 16-OCT-17, 15-OCT-18, 14-OCT-19 AND 14-OCT-20
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 17-OCT-16, 16-OCT-17, 16-OCT-18, 16-OCT-19 AND 16-OCT-20
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 07-NOV-16, 06-NOV-17, 06-NOV-18, 06-NOV-19, 06-NOV-20
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 23-JAN-17, 22-JAN-18, 22-JAN-19, 22-JAN-20, 22-JAN-21
Put: NACall: NA
NA
NA
Annually on 29th July NA
NA
NA
Annually on 28th October NA
NA
NA
NA
NA
NA
NA
NA
ANNUAL AND ON MATURITY i.e 12-APR-17, 12-APR-18, 12-APR-19, 13-APR-20, 12-APR-21
Put: NACall: NA
ANNUAL 05-JUL-17, 05-JUL-18, 05-JUL-19, 06-JUL-20 AND 05-JUL-21
Put: NACall: NA
Put: NACall:after the end of 7 years from issue date subject to NHB approval
ANNUAL & ON MATURITY 15-SEP-17, 17-SEP-18, 16-SEP-19, 15-SEP-20 AND 15-SEP-21
Put: NACall: NA
Annually on 29th September & on Maturity
Put: NACall: NA
Put: NACall: NA
Annually on 04th November & on Maturity
Put: NACall: NA
ANNUAL ON 11-DEC-17, 10-DEC-18, 10-DEC-19, 10-DEC-20, 10-DEC-21 AND 28-DEC-21
Put: NACall: NA
ANNUALLY ON 25TH JANUART & ON MATURITY
Put: NACall: NA
ANNUALLY ON 12TH MARCH & ON MATURITY
Put: NACall: NA
ANNUALLY ON 10TH MAY & ON MATURITY
Put: NACall: NA
ANNUALLY ON 18TH MAY EVERY YEAR STARTING FROM 18/05/2013 TO 18/05/2022
Put: NACall: NA
ANNUALLY AND ON MATURITY 30TH MAY EVERY YEAR
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUALLY AND ON MATURITY ie 30TH MAY EACH YEAR
Put: NACall: NA
ANNUAL 29-JUL-16, 31-JUL-17, 30-JUL-18, 29-JUL-19, 29-JUL-20, 29-JUL-21 AND 29-JUL-22
Put: NACall: NA
ANNUAL AND ON MATURITY i.e. 22nd AUGUAT EVERY YEAR
Put: NACall: NA
30/12/13, 29/12/14, 28/12/15, 28/12/16, 28/12/17, 28/12/18,30/12/19, 28/12/20, 28/12/21, 28/12/22
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 12-JAN-17, 12-JAN-18, 14-JAN-19, 13-JAN-20, 12-JAN-21, 12-JAN-
Put: NACall: NA
20/01/14, 19/01/15, 18/01/16, 18/01/17, 18/01/18, 18/01/19, 20/01/20, 18/01/21, 18/01/22, 18/01/23
Put: NACall: NA
12/03/14,12/03/15,14/03/16,13/03/17,12/03/18,12/03/19,12/03/20,12/03/21,14/03/22,10/03/23
Put: NACall: NA
ANNUAL AND ON MATURITY i.e. 28TH MARCH OF EVERY YEAR
Put: NACall: NA
ANNUAL AND ON MATURITY i.e. 15TH APRIL OF EVERY YEAR
Put: NACall: NA
ANNUAL AND ON MATURITY i.e. 23RD APRIL OF EVERY YEAR
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 04-MAY-17, 04-MAY-18, 06-MAY-19, 04-MAY-20, 04-MAY-21, 04-
Put: NACall: NA
20/05/13,20/05/14,20/05/15,20/05/16,19/05/17,21/05/18,20/05/19,20/05/20,20/05/21,20/05/22,19/05/23
Put: NACall: NA
ANNUALLY & ON MATURITY 12.01.2015, 11.01.2016, 10.01.2017, 10.01.2018, 10.01.2019,
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUAL AND ON MATURITY i.e 12-JAN-17, 12-JAN-18, 14-JAN-19, 13-JAN-20, 12-JAN-21, 12-JAN-
Put: NACall: NA
ANNUALLY AND ON MATURITY 18/03/15, 18/03/16, 20/03/17, 19/03/18, 18/03/19, 18/03/20, 18/03/21,
Put: NACall: NA
ANNUALLY AND ON MATURITY 28/09/15, 26/09/16, 26/09/17, 26/09/18, 26/09/19, 28/09/20, 27/09/21,
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 09-DEC-15,09-DEC-16, 11-DEC-17, 10-DEC-18, 09-DEC-19, 09-
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 25-JAN-16, 23-JAN-17, 23-JAN-18, 23-JAN-19, 23-JAN-20, 25-JAN-
Put: NACall: NA
ANNUALLY AND ON MATURITY 28-APR-16, 28-APR-17, 30-APR-18, 29-APR-19, 28-APR-20, 28-APR-21,
Put: NACall: NA
ANNUAL AND ON MATURITY i.e. 16-JUN-16, 16-JUN-17, 18-JUN-18, 17-JUN-19, 16-JUN-20, 16-JUN-21, 16-JUN-22, 16-JUN-23, 17-JUN-24 AND 16-JUN-25
Put: NACall: NA
ANNUALLY AND ON MATURITY 22-JUL-16, 24-JUL-17, 23-JUL-18, 22-JUL-19, 22-JUL-20, 22-JUL-21,
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 31-AUG-16, 31-AUG-17, 31-AUG-18, 02-SEP-19, 31-AUG-20, 31-
Put: NACall: NA
ANNUAL 16-SEP-16, 18-SEP-17, 17-SEP-18, 16-SEP-19, 16-SEP-20, 16-SEP-21, 16-SEP-22, 18-SEP-23, 16-
Put: NACall: NA
ANNUAL 21-SEP-16, 21-SEP-17, 21-SEP-18, 23-SEP-19, 21-SEP-20, 21-SEP-21, 21-SEP-22, 21-SEP-23, 23-
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 10-OCT-16, 09-OCT-17, 08-OCT-18, 08-OCT-19, 08-OCT-20, 08-
Put: NACall: NA
ANNUAL 04-NOV-16, 06-NOV-17, 05-NOV-18, 04-NOV-19, 04-NOV-20, 04-NOV-21, 04-NOV-22, 06-
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
Annually on 17th August NA
NA
Annually on 23rd September NA
ANNUAL AND ON MATURITY i.e 07-NOV-16, 06-NOV-17, 06-NOV-18, 06-NOV-19, 06-NOV-20,
Put: NACall: NA
ANNUAL ON 15-DEC-16, 15-DEC-17, 17-DEC-18, 16-DEC-19, 15-DEC-20, 15-DEC-21, 15-DEC-22, 15-
Put: NACall: NA
ANNUAL ON 19-DEC-16, 18-DEC-17, 17-DEC-18, 17-DEC-19, 17-DEC-20, 17-DEC-21, 19-DEC-22, 18-
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 15-MAR-17, 15-MAR-18, 15-MAR-19, 16-MAR-20, 15-MAR-21,
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 30-MAR-17, 30-MAR-18, 01-APR-19, 30-MAR-20, 30-MAR-21, 30-
Put: NACall: NA
ANNUAL 30-JUN-17, 02-JUL-18, 01-JUL-19, 30-JUN-20, 30-JUN-21, 30-JUN-22, 30-JUN-23, 01-JUL-24, 30-JUN-
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 04-AUG-17, 06-AUG-18, 05-AUG-19, 04-AUG-20, 04-AUG-21, 04-
Put: NACall: NA
ANNUAL 28-JUN-17 AND 28-JUN-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 25-JUL-17 AND 25-JUL-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 28-JUL-17 AND 27-JUL-18
Put: NACall: NA
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 18-AUG-17 AND 17-AUG-18
Put: NACall: NA
Put: NACall: NA
Annually on 21st October NA
NA
NA
NA
NA
NA
NA
NA
NA
Annually on 15th December NA
NA
NA
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 26-APR-18 AND 26-APR-19
Put: NACall: NA
ANNUAL AND ON MATURITY 31-MAY-18, 31-MAY-19
Put: NACall: NA
ANNUAL AND ON MATURITY 22-JUN-18 AND 21-JUN-19
Put: NACall: NA
Annually on 04th August & on maturity
Put: N.A.Call: N.A.
ANNUAL AND ON MATURITY i.e 18-AUG-17, 20-AUG-18 AND 19-AUG-19
Put: NACall: NA
Annually on 9th Sept & on maturity
Put: N.A.Call: N.A.
Annually on 28th October & on maturity
Put: N.A.Call: N.A.
Annually on 28th October & on maturity
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 18th December & on maturity
Put: N.A.Call: N.A.
Annually on 24th December & on maturity
Put: N.A.Call: N.A.
NA
Annually on 15th November NA
Annually on 14th January NA
Annually on 5th May NA
Annually on 08th August NA
Annually on 28th September NA
Annually on 07th November NA
NA
NA
NA
NA
NA
ANNUAL AND ON MATURITY i. NA
ANNUAL & ON MATURITY i.e. 05-SEP-18, 05-SEP-19 AND 05-MAR-20
Put: NACall: NA
Put: N.A.Call:Any time after the end of 10th year from issue date
Put: NACall:any time after the end of 10year from issue date
Put: NACall:any time after the end of 10yr from issue date
Put: NACall:any time after the end of 10 year from issue date
Put: NACall:any time after end of 10 year from deemed date of AllotmentPut: NACall:any time after end of 10 years from date of deemed date of allotment
Annually on 2nd July & on maturity
Put: N.A.Call: N.A.
ANNUAL AND ON MATURITY i.e. 07-NOV-16 AND 06-NOV-17
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 22-APR-16, 24-APR-17 AND 20-APR-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 20-MAY-16, 22-MAY-17 AND 18-MAY-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 03-AUG-16, 03-AUG-17 AND 03-AUG-18
Put: NACall: NA
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
Annually on 23rd January NA
NA
ANNUAL ON 26-JUL-18 AND 26-JUL-19
Put: NACall: NA
ANNUAL ON 08-AUG-18 & ON MATURITY i.e. 08-AUG-19
Put: NACall: NA
ANNUAL AND ON MATURITY 15-MAY-18, 15-MAY-19 AND 15-MAY-20
Put: NACall: NA
ANNUAL ON 17-MAY-18, 17-MAY-19 AND 15-MAY-20
Put: NACall: NA
ANNUAL ON 07-JUN-18, 07-JUN-19 AND 05-JUN-20
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 20-JUL-16, 20-JUL-17, 20-JUL-18, 22-JUL-19 AND 20-JUL-20
Put: NACall: NA
ANNUAL ON 30-JUL-18, 29-JUL-19, 03-AUG-20
Put: NACall: NA
ANNUAL AND ON MATURITY i.e. 05-SEP-16, 04-SEP-17, 04-SEP-18, 04-SEP-19, 04-SEP-20
Put: NACall: NA
ANNUAL AND ON MATURITY i.e. 19-OCT-16, 19-OCT-17, 19-OCT-18, 21-OCT-19, 19-OCT-20
Put: NACall: NA
ANNUAL AND ON MATURITY i.e. 17-OCT-17, 17-OCT-18, 17-OCT-19, 19-OCT-20 AND 15-OCT-21
Put: NACall: NA
ANNUAL ON 04-JUN-18, 03-JUN-19, 02-JUN-20, 02-JUN-21, 02-JUN-22, 02-JUN-23, 03-JUN-24
Put: NACall: NA
Put: N.A.Call: N.A.
Anually on 2nd July & on maturity
Put:NACall:NA
1 TO 1500
1-1000
1001-1500
1-1000
1-2000
1-2000
1001-2000
1-4000
ON MATURITY i.e 03-JUN-18 NA
ON MATURITY i.e 03-JUN-18 NA
NA
NA
NA NA
ANNUALLY - 25/11/2013,25/11/2014, 25/11/2015, 25/11/2016 & 27/11/2017
Put: NACall: NA
ANNUALLY ON 27-JAN-17, 25-JAN-18 AND 25-JAN-19
Put:IN CASE OF RATING OF THE ISSUER/ISSUE FALLS BELOW A- INVESTOR WOULD HAVE AQ PUT
ANNUALLY ON 27-JAN-17, 25-JAN-18 AND 26-APR-19
Put:IN CASE OF RATING OF THE ISSUER/ISSUE FALLS BELOW A- INVESTOR WOULD HAVE AQ PUT
ANNUAL ON 26-DEC-17, 24-DEC-18 AND 23-DEC-19
Put:DEBT/ EQUITY RATIO NOT TO EXCEED 3X DURING THE TENOR OF NCD THE EQUITY WILL
ANNUAL ON 10-NOV-17, 09-NOV-18, 08-NOV-19 AND 21-FEB-20
Put:DEBT/ EQUITY RATIO NOT TO EXCEED 3X DURING THE TENOR OF NCD THE EQUITY WILL
ON MATURITY i.e 20-APR-20
Put:DEBT/ EQUITY RATIO NOT TO EXCEED 3X DURING THE TENOR OF NCD THE EQUITY WILL
ANNUAL ON 26-DEC-17, 24-DEC-18, 23-DEC-19 AND 23-APR-20
Put:DEBT/ EQUITY RATIO NOT TO EXCEED 3X DURING THE TENOR OF NCD THE EQUITY WILL
ANNUAL 24APR-17, 23-APR-18, 23-APR-19 AND 23-APR-20
Put:DEBT/ EQUITY RATIO NOT TO EXCEED 3X DURING THE TENOR OF NCD THE EQUITY WILL Put: NACall:AT THE END OF 9 MONTHS FROM THE DEEMED DATE OF ALLOTMENT i.e 07-MAR-18 Put: NACall:07/03/2018
SEMI ANNUAL ON 22 AUG AND 22 FEB TILL THE CALL OPTION IS EXERCISED
Put: NACall:CALL OPTION CAN BE EXCERCISED AT THE END OF 3 YEARS FROM THE DEEMED DATE OF ANNUAL 19-NOV-16 AND
ON MATURITY i.e 20-NOV-17
Put: NACall: NA
Put: NACall: NA
ON MATURITY i.e 26/02/18 NA
NA NA
NA
NA NA
NA NA
NA
NA
NA NA
NA NA
NA NA
NA
NA
NA
Put: NACall: NA
Put: NACall: NA
ANNUAL 31-MAY-17 AND ON MATURITY i.e 09-MAR-18
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL 28-JUN-17 AND ON MATURITY i.e. 20-MAR-18
Put: NACall: NA
ANNUAL 22-MAR-17 AND ON MATURITY 22-MAR-18
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL 10-JUN-17 AND ON MATURITY i.e 10-JUN-18
Put: NACall: NA
ANNUAL 28-JUL-17 AND 28-JUN-18
Put: NACall: NA
ANNUAL 22-JUL-17 AND 20-JUL-18
Put: NACall: NA
NA
NA NA
NA NA
NA NA
NA
NA NA
NA
NA
NA
NA NA
NA
NA NA
ON MATURITY 19/03/19 NA
ANNUAL 19-AUG-17 AND 17-AUG-18
Put: NACall: NA
Put:25/09/2017Call: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL ON 25-NOV-17 AND 25-NOV-18
Put: NACall: NA
Put: NACall: NA
ANNUAL 02-DEC-17 AND 02-DEC-18
Put: NACall: NA
ANNUAL 17-DEC-16, 16-DEC-17, AND ON MATURITY i.e 17-DEC-18
Put: NACall: NA
ANNUAL ON 28-DEC-17 AND 28-DEC-18
Put: NACall: NA
Put: NACall: NA
ANNUALLY 05.03.2015, 05.03.2016, 05.03.2017, 05.03.2018 AND ON MATURITY i.e. 05.03.2019
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
NA
NA NA
NA
NA NA
NA NA
NA NA
NA
NA
NA
NA NA
NA
NA
NA
ANNUAL ON 20/03/15, 20/03/16, 20/03/17, 20/03/18 AND ON MATURITY i.e. 20/03/19
Put: NACall: NA
Put: NACall: NA
ANNUAL 07-APR-17, 07-APR-18 AND ON MATURITY i.e 08-APR-19
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL 31-MAY-17, 31-MAY-18 AND ON MATURITY i.e 31-MAY-19
Put: NACall: NA
ANNUAL 10-JUN-17, 10-JUN-18 AND ON MATURITY i.e 10-JUN-19
Put: NACall: NA
ANNUAL 28-JUN-17, 28-JUN-18 AND ON MATURITY 28-JUN-19
Put: NACall: NA
Put: NACall: NA
ANNUAL ON 10/10/15, 10/10/16, 10/10/17, 10/10/18 AND ON MATURITY i.e 10/10/19
Put: NACall: NA
ANNUAL 17/10/15, 17/10/16, 17/10/17, 17/10/18 AND ON MATURITY i.e 17/10/19
Put: NACall: NA
ANNUAL 19-NOV-16, 18-NOV-17, 19-NOV-18 AND ON MATURITY i.e 19-NOV-19
Put: NACall: NA
NA NA
NA NA
NA NA
NA NA
NA NA
NA NA
NA
NA
NA
NA
NA NA
NA
NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL 17-DEC-16, 16-DEC-17, 17-DEC-18, 17-DEC-19 AND ON MATURITY i.e 17-DEC-20
Put: NACall: NA
ANNUAL 07-APR-17, 07-APR-18, 08-APR-19, 07-APR-20 AND ON MATURITY i.e. 06-APR-21
Put: NACall: NA
ANNUAL 13-MAY-17, 13-MAY-18, 13-MAY-19, 13-MAY-20 AND ON MATURITY i.e 13-MAY-21
Put: NACall: NA
ANNUAL 10 JUN STARTING 10-JUN-17 TILL 10-JUN-21
Put: NACall: NA
Put: NACall: NA
ANNUAL 28-JUN-17, 28-JUN-18, 28-JUN-19, 28-JUN-20 AND ON MATURITY i.e. 28-JUN-21
Put: NACall: NA
ANNUAL 28-JUL-17, 28-JUL-18, 28-JUL-19, 28-JUL-20 AND 28-JUL-21
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
N.A.
NA
ANNUAL EVERY 12TH SEP AND ON MATURITY i.e. 12/09/2024
Put: NACall: NA
ANNUAL 19-DEC-15, 19-DEC-16, 19-DEC-17, 19-DEC-18, 19-DEC-19, 19-DEC-20, 19-DEC-21, 19-
Put: NACall: NA
ANNUAL ON 05TH SEPT EVERY YEAR
Put: NACall:CALL OPTION AFTER 10 YEARS AND AT THE END OF EVERY MONTH THEREAFTERANNUALLY 10.01.2015,
10.01.2016, 10.01.2017, 10.01.2018 AND ON MATURITY i.e. 10.01.2019
Put: NACall: NA
Annually on 20th January & on maturity
Put: N.A.Call: N.A.
Annually on 25th March & on maturity
Put: N.A.Call: N.A.
Annually on 12th April & on maturity
Put: N.A.Call: N.A.
Annually on 28th April & on maturity
Put: N.A.Call: N.A.
Annually on 19th September & on Maturity
Put: NACall: NA
ANNUALLY ON 2ND MARCH & ON MATURITY
Put: NACall: NA
ANNUALLY ON 26TH MARCH & ON MATURITY
Put: NACall: NA
ANNUALLY ON 22ND MAY & ON MATURITY
Put: NACall: NA
ANNUALLY AND ON MATURITY i.e. AUGUST 3 EACH YEAR AND AUGUST 3, 2022
Put: NACall: NA
NA
NA
NA
Annually on 23rd November NA
NA
N.A.
NA
NA
NA
NA
1-4000
1-3000
ANNUALLY ON DECEMBER 28 TILL MATURITY
Put: NACall: NA
ANNUAL & ON MATURITY i.e. 24 MAY EACH YEAR AND 24/05/2023
Put: NACall: NA
ANNUAL & ON MATURITY i.e. MAY 28 EACH YEAR AND 28/05/2023
Put: NACall: NA
ANNUAL 26/09/15, 26/09/16, 26/09/17, 26/09/18, 26/09/19, 26/09/20, 27/09/21, 26/09/22, 26/09/23 AND ON
Put: NACall: NA
Put: N.A.Call:After 10 year and at the end of every month thereafter.
ANNUAL i.e. 30TH MAY EVERY YEAR
Put: NACall:AFTER 10 YEAR AND AT THE END OF EVERY MONTH THEREAFTER
ANNUAL i.e. 28TH JUNE EVERY YEAR
Put: NACall:CALL OPTION AFTER 10 YEARS & AT THE END OF EVERY MONTH THEREAFTERANNUAL i.e. 23 MAY
EVERY YEARPut: NACall:AFTER 10 YEAR AND AT THE END OF EVERY MONTH THEREAFTER
ANNUAL i.e. 28 MAY EVERY YEAR
Put: NACall:AFTER 10 YEAR AND AT THE END OF EVERY MONTH THEREAFTER
ANNUAL AND ON MATURITY i.e 10-MAR-17 AND 10-MAR-18
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 30-MAR-17, 30-MAR-18, 30-JUL-18
Put: NACall: NA
ANNUAL 18-JUL-17 AND 18-JUL-18
Put: NACall: NA
ANNUALLY ON 16/12/14, 16/12/15, 16/12/16, 16/12/17 AND 30/11/18
Put: NACall: NA
1-3000
NA
1-3000
1-5000
1-4000
1-3000
1-5000
1-5000
1-4000
1-5000
1-5000
1-4000
1-3000
ANNUAL AND ON REDEMPTION 24-APR-17, 27-APR-18 AND 28-JAN-19
Put: NACall: NA
10/10/2013, 10/10/2014, 10/10/2015, 10/10/2016, 10/10/2017, 10/10/2018, 29/03/2019
Put: NACall: NA
ANNUAL- ON 01ST OCT STARTING 01/10/15 TILL 01/10/19
Put: NACall: NA
ANNUAL ON 30-JUL-18, 29-JUL-19 AND 29-JUL-20
Put: NACall: NA
ANNUAL- ON 01ST OCT STARTING 01/10/15 TILL 01/10/20
Put: NACall: NA
ANNUAL AND ON REDEMPTION 26-MAY-17, 28-MAY-18, 27-MAY-19, 26-MAY-20 AND 26-MAY-21
Put: NACall: NA
ANNUAL ON 30-JUL-18, 29-JUL-19, 29-JUL-20 AND 29-JUN-21
Put: NACall: NA
ANNUAL AND ON REDEMPTION- 20-OCT-17, 22-OCT-18, 21-OCT-19, 20-OCT-20 AND 20-OCT-21
Put: NACall: NA
ANNUAL 11-DEC-15, 10-DEC-16, 11-DEC-17, 11-DEC-18, 11-DEC-19, 11-DEC-20 AND 10-DEC-21
Put: NACall: NA
ANNUAL ON 05-MAR-18, 05-MAR-19, 03-MAR-20, 03-MAR-21 AND 03-MAR-22
Put: NACall: NA
ANNUAL ON 22-JUN-18, 21-JUN-19, 22-JUN-20, 22-JUN-21 AND 22-JUN-22
Put: NACall: NA
ANNUAL 10TH OF NOV EVERY YEAR STARTING 10/11/2015 TILL 10/11/2023
Put: NACall: NA
ANNUAL 20 AUG STARTING 20/08/15 TILL 20/08/24
Put: NACall: NA
NA
NA
Annually on 2nd March
Annually on 7th May NA
Annually on 24th May NA
Annualy on 18th June N.A
Annually on 30th April
1-4000
1-4000
1-3000
0001-5000
0001-1750
0001-4250
23/10/2013, 23/10/2014, 23/10/2015, 23/10/2016, 23/10/2017, 29/03/2018
Put: NACall: NA
ANNUALLY ON 28TH MAY EVERY YEAR
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call:Either in part or full, at the end of 8th year from the date of allotment.
ANNUAL AND ON REDEMPTION- 01-AUG-17, 01-AUG-18 AND 01-AUG-19
Put: NACall: NA
ANNUAL 29/10/15, 19/10/16, 28/10/17, 29/10/18, 29/10/19, 29/10/20, 29/10/21 AND 29/10/22
Put: NACall: NA
ANNUAL- ON 12TH SEPT STARTING 12/09/15 TILL 12/09/24
Put: NACall: NA
ANNUAL ON 25 MAY STARTING 25-MAY-18 TILL 25-MAY-22
Put: NACall: NA
SEMI ANNUAL ON 15TH DEC AND 15TH JUNE EVERY YEAR STARTING FROM 15-DEC-16 TILL 15-JUN-22
Put: NACall: NA
ANNUAL 23-JAN-17, 22-JAN-18, 22-JAN-19, 22-JAN-20, 22-JAN-21, 24-JAN-22, 23-JAN-23, 22-JAN-24 AND 22-
Put:22/01/2021Call:22/01/2021
0001-4000
1/(0001-3500)
1/(0001-2400)
2/(3501-6000)
1/(0001-2600)
NA 1/(0001-1000)
NA 1/(0001-2000)
NA 1/(0001-1000)
NA NA
NA NA
NA NA
NA S3601-S5600
NA
SEMI ANNUAL 15TH DEC AND 15TH JUN EVERY YAER STARTGIN FROM 15-DEC-16 TILL 15-JUN-26
Put: NACall: NA
ANNUAL 23-MAY-16, 23-MAY-17, 23-MAY-18, 23-MAY-19
Put: NACall: NA
ANNUAL 21-JUN-17, 21-JUN-18, 21-JUN-19 AND ON MATURITY 25-JUN-19
Put: NACall: NA
ANNUAL 23-JUL-16, 23-JUL-17, 23-JUL-18, 23-JUL-19
Put: NACall: NA
ANNUAL 18-JUL-17, 18-JUL-18, 18-JUL-19 AND 23-AUG-19
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put:18/03/2018Call:18/03/2018
ANNUALLY ON 13 JAN EACH YEAR AND ON THE DATE OF FINAL MATURITY
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUAL ON 16 JAN AND ON MATURITY
Put: NACall: NA
PAYABLE ANNUALLY ON 2 MAY EACH YEAR AND ON THE DATE OF FINAL MATURITY
Put: NACall: NA
ANNUALLY ON 13 DECEMBER EACH YEAR AND ON THE DATE OF FINAL MATURITY
Put: NACall: NA
ANNUALLY ON 13 DECEMBER EACH YEAR AND ON THE DATE OF FINAL MATURITY
Put: NACall: NA
ANNUAL ON 16 JAN AND ON MATURITY
Put: NACall: NA
ANNUALLY ON 13 DECEMBER AND ON THE DATE OF FINAL MATURITY
Put: NACall: NA
ANNUALLY ON 13 DEC AND ON THE DATE OF FINAL MATURITY
Put: NACall: NA
ANNUALLY ON 15TH MARCH AND ON MATURITY
Put: NACall: NA
ANNUAL 14TH DECEMBER AND ON FINAL MATURITY
Put: NACall: NA
ANNUALLY ON 15TH MAR AND ON THE DATE OF FINAL MATURITY
Put: NACall: NA
ANNUAL ON 16 JAN AND ON MATURITY
Put: NACall: NA
ANNUAL ON 15 JUN AND ON FINAL MATURITY
Put: NACall: NA
ANNUAL ON 15 JUN AND ON FINAL MATURITY
Put: NACall: NA
NA
NA
NA
NA
ANNUAL ON 14 AUG NA
NA
NA
NA
NA
NA
NA
Annually on 23rd November
NA
ANNUAL ON 15 JUN AND ON FINAL MATURITY
Put: NACall: NA
ANNUAL ON 15 JUN AND ON FINAL MATURITY
Put: NACall: NA
Annually on 7th June & on maturity
Put: N.A.Call: N.A.
Annualy on 15th July & on maturity
Put: N.A.Call: N.A.
Put: NACall: NA
ANNUALLY ON 14TH AUGUST AND ON FINAL MATURITY
Put: NACall: NA
ANNUALLY ON 14TH AUG AND ON FINAL MATURITY
Put: NACall: NA
ANNUALLY ON 21ST AUGUST AND ON FINAL MATURITY
Put: NACall: NA
ANNUALLY ON 28 AUG AND ON FINAL MATURITY
Put: NACall: NA
ANNUAL ON 15 MARCH AND ON FINAL MATURITY
Put: NACall: NA
Annually on 6th September & on maturity
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
ANNUAL ON 16 JAN AND ON MATURITY
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ANNUAL ON 14 AUG NA
NA
N.A.
NA
ANNUALLY ON 15TH MARCH AND ON FINAL MATURITY
Put: NACall: NA
ANNUALLY ON 15TH MARCH AND ON FINAL MATURITY
Put: NACall: NA
ANNUAL 14TH DECEMBER AND ON FINAL MATURITY
Put: NACall: NA
ANNUAL ON 15 MAR AND ON FINAL MATURITY
Put: NACall: NA
ANNUAL ON 15 MAR AND ON FINAL MATURITY
Put: NACall: NA
ANNUALLY ON 25TH APRIL
Put: NACall: NA
PAYABLE ANNUALLY ON 12TH JUNE EACH YEAR AND ON THE DATE OF FINAL MATURITY
Put: NACall: NA
PAYABLE ANNUALLY ON 23 JULY EACH YEAR ON THE DATE OF FINAL MATURITY
Put: NACall: NA
PAYABLE ANNUALLY ON 13 AUGUST EACH YEAR AND ON THE DATE OF FINAL MATURITY
Put: NACall: NA
Put: NACall: NA
PAYABLE ANNUALLY ON 29 AUGUST EACH YEAR AND ON THE FINAL MATURITY
Put: NACall: NA
PAYABLE ANNUALLY ON 13 SEPTEMBER EACH YEAR AND ON THE DATE OF FINAL MATURITY
Put: NACall: NA
PAYABLE ANNUALLY ON 2 MAY EACH YEAR AND ON THE DATE OF FINAL MATURITY
Put: NACall: NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA NA
PAYABLE ANNUALLY ON 21 MAY EACH YEAR AND ON THE DATE OF FINAL MATURITY
Put: NACall: NA
ANNUALLY ON 13 DECEMBER EACH YEAR AND ON THE DATE OF FINAL MATURITY
Put: NACall: NA
ANNUALLY ON 13 DECEMBER EACH YEAR AND ON THE DATE OF FINAL MATURITY
Put: NACall: NA
ANNUALLY ON 13 DEC AND ON THE DATE OF FINAL MATURITY
Put: NACall: NA
ANNUALLY ON 13 DEC AND ON THE DATE OF FINAL MATURITY
Put: NACall: NA
ANNUALLY ON 15TH MAR AND ON THE DATE OF FINAL MATURITY
Put: NACall: NA
ANNUALANNUALLY ON 15TH MAR AND ON THE DATE OF FINAL MATURITY
Put: NACall: NA
ANNUAL ON 15 MARCH AND ON FINAL MATURITY
Put: NACall: NA
QUARTERLY ON 01 MAR, 01 JUN, 01 SEP AND 01 DEC TILL MATURITY
Put: NACall: NA
ANNUALLY ON 15TH MARCH AND ON FINAL MATURITY
Put: NACall: NA
ANNUALLY ON 15TH MARCH AND ON FINAL MATURITY
Put: NACall: NA
ANNUALLY ON 27 NOVEMBER
Put: NACall: NA
Put: NACall: NA
NA NA
NA
1-10000
NA
NA
NA
NA
Annually on 15th May NA
Annually on 19th May NA
NA
NA
NA
000001-002500
Put: NACall: NA
ANNUAL ON 04 JAN AND ON MATURITY
Put: NACall: NA
ANNUAL ON 04 OCT STARTING 04-OCT-17 TILL 04-OCT-26
Put: NACall: NA
No Coupon for the first three years.Interest on principal for the first three years will be accumulated to the principal
Put: NACall: On 21/12/2020 & 21/12/2025
No Coupon for the first three years.Interest on principal for the first three years will be accumulated to the principal
Put: NACall:ON 06/01/2021 & 06/01/2026
Semi-Annually on 18th March & 18th September
Put: NACall:18/03/2021 & 18th March every year thereafter
SEMI ANNUALLY ON 11TH MAY & 11TH NOVEMBER
Put: NACall:11/05/2021 & on 11th May every year thereafter
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
FIRST INTEREST PAYMENT WILL BE ON 23/04/2013 & THERAFTER ANNUALLY ON 23RD
Put: NACall: NA
ANNUAL ON 24TH JANUARY EVERY YEAR TILL MATURITY
Put: NACall: NA
ANNUAL ON 24TH JANUARY EVERY YEAR TILL MATURITY
Put: NACall: NA
ANNUAL 22-MAY-16, 22-MAY-17, 22-MAY-18
Put: NACall:ONLY IN CASE OF A CREDIT RATING EVENT. THE ISSUER CAN EXERCISE THE CALL OPTION WITHIN SIXTY
002501-005000
005001-007500
NA
Annually on 16th August
1-2000
2001-4000
1-300
1-2000
1-600
1/ (1 - 300)
1-20000
01-250
N.A.
ANNUAL 22-MAY-16, 22-MAY-17, 22-MAY-18, 22-MAY-19
Put: NACall:ONLY IN CASE OF A CREDIT RATING EVENT. THE ISSUER CAN EXERCISE THE CALL OPTION WITHIN SIXTY ANNUAL 22-MAY-16, 22-
MAY-17, 22-MAY-18, 22-MAY-19, 22-MAY-20
Put: NACall:ONLY IN CASE OF A CREDIT RATING EVENT. THE ISSUER CAN EXERCISE THE CALL OPTION WITHIN SIXTY PAYABLE ON JUNE 28
EVERY YEAR (ANNUALLY)
Put: NACall: NA
Put: N.A.Call:Single Call option to issure at the end of 10th year i.e.on 14/08/2020
ANNUAL ON 30-APR-15, 30-APR-16, 30-APR-17 AND 30-APR-18
Put:30/04/2018Call:30/04/2018
ANNUAL 29-SEP-17, 29-SEP-18 AND 27-SEP-19
Put:IN CASE THE CREDIT RATING OF THE ISSUER OR THE INSTRUMENT IS DOWNGRADED TO A- OF
QUARTERLY 28-FEB-17, 31-MAY-17, 31-AUG-17, 30-NOV-17, 28-FEB-18 AND 31-MAY-18
Put: NACall: NA
QUARTERLY 28-FEB-17, 31-MAY-17, 31-AUG-17, 30-NOV-17, 28-FEB-18, 31-MAY-18, 31-AUG-18, 30-
Put: NACall: NA
QUARTERLY 28-FEB-17, 31-MAY-17, 31-AUG-17, 30-NOV-17, 28-FEB-18, 31-MAY-18, 31-AUG-18, 30-
Put: NACall: NA
PAYABLE HALF YEARLY STARTING FROM 28.07.2013 AND ENDING ON 28.01.2018
Put: NACall: NA
SEMI ANNUAL ON 15TH JAN AND 15TH JUL EVERY YEAR STARTING 15/01/15
Put:ANY DATE AFTER EXPIRY OF 3 MONTHS FROM THE DATE OF ISSUE IN FULL OR PART
ANNUAL ON 31-JAN-18, 31-JAN-19 AND 31-JAN-20
Put: NACall: NA
ANNUAL 31ST MAR EVERY YEAR STARTING FROM 31-MAR-18 TILL 31-MAR-27
Put: NACall: NA
NA
001-023 ; 001-438
51-500
001- 021 ; 001-611
00001-01500
NA
Annually on 30th July 1 - 275
Annually on 6th January 1 to 1000
1 - 1000
Annually on 6th January 1 to 1000
Annually on 8th February 1-2000
Annually on 3rd July 1 to 2500
Annually on 20th August 1 to 2500
ANNUAL ON 03 OCT STARTING 03-OCT-17 TILL 03-OCT-26
Put: NACall: NA
Semi annually on 05th January & 05th July
Put: N.A.Call: N.A.
Semi annually on 8th June & 8th December & on maturity
Put: N.A.Call: N.A.
Semi annually 22nd March & 22nd September
Put: N.A.Call:At par at the end of 10 Years i.e.22/09/2016
QUARTERLY ON 03-JUL-17, 03-OCT-17, 01-JAN-18, 02-APR-18, 02-JUL-18, 01-OCT-10, 01-JAN-
Put: NACall: NA
SEMI-ANNUALLY ON 01ST APRIL & 01ST OCTOBER
Put: NACall: NA
Put: N.A.Call:30/07/2020
Put: N.A.Call: N.A.
Hlf yearly on 24th June & 24th December
Put:NoneCall:None
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 10th November 1 to 2000
Annually on 2nd February 1 to 1000
1 TO 1500
Annually on 25th April 1 to 500
Annually on 07th January 1 to 1000
Annually on 18th January 1 TO 3000
YEARLY ON 18 JAN 0001-2500
YEARLY AUGUST 31 0001-1500
YEARLY ON 18 JAN 0001-2500
ANNUAL ON 31 MAY 0001-2500
YEARLY ON NOVEMBER 10 0001-2000
ANNUAL ON 06 MAY 0001-2500
YEARLY ON NOVEMBER 10 0001-2000
Put: N.A.Call: N.A.
Put: NACall: NA
ANNUALLY ON 15TH APRIL
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
YEARLY ON 25 MAY 0001-1500
0001-1500
NA
NA
Annually on 27th July NA
Annually on 18th November
NA
Annually on 30th December NA
0001 to 1500
NA
NA
NA
NA
Put: NACall: NA
QUARTERLY ON 28 MAY, 28 AUG, 28 NOV AND 28 FEB
Put: NACall: NA
Annually on 9th December Put: N.A.Call: N.A.
ANNUAL ON 20-APR-18, 20-APR-19 AND 20-APR-20
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL 20 JAN STARTING 20-JAN-18 TILL 20-JAN-22 AND ON 15-APR-22
Put: NACall: NA
Put: N.A.Call: N.A.
Semi annually on 25th March & 25th September
Put: N.A.Call: N.A.
QUARTERLY ON 31ST MARCH, 30TH JUNE, 30TH SEPTEMBER, 31ST DECEMBER
Put: NACall: NA
QUARTERLY ON 31ST MARCH, 30TH JUNE, 30TH SEPTEMBER, 31ST DECEMBER
Put: NACall: NA
SEMI ANNUALLY ON 30TH SEPT AND 31ST MAR EVERY YEAR STARTING 30/09/14 TILL 30/09/23 AND
Put: NACall: NA
SEMI ANNUAL ON 09 DEC AND 09 JUN STARTING 09-DEC-17 TILL 09-JUN-24
Put: NACall: NA
NA
NA
1 - 500
NA
2001 TO 3000/(2001-3000)
0001-2000
1-5000
0001-1500
ANNUAL ON 17TH NOV NA
Annually on 30th November NA
Annually on 30th November NA
NA
NA
SEMI ANNUAL ON 31 MAR AND 30 SEP EVERY YEAR STARTING 31-MAR-16 TILL 30-SEP-25
Put: NACall: NA
Semi- Annualy on 16th July and 16th January
Put: N.A.Call: N.A.
SEMI ANNUALLY ON 15TH MAY AND 15TH NOVEMBER EVERY YEAR
Put: NACall: NA
SEMI ANNUALLY 20TH JUNE, 20TH DECEMBER
Put: NACall:20/06/2020
ANNUAL 31-OCT-16 AND ON MATURITY i.e 30-OCT-17
Put: NACall: NA
Semi annually on 28th February & 31st August
Put: N.A.Call: N.A.
ANNUAL ON 31 MAR STARTING 31-MAR-16 TILL 31-MAR-25 AND ON MATURITY i.e 31-OCT-25
Put: NACall: NA
SEMI ANNUALLY ON 7TH MAR AND 7TH SEP EVERY YEAR STARTING 07/09/14 TILL 07/03/24
Put:AT THE END OF 7TH YEAR 07/03/23. PUT OPTION DEADLINE DATE AND NOTIFICATION Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 23rd July Put: N.A.Call: N.A.
Annually on 17th September Put: N.A.Call: N.A.
NA
1-35000
NA
ANNUAL ON 17TH NOV NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
Annually on 23rd July Put: N.A.Call: N.A.
ANNUAL 04-AUG-17, 03-AUG-18 AND 02-AUG-19
Put:04/08/2017, 02/02/2018, 03/08/2018Call:04/08/2017, 02/02/2018, 03/08/2018
Annually on 17th September Put: N.A.Call: N.A.
Put: NACall: NA
Annually on 23rd July Put: N.A.Call: N.A.
Annually on 17th September Put: N.A.Call: N.A.
Annually on 23rd July Put: N.A.Call: N.A.
Annually on 17th September Put: N.A.Call: N.A.
Annually on 23rd July Put: N.A.Call: N.A.
Annually on 17th September Put: N.A.Call: N.A.
ANNUALLY 28 TH DECEMBER
Put: NACall: NA
ANNUALLY ON 12TH JAN STARTING 12-JAN-17 TILL 12-JAN-23
Put: NACall: NA
Annually on 23rd July Put: N.A.Call: N.A.
NA
NA
NA
NA
NA
NA
NA
NA
12733-13131
1-670
1-12732
1-400
1-280
Annually on 17th September Put: N.A.Call: N.A.
Annually on 23rd July Put: N.A.Call: N.A.
Annually on 17th September Put: N.A.Call: N.A.
Annually on 23rd July Put: N.A.Call: N.A.
Annually on 17th September Put: N.A.Call: N.A.
SEMI ANNUALLY ON 30TH APRIL AND 31ST OCTOBER
Put: NACall:AT THE END OF 10 YEARS FROM THE DEEMED DATE OF ALLOTMENT AND AT THE Semi-Annually on 30th April,
31st OctoberPut: NACall:The call option is at the end of 10th year from deemed date of Allotment and at the end of every year thereafterFIRST INTEREST ON 03-
MAY-17 MONTHLY ON 01 ST DAY OF EVERY MONTH STARTING 01-
Put: NACall: NA
QUARTERLY ON 15 MAR, 15 JUN, 15 SEP AND 15 DEC EVERY YEAR STARTING 15-MAR-16 TILL
Put: NACall: NA
SEMI ANNUAL 10 SEP AND 10 MAR STARTING 10-SEP-16 TILL 10-MAR-19
Put: NACall: NA
SEMI ANNUAL ON 05-NOV-15, 05-MAY-16, 07-NOV-16, 05-MAY-17, 06-NOV-17, 08-MAY-18, 05-NOV-18, 07-MAY-19 AND 05-NOV-19
Put:05/11/2018Call: NA
SEMI ANNUAL 16-JUN-17, 18-DEC-17, 18-JUN-18, 17-DEC-18, 17-JUN-19 AND 16-DEC-19
Put: NACall: NA
ANNUAL 24-AUG-18, 24-AUG-19, 24-AUG-20 AND 24-AUG-21
Put: NACall: NA
1-400
1-400
NA 01-85
NA 86-105
NA 01-5019878
NA 106-127
YEARLY NA
1-330
331-660
661-1000
NA 01-6589990
1-22500
01-5748980
SEMI ANNUAL ON 31 JAN AND 31 JUL STARTING 31-JAN-18 TILL 31-JUL-22
Put:31/07/2020Call:31/07/2020
SEMI ANNUAL ON 27 OCT AND 27 APR STARTING 27-OCT-17 TILL 27-APR-23
Put:27/04/2020Call:27/04/2020
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL ON 31 AUG STARTING 31-AUG-16 TILL 31-AUG-18
Put: NACall: NA
ANNUAL ON 31 AUG STARTING 31-AUG-16 TILL 30-AUG-19
Put: NACall: NA
ANNUAL ON 31 AUG STARTING 31-AUG-16 TILL 31-AUG-20
Put: NACall: NA
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC OF EVERY YEAR
Put: NACall: NA
QUARTERLY ON 31 DEC, 31 MAR, 30 JUN AND 30 SEP EVERY YEAR
Put: NACall: NA
1-4/(1-7149288)
1-2000
1-2000
1-1250
1-1500
1-1500
1-750
1-1000
1-750
1-1250
1-1000
1-1000
1-1000
ANNUAL (ALL PAYMENTS SUBJECT TO SURPLUS CASH AND SENIOR LENDERS APPROVAL)
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC EVERY YEAR STARTING 30-JUN-16 TILL
Put: NACall:YES, LOCK IN PERIOD OF 12 MONTHS THEN A PENALTY OF 3% BETWEEN 12 AND 24 MONTHS AND QUARTERLY ON 31 MAR,
30 JUN, 30 SEP AND 31 DEC EVERY YEAR STARTING 30-JUN-16 TILL
Put: NACall:YES, LOCK IN PERIOD OF 12 MONTHS THEN A PENALTY OF 3% BETWEEN 12 AND 24 MONTHS AND QUARTERLY ON 31 MAR,
30 JUN, 30 SEP AND 31 DEC EVERY YEAR STARTING 30-SEP-16 TILL
Put: NACall:YES, LOCK IN PERIOD OF 12 MONTHS THEN A PENALTY OF 3% BETWEEN 12 AND 24 MONTHS AND QUARTERLY ON 31 MAR,
30 JUN, 30 SEP AND 31 DEC EVERY YEAR STARTING 31-DEC-16 TILL
Put: NACall:YES, LOCK IN PERIOD OF 12 MONTHS THEN A PENALTY OF 3% BETWEEN 12 AND 24 MONTHS AND QUARTERLY ON 31 MAR,
30 JUN, 30 SEP AND 31 DEC EVERY YEAR STARTING 31-DEC-16 TILL
Put: NACall:YES, LOCK IN PERIOD OF 12 MONTHS THEN A PENALTY OF 3% BETWEEN 12 AND 24 MONTHS AND QUARTERLY ON 31 MAR,
30 JUN, 30 SEP AND 31 DEC EVERY YEAR STARTING 31-DEC-17 TILL
Put: NACall:YES, LOCK IN PERIOD OF 12 MONTHS THEN A PENALTY OF 3% BETWEEN 12 AND 24 MONTHS AND QUARTERLY ON 31 MAR,
30 JUN, 30 SEP AND 31 DEC EVERY YEAR STARTING 31-MAR-17, 30-
Put: NACall:YES, LOCK IN PERIOD OF 12 MONTHS THEN A PENALTY OF 3% BETWEEN 12 AND 24 MONTHS AND QUARTERLY ON 31 MAR,
30 JUN, 30 SEP AND 31 DEC EVERY YEAR STARTING 31-MAR-17, 30-
Put: NACall:YES, LOCK IN PERIOD OF 12 MONTHS THEN A PENALTY OF 3% BETWEEN 12 AND 24 MONTHS AND QUARTERLY FROM 30-JUN-
17, 30-SEP-17, 31-DEC-17 AND SO ON TILL REDEMPTION
Put: NACall:YES, LOCK IN PERIOD OF 12 MONTHS THEN A PENALTY OF 3% BETWEEN 12 AND 24 MONTHS AND QUARTERLY FROM 30-SEP-
17, 31-DEC-17 AND SO ON TILL REDEMPTION
Put: NACall:YES, LOCK IN PERIOD OF 12 MONTHS THEN A PENALTY OF 3% BETWEEN 12 AND 24 MONTHS AND QUARTERLY FROM 30-SEP-
17, 31-DEC-17 AND SO ON TILL REDEMPTION
Put: NACall:YES, LOCK IN PERIOD OF 12 MONTHS THEN A PENALTY OF 3% BETWEEN 12 AND 24 MONTHS AND QUARTERLY FROM 30-SEP-
17, 31-DEC-17 AND SO ON TILL REDEMPTION
Put: NACall:YES, LOCK IN PERIOD OF 12 MONTHS THEN A PENALTY OF 3% BETWEEN 12 AND 24 MONTHS AND
1-1000
1-1000
1-1000
1-1000
1-575
NA 1/(1-500)
1-14250000
1-167500
1-77650
1-47163
1-84
85-167
1-240
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 MAR STARTING 31-DEC-17
Put: NACall:YES, LOCK IN PERIOD OF 12 MONTHS THEN A PENALTY OF 3% BETWEEN 12 AND 24 MONTHS AND QUARTERLY ON 31 MAR,
30 JUN, 30 SEP AND 31 MAR STARTING 31-DEC-17
Put: NACall:YES, LOCK IN PERIOD OF 12 MONTHS THEN A PENALTY OF 3% BETWEEN 12 AND 24 MONTHS AND QUARTERLY ON 31 MAR,
30 JUN, 30 SEP AND 31 MAR STARTING 31-DEC-17
Put: NACall:YES, LOCK IN PERIOD OF 12 MONTHS THEN A PENALTY OF 3% BETWEEN 12 AND 24 MONTHS AND QUARTERLY ON 31 MAR,
30 JUN, 30 SEP AND 31 MAR STARTING 31-DEC-17
Put: NACall:YES, LOCK IN PERIOD OF 12 MONTHS THEN A PENALTY OF 3% BETWEEN 12 AND 24 MONTHS AND QUARTERLY ON 31 MAR,
30 JUN, 30 SEP AND 31 MAR STARTING 31-DEC-17
Put: NACall:YES, LOCK IN PERIOD OF 12 MONTHS THEN A PENALTY OF 3% BETWEEN 12 AND 24 MONTHS AND Put: NACall: NA
ANNUAL i.e 22-FEB-17 FIRST INTEREST PAYMENT AS PER ALLOTMENT DATE i.e 23-FEB-16
Put:THE DEBENTURES SHALL BE COMPULSORILY CONVERTED WITHIN A PERIOD OF 20 YEARS FROM
ON MATURITY i.e. 31-MAR-20
Put:ANY TIME AFTER 01/04/16 SUBJECT HOWEVER THAT THE CCDs SHALL AUTOMATICALLY
ON MATURITY i.e. 31-MAR-21
Put: NACall: NA
ON MATURITY i.e. 30-JUN-21
Put: NACall: NA
ANNUAL 24-JUN-16, 23-JUN-117 AND 22-JUN-18
Put: NACall: NA
ANNUAL 24-JUN-16, 23-JUN-17, 22-JUN-18 AND 24-JUN-19
Put: NACall: NA
ANNUAL 24-JUN-16, 26-JUN-17, 26-MAR-18, 25-MAR-19 AND 24-MAR-20
Put: NACall: NA
168-250
1-500
1-500
1-100
NA
101-200
NA
001 - 550
201-300
NA
NA 01-03
1-900
1-570
ANNUAL 24-JUN-16, 23-JUN-17, 22-JUN-18, 24-JUN-19 AND 24-JUN-20
Put: NACall: NA
ANNUAL ON 29-DEC-17, 28-DEC-18, 27-DEC-19 AND 29-DEC-20
Put: NACall: NA
ANNUAL 13-DEC-17, 13-DEC-18, 13-DEC-19, 14-DEC-20 AND 13-DEC-21
Put: NACall: NA
SEMI ANNUALLY ON 25TH SEPTEMBER & 25TH MARCH TILL MATURITY
Put: NACall: NA
ANNUALLY ON 06TH APR TILL MATURITY
Put: NACall: NA
SEMI ANNUALLY ON 25TH SEPTEMBER & 25TH MARCH TILL MATURITY
Put: NACall: NA
ANNUALLY ON 06TH APR TILL MATURITY
Put: NACall: NA
SEMI ANNUALLY EVERY YEAR ON 26TH SEPTEMBER AND 26TH MARCH TILL MATURITY
Put: NACall: NA
SEMI ANNUALLY ON 25TH SEPTEMBER & 25TH MARCH TILL MATURITY
Put: NACall: NA
ANNUALLY ON 06TH APR TILL MATURITY
Put: NACall: NA
Put: NACall: NA
MONTHLY ON 15 DAY OF EACH MONTH
Put: NACall:THE COMPANY MAY PREPAY THE PRINCIPAL AMOUNT OUTSTANDING AGAINST THE DEBENTURES MORATORIUM OF 1 YEAR
AND QUARTERLY THEREAFTER ON 03-JAN-19, 03-APR-19, 03-JUL-19
Put: NACall: NA
1-135
1-95
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
MORATORIUM OF 1 YEAR, THEREAFTER QUARTERLY ON 05-JAN-19, 05-APR-19, 05-JUL-19 AND 05-OCT-19
Put: NACall: NA
MORATORIUM OF 1 YEAR, THEREAFTER QUARTERLY ON 05-JAN-19, 05-APR-19, 05-JUL-19 AND 05-OCT-19
Put: NACall: NA
Semi annually on 30th September & 31st March & on maturity
Put: N.A.Call: N.A.
Semi annually on 30th September & 31st March & on maturity
Put: N.A.Call: N.A.
Semi-Annually on 1st February & 1st August
Put: N.A.Call: N.A.
Semi-Annually on 31st March & 30th September
Put: NACall: NA
Semi-Annually on 31st March & 30th September
Put: NACall: NA
SEMI-ANNUALLY ON 1ST JANUARY, 1ST JULY& ON MATURITY
Put: NACall:19/03/2019
ANNUALLY ON JULY1, OF EVERY YEAR AND ON MATURITY
Put: NACall: NA
SEMI ANNUALLY ON JANUARY 1 AND JULY 1 OF EVERY YEAR AND ON FINAL MATURITY
Put: NACall: NA
ANNUALLY ON JANUARY 01 OF EVERY YEAR AND ON FINAL MATURITY.
Put: NACall: NA
SEMI ANNUALLY ON JAN 01 AND JUL 01 OF EVERY YEAR AND ON FINAL MATURITY.
Put: NACall: NA
ANNUALLY ON JANUARY 01 OF EVERY YEAR AND ON FINAL MATURITY.
Put: NACall: NA
NA
1-2000
1-2000
1-2000
1-3000
1-2000
1-2000
01-2000
1-2000
1001-3000
1-2000
2001-4000
1-3000
ANNUALLY ON JANUARY 01 OF EVERY YEAR AND ON FINAL MATURITY
Put: NACall: NA
ANNUAL 24/11/15, 24/11/16 AND 24/11/17
Put: NACall: NA
ANNUAL 27-FEB-17 AND 25-JAN-18
Put: NACall: NA
ANNUAL 14-MAR-16, 13-MAR-17 AND 12-MAR-18
Put: NACall: NA
ANNUAL 06-JUN-16, 05-JUN-17 AND 04-JUN-18
Put: NACall: NA
ANNUAL 22-AUG-16, 21-AUG-17 AND 20-AUG-18
Put: NACall: NA
SEMI ANNUAL ON 29 MAR AND 29 SEP EVERY YEAR STARTING 29-MAR-16 TILL 29-SEP-18
Put: NACall: NA
ANNUAL 30/12/2016, 30/12/2017 & 30/12/2018
Put: NACall: NA
ANNUAL 28-JUN-17, 28-JUN-18 AND 28-JUN-19
Put: NACall: NA
SEMI ANNUAL ON 28 JAN AND 28 JUL STARTING 28-JAN-17 TILL 28-JUL-19
Put: NACall: NA
ANNUAL ON 14-OCT-17, 14-OCT-18 AND 14-OCT-19
Put: NACall: NA
ANNUAL - 30/12/2016, 30/12/2017, 30/12/2018 & 30/12/2019
Put: NACall: NA
SEMI ANNUAL ON - 10 AUG AND 10 DEB STARTING 10-AUG-17 TILL 10-FEB-20
Put: NACall: NA
1-2000
1-3000
1-3000
1-1200
1-2000
1-1000000
1/(1-17000)
1 to 1250
1-3448
NA
3449-3500
ANNUAL AND ON MATURITY i.e 24-MAR-18, 24-MAR-19 AND 24-MAR-20
Put: NACall: NA
ANNUAL 27-OCT-17, 27-OCT-18, 27-OCT-19 AND 27-APR-20
Put: NACall: NA
ANNUAL ON 29-JUN-18, 29-JUN-19 AND 29-JUN-20
Put: NACall: NA
ANNUAL AND ON MATURITY 31-MAY-18, 31-MAY-19, 31-MAY-20 AND 30-JUN-20
Put: NACall: NA
ANNUAL 16-JUL-18, 15-JUL-19, 14-JUL-20 AND 12-JAN-21
Put: NACall: NA
QUARTERLY ON 30TH JUNE, 30TH SEPTEMBER, 31ST DECEMBER, 31ST MARCH
Put: NACall: NA
1 TO 17605873, 1 TO 5031000, 1 TO 5000000, 1 TO 1024938, 1 TO 3764916
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC EVERY YEAR
Put: NACall: NA
ANNUAL ON e.g. 30-APR-18 AND 30-APR-19
Put:36 MONTHS FROM THE FIRST TRANCHE DEBENTURES ALLOTMENT DATE
Semi annually on 1st October & 1st April
Put:At par at the end of 7 years i.e. 31/03/2015
Call:At par at the end of 7 years i.e. 31/03/2015Semi annually on 1st October
& 1st AprilPut:At par at the end of 7 years i.e. 07/03/2016
Call:At par at the end of 7 years i.e. 07/03/2016Semi annually on 1st October
and 1st AprilPut:At par at the end of 12 Years i.e. 09/09/2018Call:At par at the end of 12 Years i.e. 09/09/2018
Semi annually on 1st Oct. & 1st April
Put:At par at the end of 12 years i.e. 15/02/2019Call:At par at the end of 12 years i.e. 15/02/2019
Tranche I Opt - II- 862 - 1728 Tranche II Opt - II- 459 - 1272
Semi annually on 1st October & 1st April
Put:At par at the end of 12 years i.e. 07/03/2021
Call:At par at the end of 12 years i.e. 07/03/2021
1-525
NA
NA
1-2
NA
NA
NA
NA
NA
NA
NA
NA
01/(01-1250)
ON 12-MAR-18 AND ON MATURITY i.e 12-SEP-18
Put: NACall:AT THE END OF 370 DAYS FROM THE DEEMED DATE OF ALLOTMENT
ANNUAL 15-SEP-17, 17-SEP-18, 10-SEP-19
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC
Put: NACall: NA
QUARTERLY ON 28 APR, 28 JUL, 28 OCT AND 28 JAN EVERY YEAR STARTING 28-APR-16
Put: NACall: NA
MONTHLY ON 28 OF EVERY MONTH STARTING 28-FEB-16 TILL 28-JAN-19
Put: NACall: NA
MONTHLY ON 19TH STARTING 19-JUL-17 TILL 19-JUN-20
Put: NACall:AFTER 19/06/2019
QUARTERLY 31ST MARCH, 30TH JUNE, 30TH SECP AND 31ST DEC EVERY YEAR STARTING FROM 30-
Put: NACall: NA
QUARTERLY 31ST MARCH, 30TH JUNE, 30TH SECP AND 31ST DEC EVERY YEAR STARTING FROM 30-
Put: NACall: NA
QUARTERLY ON 01 JAN, 01 APR, 01 JUL AND 01 OCT STARTING 01-JAN-17 TILL 01-JAN-19 AND ON 31-
Put: NACall: NA
QUARTERLY ON 01 JAN, 01 APR, 01 JUL AND 01 OCT STARTING 01-JAN-17 TILL 01-JUL-20 AND ON 30-SEP-
Put: NACall: NA
QUARTERLY ON 01 JAN, 01 APR, 01 JUL AND 01 OCT STARTING 01-JAN-17 TILL 01-JUL-21 AND ON 30-SEP-
Put: NACall: NA
QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR STARTING 30-JUN-17
Put:AT THE END OF 36 MONTHS FROM THE DATE OF ALLOTMENT OF DEBENTURES
1-15000
1-4000
1-1600
UNCD1/(001-81400)
UNCD1/(81401-125000)
31 MAR EVERY YEAR 01-2000
0001-8000
NA
001-1000
001-1500
001-1000
NA
NA
ANNUAL 18-MAR-16, 18-MAR-17 AND ON MATURITY i.e 18-MAR-18
Put: NACall: NA
MONTHLY ON 10TH STRTING 10-MAR-17
Put: NACall:THE COMPANY CAN EXCERCISE CALL OPTION ON ANY DATE AFTER THE EXPIRY OF A PERIOD OF 15 16TH DAY OF EVERY
MONTHPut: NACall: NA
ANNUAL 31ST MARCH EACH YEAR
Put:PUT OPTION IS EXERCISABLE BY SUBSCRIBER/ALLOTEE ON COMPLETION OF 1 YEAR
ANNAUL 31ST MARCH EVERY YEAR
Put:PUT OPTION IS EXERCISABLE BY SUBSCRIBER/ALLOTEE ON COMPLETION OF 1 YEAR Put:PUT OPTION MAY BE EXCERCISED ON 03/06/19 SUBSCRIBERS SHALL HAVE THE OPTION TO PUT TO
QUARTERY ON EVERY 31 MAR, 30 JUN, 30 SEP AND 31 DEC AND SO ON
Put: NACall: NA
SEMI ANNUAL ON 05 DEC AND 05 JUN STARTING 05-DEC-17 TILL 05-DEC-18 AND ON 31-MAY-19
Put: NACall:ANY TIME AFTER THE END OF 3 MONTHS FROM DEEMED DATE OF ALLOTMENTANNUAL 25-SEP-16, 25-
SEP-17 AND 25-SEP-18Put: NACall: NA
ANNUAL AND ON MATURITY i.e 26-OCT-16, 26-OCT-17 AND ON MATURITY
Put: NACall: NA
ANNUAL ON 20-FEB-18, 20-FEB-19 AND ON MATURITY i.e 20-FEB-20
Put: NACall: NA
ANNUALLY ON 30TH DECEMBER & ON MATURITY
Put: NACall: NA
ANNUALLY ON 06TH FEBRUARY & ON MATURITY
Put:AT THE END OF 5TH YEAR FROM THE DATE OF ALLOTMEMTCall:AT THE END OF 5TH YEAR FROM THE DATE OF ALLOTMEMT
NA
NA
1-10000
1-10000
01349839-01502738
NA
NA
NA
NA
NA
NA
NA
0000001-1200000
ANNUALLY ON 27TH MARCH
Put:AT THE END OF 5TH YEAR FROM THE DATE OF ALLOTMENTCall:AT THE END OF 5TH YEAR FROM THE DATE OF ALLOTMENT
PAYABLE ANNUALLY ON APRIL 26TH EVERY YEAR & ON REDEMPTION
Put: NACall: NA
ON REDEMPTION i.e 08-APR-20
Put: NACall:ANY TIME AFTER 18 MONTHS FROM THE ALLOTMENT DATE
ON REDEMPTION i.e 08-APR-20
Put: NACall:ANY TIME AFTER 18 MONTHS FROM THE ALLOTMENT DATE
SEMI ANNUALY ON 14TH APRIL & 14TH OCTOBER EVERY YR STARTING FROM 14.4.14 TILL
Put: NACall:AS PER FRP SCHEME OF UP STATE DISTRIBUTION COMPANIES QUARTERLY ON 15 MAY, 16
AUG, 15 NOV, 15 FEB STARTING FROM 15-MAY-17
Put: NACall: NA
QUARTERLY ON 15 MAY, 16 AUG, 15 NOV, 15 FEB STARTING FROM 15-MAY-17
Put: NACall: NA
QUARTERLY ON 15 MAY, 16 AUG, 15 NOV, 15 FEB STARTING FROM 15-MAY-17
Put: NACall: NA
QUARTERLY ON 15 MAY, 16 AUG, 15 NOV, 15 FEB STARTING FROM 15-MAY-17
Put: NACall: NA
QUARTERLY ON 15 MAY, 16 AUG, 15 NOV, 15 FEB STARTING FROM 15-MAY-17
Put: NACall: NA
QUARTERLY ON 15 MAY, 16 AUG, 15 NOV, 15 FEB STARTING FROM 15-MAY-17
Put: NACall: NA
QUARTERLY ON 15 MAY, 16 AUG, 15 NOV, 15 FEB STARTING FROM 15-MAY-17
Put: NACall: NA
SEMI ANNUALY ON 04 JAN AND 04 JUL EVERY YEAR SATRTING 04-JAN-17 TILL 04-JUL-31
Put: NACall: NA
0000001-600000
NA
Annually on 22nd December NA
Annually on 8th March NA
1 to 3000
NA
NA
NA
1 to 1500
30TH JUNE EVERY YEAR 1/ (1-10000)
30TH JUNE EVERY YEAR 2 / (10001-3620000)
30TH JUNE EVERY YEAR 3 / (3620001-38770000)
30TH JUNE EVERY YEAR 5 / (60860001-108780000)
SEMI ANNUAL ON 28 MAR AND 28 SEP STARTING 28-MAR-17 TILL28-MAR-31 AND ON 26-SEP-31
Put: NACall: NA
Semi annually on 31st March & 30th September
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Semi Annually March 22 and September 22
Put: N.A.Call:On 22nd March 2016 (at the end of ten years from the date of allotment)
Semi annually on 22nd June & 22nd December
Put: N.A.Call:At the end of 10th year from date of allotement i.e.on 22/12/2017.(with the approval of RBI)ANNUALLY ON
DECEMBER 28 EACH YEAR TILL MATURITY
Put: NACall: NA
Semi annually on 25th march & 25th September
Put: N.A.Call:At par on 25/03/2020.(subject to prior approval of RBI)
Semi annually , 31st March and 30th September
Put: N.A.Call:At the end of 10th year from deemed date of allotement. i.e. 31.03.2015, Subject to prior approval from Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
30TH JUNE EVERY YEAR
1-1750
1-2250
1-400
1-600
NA
1-1000
1-11990000
1-2000
1-2000
1-1750
1-3000
1-2500
Put: NACall: NA
6 / (108780001-119402000) & 7 / (119402001-119660000)
ANNUAL ON 07-OCT-17 AND 07-OCT-18
Put: NACall: NA
ANNUAL ON 16-MAY-17, 16-NOV-17, 16-MAY-18 AND 16-NOV-18
Put: NACall: NA
SEMI ANNUAL 26-JUN-15, 26-DEC-15, 26-JUN-16, 26-DEC-16, 26-JUN-17 AND 26-DEC-17
Put: NACall: NA
SEMI ANNUAL ON 28 MAY AND 28 NOV EVERY YEAR STARTING 28/05/14 TILL 28/05/19
Put: NACall: NA
ANNUALLY 30TH JULY EVERY YEAR TILL MATURITY
Put:30/07/2016Call:30/07/2016
ANNUAL ON 05 AUG STARTING 05-AUG-16 TILL 05-AUG-21
Put:05/08/2018Call:05/08/2018
ANNUAL FOR e.g. 31-MAR-16, 31-MAR-17 AND SO ON
Put: NACall: NA
ANNUAL 21-APR-16, 21-APR-17 AND 09-APR-18
Put: NACall: NA
ANNUAL 08-DEC-16, 08-DEC-17, 08-DEC-18 AND 18-DEC-18
Put: NACall: NA
ANNUAL 08-AUG-17, 08-AUG-18 AND 08-AUG-19
Put: NACall: NA
ANNUAL 27-JUL-17, 27-JUL-18 AND 13-AUG-19
Put: NACall: NA
ANNUAL 08-AUG-17, 08-AUG-18, 08-AUG-19, 10-AUG-20 AND 06-AUG-21
Put: NACall: NA
1-3000
NA
1-2500
1-5000
1/(1-26470)
1/(1-1610)
1-4150
NA
1-450
ANNUAL ON 30TH JUNE 001-1620000
Annually on 12th December NA
NA
Annually on 23rd December NA
ANNUAL ON 18-OCT-17, 18-OCT-18, 18-OCT-19, 19-OCT-20, 18-OCT-21
Put: NACall: NA
ANNUAL ON 24-NOV-17, 26-NOV-28, 25-NOV-19, 24-NOV-20, 24-NOV-21
Put: NACall: NA
ANNUAL 27-NOV-17, 26-NOV-18, 25-NOV-19, 25-NOV-20, 25-NOV-21
Put: NACall: NA
ANNUAL 22-AUG-17, 22-AUG-18, 22-AUG-19, 24-AUG-20, 23-AUG-21, 22-AUG-22, 22-AUG-23, 22-
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-MAR-15
Put: NACall: NA
ANNUAL ON 31 MAR STARTING 31-MAR-18 TILL 31-MAR-26 AND ON 23-MAR-27
Put: NACall: NA
MONTHLY ON 30TH OR LAST DAY OF EVERY MONTH
Put: NACall: NA
QUARTERLY ON 31/05/15, 31/08/15, 30/11/15, 29/02/16, 31/05/16, 31/08/16, 30/11/16, 28/02/17, 31/05/17, 31/08/17,
Put: NACall: NA
QUARTERLY ON 30 NOV, 28 FEB, 31 MAY AND 31 AUG STARTING 30-NOV-17 ILL 28-FEB-19 AND
Put: NACall: NA
Put: NACall: NA
Put: N.A.Call: N.A.
Annually on 17th September Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 1st April NA
Annually on 16th October NA
NA
Annually on 25th June NA
Annually on 27th January NA
NA
NA
NA
NA
Annually on 10th October NA
Annually on 12th December NA
NA
Put: N.A.Call: N.A.
Put: N.A.Call:After 10 years from the date of allotment
ANNUALLY ON DECEMBER 28 TILL MATURITY
Put: NACall: NA
ANNUALLY ON 22ND NOV STARTING 22/11/14 TILL FINAL REDEMPTION
Put: NACall: NA
Put: N.A.Call:25/06/2019 (subject to prior approval from RBI )
Put: N.A.Call:May be exercised after the instruments has run for at least ten years i.e. January 27,2010 ; and call option shall be Annually on 1st April
including the year of maturity i.e.2025,in case call option is not exercised.At the time of
Put: N.A.Call:At par on 28/06/2020 (subject to prior approval from RBI)
ANNUAL ON 29 AMR EVERY YEAR TILL REDEMPTION
Put: NACall:29/03/2021
ANNUAL ON 22 AUG EVERY YEAR TILL REDEMPTION
Put: NACall:22/08/2021
ANNUAL ON 24 NOV EVERY YEAR TILL REDEMPTION
Put: NACall: NA
Put: N.A.Call:After 10 Years i.e.10/10/2016 and on every interest payment date thereafter with RBI approval.Put: N.A.Call:After 10 Years i.e.12/12/2017 and on every interest payment date thereafter with RBI approval.Annually on 09th September Put: N.A.Call:At the end of 10 Years i.e.09/09/2018 and on every interest payment date thereafter with RBI approval.
Annually on 30th March NA
Annually on 16th June NA
ANNUAL ON 15 SEP NA
NA
1-1260
01/(01-4640)
02/(3676-4372)
1-3800
01/(01-3900)
02/(3901-7005)
03/(7006-8580)
Annually on 25th March NA
ANNUALLY ON 1ST APRIL NA
Put: N.A.Call:30/03/2019 & every year thereafter on each anniversary date (subject to prior approval from RBI )Put: N.A.Call:16/06/2019 & every year thereafter on each anniversary date (subject to prior approval from RBI )Put: NACall:15/09/2026
ANNUAL ON 03 MAY EVERY YEAR
Put: NACall:03/05/2022 AND THEREAFTER EVERY YEAR ON COUPON PAYMENT DATE TILL EXCERCISE OF QUARTERLY ON 31 DEC, 31
MAR, 30 JUN AND 30 SEP EVERY YEAR STARTING 31-DEC-15 TILL 31-MAR-19
Put: NACall: NA
INTEREST IS ACCRUED ON 31 MAR EVERY YEAR SUBJECT TO THE TERMS AND CONDITIONS OF THE
Put: NACall: NA
INTEREST IS ACCRUED ON 31 MAR EVERY YEAR SUBJECT TO THE TERMS AND CONDITIONS OF THE
Put: NACall: NA
MONTHLY ON 30TH OR ON LAST DAY OF EVERY MONTH
Put: NACall: NA
INTEREST IS ACCRUED ON 31 MAR EVERY YEAR SUBJECT TO THE TERMS AND CONDITIONS OF THE
Put: NACall: NA
INTEREST IS ACCRUED ON 31 MAR EVERY YEAR SUBJECT TO THE TERMS AND CONDITIONS OF THE
Put: NACall: NA
INTEREST IS ACCRUED ON 31 MAR EVERY YEAR SUBJECT TO THE TERMS AND CONDITIONS OF THE
Put: NACall: NA
Put: N.A.Call: N.A.
Put: NACall: NA
1 / (1-5000)
NA
N.A.
1 / (1 - 3000)
1-1500
Annually on 5th October 1 to 750
1-1500
Annually on 5th October 1 TO 750
1 TO 750
1-1500
1 TO 750
1 to 2500
ANNUALLY ON 25TH JUNE EACH YEAR TILL MATURITY OF BONDS
Put: NACall: NA
ANNUAL ON 23 AUG EVERY YEAR
Put: NACall:THE ISSUER CALL WHICH IS DISCRETIONARY MAY OR MAY NOT BE EXCERCISED ON THE FIFTH ANNUAL 27TH SEP EVERY
YEARPut: NACall:THE ISSUER CALL, WHICH IS DISCRETIONARY MAY OR MAY NOT BE EXERCISED ON THE 5TH ANNUALLY ON 5TH
DECEMBER EACH YEAR TILL MATURITY OF BONDS
Put: NACall:AFTER 10 YEARS WITH PRIOR APPROVAL OF RBI
ANNUALLY ON 29TH SEP EACH YEAR
Put: NACall:THE ISSUER CALL WHICH IS DISCRETIONARY MAY OR MAY NOT BE EXCERCISED ON THE FIFTH Put: N.A.Call: N.A.
ON THE FULLY PAID UP AMOUNT, ON 8TH JUNE 2013 INTEREST WILL BE PAID FOR THE PERIOD
Put: NACall: NA
Put: N.A.Call: N.A.
Annually on 5th October Put: N.A.Call: N.A.
ON THE FULLY PAID UP AMOUNT, ON 8TH JUNE 2013 INTEREST WILL BE PAID FOR THE PERIOD
Put: NACall: NA
Annually on 5th October Put: N.A.Call: N.A.
Annually & on Maturity/exercise of call option
Put: NACall:at the end of 10th yr from the deemed date of allotment i.e. 06/07/2021. the Record Date for the Call option will be SEMI ANNUAL ON 31ST
MAR AND 30TH SEP EVERY YEAR
Put:30/09/2020Call:30/09/2020
UST/NCD/001-UST/NCD/5032
NA 1-500
NA 1-2000
NA 1-1500
NA 1-2000
NA 1-2500
NA 1-800
1-9600000
1-9600000
ON MATURITY 19.-APR-37 01-23390000
1-9600000
SEMI ANNUAL ON 31ST MAR AND 30TH SEP EVERY YEAR
Put:30/09/2021Call:30/09/2021
UST/NCD/5033-UST/NCD/10065
Put: NACall:YES, ANY DATE AFTER THE ELAPSE OF THIRTY SIX MONTHS AND ONE DAY FROM THE DEEMED DATE Put: NACall:YES, ANY DATE AFTER THE ALLOTMENT, IF PERMISSIBLE BY LAWPut: NACall:YES, ANY DATE AFTER THE ELAPSE OF THIRTY SIX MONTHS AND ONE DAY FROM THE DEEMED DATE Put: NACall:YES, ANY DATE AFTER THE ALLOTMENT, IF PERMISSIBLE BY LAWPut: NACall:YES, ANY DATE AFTER THE ALLOTMENT, IF PERMISSIBLE BY LAWPut:ANY TIME AFTER 14 OCT 17 UNTIL MATURITY DATE i.e 14/06/21Call:ANY TIME AFTER 14 OCT 17 UNTIL MATURITY DATE i.e 14/06/21
ON MATURITY i.e 11-SEP-36
Put:THE DEBENTURES SHALL BE COMPULSORILY CONVERTED AFTER COMPLETION OF 20 YEARS
ON MATURITY i.e 19-APR-37
Put:THE DEBENTURES SHALL BE COMPULSORILY CONVERTED AFTER COMPLETION OF 20 YEARS
IN200094LINK INTIME INDIA PRIVATE LIMITED
ON MATURITY i.e 11-SEP-36
Put:THE DEBENTURES SHALL BE COMPULSORILY CONVERTED AFTER COMPLETION OF 20 YEARS Put:THE DEBENTURES SHALL BE COMPULSORILY CONVERTED AFTER COMPLETION OF 20 YEARS
ON MATURITY i.e 11-SEP-36
Put:THE DEBENTURES SHALL BE COMPULSORILY CONVERTED AFTER COMPLETION OF 20 YEARS
ON MATURITY i.e 19-APR-37
Put:THE DEBENTURES SHALL BE COMPULSORILY CONVERTED AFTER COMPLETION OF 20 YEARS
IN200094LINK INTIME INDIA PRIVATE LIMITED
1-9600000
001-24000000
ON MATURITY i.e 04-JUL-37 001-3875000
1-50325
Annually on 06th February 1 to 1000
1-800
1-400
1-375
1-500
1-600
1-1500
1-1350
461-758
ON MATURITY i.e 11-SEP-36
Put:THE DEBENTURES SHALL BE COMPULSORILY CONVERTED AFTER COMPLETION OF 20 YEARS
ON MATURITY i.e 19-APR-37
Put:THE DEBENTURES SHALL BE COMPULSORILY CONVERTED AFTER COMPLETION OF 20 YEARS Put:THE DEBENTURES SHALL BE COMPULSORILY CONVERTED AFTER COMPLETION OF 20 YEARS
SEMI ANNUAL ON 10 APR AND 10 OCT
Put:ON THE COMPANY REDEMPTION DATE, THE COMPANY MAY, REDEEM ALL THE DEBENTURES Put: N.A.Call:At the end of 10th year from the deemed date of allotment
MONTHLY 30-JAN-17, 28-FEB-17, 30-MAR-17, 28-APR-17, 29-MAY-17, 28-JUN-17, 31-JUL-17, 30-AUG-
Put: NACall: NA
ANNUAL ON 15-DEC-17, 17-DEC-18 AND 13-DEC-19
Put: NACall: NA
QUARTERLY 28TH MARCH, 28TH JUNE, 28TH SEP AND 28TH DEC EVERY YEAR STARTING FROM 28-MAR-
Put: NACall: NA
QUARTERLY ON 16 APR, 16 JUL, 16 OCT AND 16 JAN STARTING 16-APR-17 TILL 16-JAN-20
Put: NACall: NA
SEMI ANNUAL ON 29 JUN AND 29 DEC STARTING 29-JUN-17 TILL 29-DEC-21
Put:29/12/2019Call:29/12/2019
QUARTERLY ON 30 MAR, 30 JUN, 30 SEP AND 30 DEC STARTING 30-MAR-17 TILL 30-JUN-22
Put: NACall: NA
SEMI ANNUAL ON 12 JUL AND 12 JAN STARTING 12-JUL-17 TILL 12-JAN-26
Put: NACall: NA
SEMIANNUALLY ON 13TH MAY AND 13TH NOVEMBER EVERY YEAR STARTING FROM
Put: NACall: NA
1-7711
1-392
1-500
1-750
1-660
NA
1-2000
1-2000
NA 1/(1-626850)
NA 1/(1-4610981)
1-397500
1-7000
1-2500
SIX MONTHLY ON 13TH NOV AND 13TH MAY EVERY YEAR STARTING FROM 13-NOV-15 TILL 13-MAY-19
Put: NACall: NA
SEMI ANNUAL ON 20TH MAR AND 20TH SEPT STARTING 20/03/15 TILL 20/03/20 AND ON 17/09/20
Put:17/09/2017Call:17/09/2017
SEMI ANNUAL ON 26 AUG AND 26 FEB EVERY YEAR STARTING 26-AUG-16 TILL 26-FEB-21
Put:26/02/2019Call:26/02/2019
MONTHLY ON LAST DAY OF EVERY MONTH STARTING FROM 31-MAR-16 TILL 28-FEB-21 AND ON 17-MAR-21
Put:30/04/2017 & 17/03/2019Call:17/03/2019
SEMI ANNUAL ON 27 MAY AND 27 NOV EVERY YEAR STARTING 27-MAY-16 TILL 27-NOV-21
Put:27/11/2018Call:27/11/2018
SEMI ANNUALLY ON 22ND OF MAY AND NOV EVERY YEAR FROM DATE OF ALLOTMENT TILL
Put: NACall: NA
QUARTERLY 31-MAR-16, 30-JUN-16, 30-SEP-16, 31-DEC-16, 31-MAR-17, 30-JUN-17, 30-SEP-17, 31-
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC STARTING 31-MAR-17 TILL 31-DEC-23 AND ON
Put:THE PARTY CAN BE EXCERCISE THE PUT OPTION ON THE COUPON RESET DATE UPON Put: NACall: NA
Put: NACall: NA
ANNUAL ON 30 SEP AND ON MATURITY i.e 30-JUN-21
Put: NACall: NA
QUARTERLY ON 01 NOV, 01 FEB, 01 MAY AND 01 AUG STARTING 01-NOV-15 TILL 01-AUG-18 AND 12-
Put: NACall: NA
QUARTERLY 1ST NOV, 1ST FEB, 1ST MAY AND 1ST AUG STARTING FROM 01-NOV-15 TILL 01-FEB-19
Put: NACall: NA
001-070
071-160
NA
NA 01-09/(01-50229290)
1-5000
ANNUAL ON 08 SEP NA
ANNUAL ON 08 SEP NA
ANNUAL ON 08 SEP NA
NA
001/(1-800)
1-2/(1-3000)
001 - 250
27 TH OF EVERY MONTH 251 - 500
QUARTERLY ON 31 MAY, 31 AUG, 30 NOV AND 28 FEB STARTING 31-MAY-16 TILL 31-AUG-19
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-MAR-17 TILL 31-AUG-20 AND ON 03-SEP-20
Put: NACall: NA
Put: NACall: NA
1/(1-6555000), 2/(6555001-25210000), 3/(25210001-31765000), 4/(31765001-50420000)
Put: NACall: NA
QUARTERLY 30TH SEPT, 30TH DEC, 31ST MAR AND 30TH JUNE EVERY YEAR
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
MONTHLY ON 30TH OF EVERY MONTH
Put: NACall:AT THE OPTION OF THE ISSUER
ANNUAL ON 28-FEB-18, 28-FEB-19 AND 28-FEB-20
Put: NACall: NA
MONTHLY STARTING 31-MAR-17 TILL 30-JUN-22
Put:1ST PUT OPTION IN JUNE 2018 AND EVERY ANNUAL INTERVAL THEREON WITH A NOTICE
MONTHLY 14/01/13, 14/02/13,14/03/13,14/04/13,14/05/13,14/06/13,14/07/13 THEN 14TH OF EVERY
Put: NACall: NA
Put: NACall: NA
23RD OF EVERY MONTH 501-750
1-700
NA NA
NA
NA
NA
NA
NA
NA
NA
1-20000000
D00001-D10200
D00001-D10200
Put: NACall: NA
MONTHLY ON LAST DATE OF EVERY MONTH STARTING 30-SEP-17 TILL 28-FEB-21
Put: NACall: NA
Put: NACall:ON SALE OF SECURITIES AFTER 15.10.16
MONTHLY ON 02 STARTING 02-SEP-17
Put: NACall: NA
QUARTERLY STARTING 31-MAR-16 TILL 28-FEB-22
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-JAN-17
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-JAN-17
Put: NACall: NA
QUARTERLY ON 11 FEB, 11 MAY, 11 AUG AND 11 NOV EVERY YEAR STARTING 11-AUG-15 TILL 11-MAY-18
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-JAN-17 TILL 31-DEC-22
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-JAN-17 TILL 31-DEC-22
Put: NACall: NA
ANNUAL 31ST OCT EVERY YEAR STARTING FROM 31-OCT-18 TILL 31-OCT-36 AND ON 24-JAN-37
Put: NACall:AT ANY TIME AFTER 3 YEARS FROM THE DATE OF ISSUANCE OF TEH SERIES i.e. 27/01/20SEMI ANNUAL AT THE END
OF SEPTEMBER AND MARCH EACH YEAR
Put: NACall: NA
SEMI ANNUAL AT THE END OF SEPTEMBER AND MARCH EACH YEAR
Put: NACall: NA
1-164
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
HALF YEARLY 30TH SEP AND 31ST MAR EVERY YEAR STARTING FROM 30-SEP-17 TILL 31-MAR-37
Put: NACall: NA
QUARTERLY ON 06 JUL, 06 OCT, 06 JAN AND 06 APR STARTING 06-JUL-17 TILL 06-OCT-19
Put: NACall: NA
ANNUAL 31-MAY-18 AND ON MATURITY i.e. 31-MAY-19
Put: NACall: NA
ON MATURITY i.e 27-SEP-19
Put: NACall: NA
ANNUAL 27-OCT-17, 29-OCT-18 AND 28-OCT-19
Put: NACall: NA
ANNUAL ON 30-NOV-17, 30-NOV-18 AND 29-NOV-19
Put: NACall: NA
ON MATURITY i.e 20-APR-16
Put: NACall: NA
ANNUAL ON 22-NOV-17, 22-NOV-18, 22-NOV-19 AND 22-APR-20
Put:22/11/2019Call:22/11/2019
ANNUAL 17 AUG STARTING 17-AUG-16 TILL 17-AUG-20
Put: NACall: NA
ON MATURITY i.e 15-APR-21
Put: NACall: NA
ON MATURITY i.e 15-SEP-21
Put: NACall: NA
MONTHLY ON 10 STARTING 10-SEP-16 AND ON MATURITY i.e 31-MAY-20
Put:(i) IN THE EVENT A PUT OPTION IS EXCERCISED BY THE HOLDERS OF THE SENIOR NCD AND / OR
MONTHLY ON 10 STARTING 10-SEP-16 AND ON MATURITY i.e 31-MAY-20
Put:(i) IN THE EVENT A PUT OPTION IS EXCERCISED BY THE HOLDERS OF THE SENIOR NCD AND / OR
NA
NA
NA
NA
NA
NA
NA
1-4010000
1-4030000
1-4000000
1-4010000
1-4000000
5501-6151
MONTHLY ON 10 STARTING 10-SEP-16 AND ON MATURITY i.e 31-MAY-20
Put:(i) IN THE EVENT A PUT OPTION IS EXCERCISED BY THE HOLDERS OF THE SENIOR NCD AND / OR
I) FIRST COUPON PERIOD SHALL BE A PERIOD STARTING FROM ALLOTMENT DATE & ENDING ON 10TH CALENDAR
Put:(i) IN THE EVENT THE CALL OPTION NOTICE IS NOT ISSUED BY THE COMPANY AT LEAST 90 (NINETY) CALENDAR DAYS PRIOR TO I) FIRST COUPON PERIOD
SHALL BE A PERIOD STARTING FROM ALLOTMENT DATE & ENDING ON 10TH CALENDAR
Put:(i) IN THE EVENT THE CALL OPTION NOTICE IS NOT ISSUED BY THE COMPANY AT LEAST 90 (NINETY) CALENDAR DAYS PRIOR TO I) FIRST COUPON PERIOD
SHALL BE A PERIOD STARTING FROM ALLOTMENT DATE & ENDING ON 10TH CALENDAR
Put:(i) IN THE EVENT THE CALL OPTION NOTICE IS NOT ISSUED BY THE COMPANY AT LEAST 90 (NINETY) CALENDAR DAYS PRIOR TO I) FIRST COUPON PERIOD
SHALL BE A PERIOD STARTING FROM ALLOTMENT DATE & ENDING ON 10TH CALENDAR
Put:(i) IN THE EVENT THE CALL OPTION NOTICE IS NOT ISSUED BY THE COMPANY AT LEAST 90 (NINETY) CALENDAR DAYS PRIOR TO I) FIRST COUPON PERIOD
SHALL BE A PERIOD STARTING FROM ALLOTMENT DATE &
Put:(i) IN THE EVENT THE CALL OPTION NOTICE IS NOT ISSUED BY THE COMPANY AT LEAST 90
I) FIRST COUPON PERIOD SHALL BE A PERIOD STARTING FROM ALLOTMENT DATE &
Put:(i) IN THE EVENT THE CALL OPTION NOTICE IS NOT ISSUED BY THE COMPANY AT LEAST 90
ON MATURITY i.e 29-SEP-36
Put:THE DEBENTURES SHALL BE COMPULSORILY CONVERTED AFTER COMPLETION OF 20 YEARS
ON MATURITY i.e 27-SEP-36
Put:THE DEBENTURES SHALL BE COMPULSORILY CONVERTED AFTER COMPLETION OF 20 YEARS
ON MATURITY i.e 27-SEP-36
Put:THE DEBENTURES SHALL BE COMPULSORILY CONVERTED AFTER COMPLETION OF 20 YEARS
ON MATURITY i.e 23-OCT-36
Put:THE DEBENTURES SHALL BE COMPULSORILY CONVERTED AFTER COMPLETION OF 20 YEARS
ON MATURITY i.e 27-SEP-36
Put:THE DEBENTURES SHALL BE COMPULSORILY CONVERTED AFTER COMPLETION OF 20 YEARS
ON MATURITY i.e 30-MAR-21
Put:YES, ON COMPLETITION OF 3 YEARS AND QUARTERLY THEREAFTER ON 31
NA
001-550
0001-2050
00001-40000
1-60000
NA
NA
1-400
00001 to 02000
Annually on 31st March 00001 to 02000
Annually on 31st March 00001 to 03000
1-2500
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC STARTING 31-MAR-16 TILL 31-MAR-19
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEPT AND 31 DEC EVERY YEAR (SUBJECT TO
Put: NACall: NA
QUARTERLY ON 31-JUL-15, 31-OCT-15, 31-JAN-16, 30-APR-16, 31-JUL-16 THEREAFTER ON LAST
Put: NACall: NA
QUARTERLY ON LAST DAY OF EACH QUARTER. FIRST INTEREST PAYMENT DATE 31-MAR-
Put: NACall: NA
LAST WORKING DAY OF EVERY MONTH STARTING FROM 31-AUG-17
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC STARTING 31-MAR-16 TILL 31-MAR-19
Put: NACall: NA
HALF YEAR LY ON 31 MAR AND 30 SEP EVERY YEAR
Put: NACall:SUBJECT TO APPLICABLE LAW THE COMPANY SHALL HAVE THE RIGHT TO REDEEM THE HALF YEAR LY ON 15 MAR
AND 15 SEP EVERY YEARPut: NACall:SUBJECT TO APPLICABLE LAW THE COMPANY SHALL HAVE THE RIGHT TO REDEEM THE QUARTERLY 30TH JUN,
30TH SEP, 31ST DEC AND 31ST MAR EVERY YEAR
Put: NACall:16.01.19-10% ,16.04.19-10% , 16.07.19 -10%, 16.10.19- 10%, 16.01.20 -10%, Annually on 31st March Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call:At the end of 10th year from the deemed date of allotment i.e.17/03/2018
ANNUAL ON 31ST MAR EVERY YEAR
Put: NACall: NA
1-5000
1-5000
1-4500
1-1000
1001-5000
1-5000
1-3250
1/(1-300)
1-72250
001-199930720
001-300000000
1-500
00001-12000
ANNUAL ON 31ST MAR EVERY YEAR
Put: NACall: NA
ANNUAL ON 31ST MAR EVERY YEAR
Put: NACall: NA
ANNUAL ON 31ST MAR EVERY YEAR
Put: NACall: NA
ANNUAL ON 31ST MAR EVERY YEAR
Put: NACall:EXCERCISE OF CALL OPTION BY THE BANK WILL BE SUBJECT TO ALL OF THE BELOW ANNUAL ON 31ST MAR
EVERY YEARPut: NACall:EXCERCISE OF CALL OPTION BY THE BANK WILL BE SUBJECT TO ALL OF THE BELOW ANNUAL ON 31 MAR EVERY
YEARPut: NACall:1. THE ISSUER MAY AT ITS SOLE DISCRETION HAVING NOTIFIED THE TRUSTEE NOT LESS THAN ANNUAL ON 31 MAR EVERY
YEARPut: NACall:1. THE ISSUER MAY AT ITS SOLE DISCRETION HAVING NOTIFIED THE TRUSTEE NOT LESS THAN QUARTERLY ON 01 JAN, 01
APR, 01 JUL, AND 01 OCT EVERY YEAR STARTING 01-JAN-16 TILL 01-OCT-18
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC STARTING 31-MAR-17
Put: NACall:ANYTIME AFTER 24.08.18
QUARTERLY ON 31 AUG, 30 NOV, 28 FEB AND 31 MAY STARTING 31-AUG-16 TILL 12-AUG-18
Put: NACall: NA
QUARTERLY ON 01 APR 01 JUL, 01 OCT AND 01 JAN STARTING 01-APR-17 TILL 01-JUL-18 AND ON 12-AUG-
Put: NACall: NA
ANNUAL ON 14-FEB-18, 14-FEB-19, 14-FEB-20, 13-FEB-21, 15-FEB-22
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC EVERY YEAR
Put: NACall: NA
NA 001/(0001-1500)
NA
1-204
01-1200
1-120
NA
DC 1- DC 250
IPRU 001- IPRU 749995
001-400
DC 1- DC 250
DC 1- DC 250
DC-1 TO DC-4000
1/(1-1960355)
Put: NACall: NA
ANNUAL 01 MAR STARTING 01-MAR-17 TILL 01-MAR-23
Put: NACall:THE ISSUER SHALL HAVE THE RIGHT BUT NOT THE OBLIGATION TO REDEEM ALL OR PART OF SEMI ANNUAL ON 17-JUL-
17, 15-JAN-18, 16-JUL-18, 15-JAN-19, 15-JUL-19, 03-FEB-20
Put: NACall: NA
IF PUT/CALL OPTION NOT EXERCISED THEN QUARTERLY ON 04 OCT, 04 JAN, 04 APR AND 04 JUL
Put:24 MONTHS FROM THE DATE OF ALLOTMENT 04/07/19Call:24 MONTHS FROM THE DATE OF ALLOTMENT 04/07/19
QUARTERLY ON 30 MAR, 29 JUN, 29 SEP AND 30 DEC
Put: NACall: NA
THE INTEREST SHALL BE CALCULATED ON THE BASIS OF 365 DAYS AND SAHLL BE PAYABLE,
Put: NACall: NA
QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR STARTING 31-MAR-17 TILL 30-MAR-18
Put: NACall: NA
QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR STARTING 30-JUN-16 TILL 31-MAR-18 AND ON 17-
Put: NACall: NA
QUARTERLY ON 30 JUN, 30 SEP, 31 DEC, 31 MAR STARTING 30-JUN-16 TILL 31-MAR-18 AND 27-JUN-18
Put: NACall: NA
QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR STARTING 31-MAR-17 TILL 31-DEC-18 AND ON 29-
Put: NACall: NA
QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR STARTING 31-DEC-17 TILL 31-MAR-20
Put: NACall: NA
QUARTERLY 31ST DEC, 31ST MARCH, 30TH JUNE AND 30TH SEPTEMBER EVERY YEAR STARTING
Put: NACall: NA
NO INTEREST WILL BE PAID AS CCDS SAHLL BE REDEEMED BEFORE THE EXPIRY OF MORATORIUM
Put:FROM 23/09/16 TO 21/09/18Call:FROM 23/09/16 TO 21/09/18
001-1200
1-3000
007/(2908-3107)
002/ (071-370)
007/(3108-3257)
004/(671-1057)
003/(371-670)
007/(2158-2907)
007/(3258-3407)
005/(1058-1478)
006/(1478-2157)
1-4050000
QUARTERLY ON 31 DEC, 31 MAR, 30 JUN AND 30 SEP STARTING 31-DEC-18 TILL 30-JUN-22
Put:PUT OPTION CAN BE EXCERCISED ON EXPIRY OF NO REDEMPTION PERIOD OF 36 MONTHS FROM THE
SEMI ANNUAL ON 30-SEP-16, 31-MAR-17, 30-SEP-17, 31-MAR-18
Put: NACall: NA
QUARTERLY ON 06 APR, 06 JUL, 06 OCT, 06 JAN STARTING 06-APR-17 TILL 06-APR-18
Put: NACall: NA
ON 10TH OF MARCH, JUNE, SEPTEMBER AND DECEMBER EVERY YEAR STARTING 10/12/13 TILL
Put: NACall: NA
QUARTERLY ON 06 APR, 06 JUL, 06 OCT AND 06 JAN STARTING 06-APR-17 TILL 06-OCT-18 AND ON 04-JAN-
Put: NACall: NA
SEMI ANNUALLY ON 13TH MAY AND 13TH NOV OF EACH YEAR STARTING FROM 13/05/2015
Put: NACall: NA
SEMI ANNUAL 29TH MAY AND 29TH NOV OF EACH YEAR STARTING FROM 29-MAY-17
Put: NACall: NA
QUARTERLY ON 28 FEB, 30 MAY, 30 AUG AND 30 NOV STARTING 28-FEB-17 TILL 30-AUG-19 AND ON 29-
Put: NACall: NA
QUARTERLY ON 06 APR, 06 JUL, 06 OCT AND 06 JAN STARTING 06-APR-17 TILL 06-JAN-20
Put: NACall: NA
SEMI ANNUAL ON 25 DEC AND 25 JUN EVERY YEAR STARTING 25 DEC 15
Put:25/06/2018Call:25/06/2018
SEMI ANNUAL ON 27 JAN AND 27 JUL STARTING 27-JAN-17
Put:27/07/2019Call:27/07/2019
ANNUAL ON 31 MAR EVERY EAR
Put: NACall: NA
ANNUAL ON 30 MAY STARTING 30-MAY-17 TILL 30-MAY-46
Put: NACall:27/01/2020
IN200035KARVY COMPUTERSHARE
NA
NA
01-15000
01-25000
01-35000
0001-4000
1-1500
0001-2000
0001-2000
0001-1000
1-1500
0001-0500
ANNUAL ON 30 MAY STARTING 30-MAY-17 TILL 30-MAY-46
Put: NACall:10/02/2020
IN200035KARVY COMPUTERSHARE
ANNUAL 22-DEC-17, 22-DEC-18 AND 23-DEC-19
Put: NACall: NA
ANNUAL 17 EVERY YEAR STARTING FROM 17-MAY-18, 17-MAY-19, 15-MAY-20 AND 30-SEP-20
Put: NACall: NA
ANNUAL ON 12-JUN STARTING 12-JUN-16 TILL 12-JUN-18 AND ON MATURITY i.e 10-JUL-18
Put: NACall: NA
ANNUAL ON 12-JUN STARTING 12-JUN-16 TILL 12-JUN-19 AND ON MATURITY i.e 10-JUL-19
Put: NACall: NA
ANNUAL ON 12-JUN STARTING 12-JUN-16 TILL 12-JUN-20 AND ON MATURITY i.e 10-JUL-20
Put: NACall: NA
ANNUAL & ON MATURITY 01/12/2015, 01/12/2016, 01/12/2017
Put: NACall: NA
ANNUAL 28/12/2016, 28/12/2017 & 28/06/2018
Put: NACall: NA
ANNUAL 30-MAY-16, 29-MAY-17, 29-MAY-18 AND 30-JUL-18
Put: NACall: NA
ANNUAL 20-SEP-17 AND 20-SEP-18
Put: NACall: NA
ANNUAL ON 10-OCT-17 AND 10-OCT-18
Put: NACall: NA
ANNUAL 28/12/2016, 28/12/2017 AND 28/12/2018
Put: NACall: NA
ANNUAL 12-JUN-18 AND 12-JUN-19
Put: NACall: NA
0001-2000
0001-2000
0001-1000
0001-3000
0001-2500
1-2200
1-75000
1-75000
NA NA
NA NA
NA NA
PE01-PE1350
P01-P2500
ANNUAL 20-SEP-17, 20-SEP-18 AND 20-SEP-19
Put: NACall: NA
ANNUAL 30-MAY-16, 29-MAY-17, 29-MAY-18, 29-MAY-19 AND 29-MAY-20
Put: NACall: NA
ANNUAL 12-JUN-18, 12-JUN-19, 12-JUN-20, 19-JUN-20
Put: NACall: NA
ANNUAL ON 11-JUL-18, 11-JUL-19 AND 13-JUL-20
Put: NACall: NA
ANNUAL AND ON MATURITY 11-SEP-18, 11-SEP-19, 11-SEP-20
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 30-NOV-15 TILL 31-JUL-18
Put: NACall: NA
SEMI ANNUAL ON 01 FEB AND 01 AUG EVERY YEAR STARTING 01-FEB-17
Put:ANY DATE AFTER EXPIRY OF 3 YEARS FROM THE DATE OF ISSUECall:ANY DATE AFTER EXPIRY OF 3 YEARS FROM THE DATE OF ISSUE
SEMI ANNUAL 01 FEB AND 01 AUG STARTING 01-FEB-17
Put:ANY DATE AFTER THE EXPIRY OF 3 YEARS FROM THE DATE OF ISSUECall:ANY DATE AFTER THE EXPIRY OF 3 YEARS FROM THE DATE OF ISSUEPut: NACall: NA
Put: NACall: NA
Put: NACall: NA
QUARTERLY ON 31ST MAR, 30TH JUN, 30TH SEPT AND 31ST DEC EVERY YEAR STARTING 30-JUN-15 TILL
Put: NACall: NA
QUARTERLY 30 JUN, 30 SEP, 31 DEC AND 31 MAR EVERY YEAR STARTING 30-JUN-15 TILL 31-MAR-19
Put: NACall: NA
DC 1- DC 440
R01-R19000000
DB01-DB9438600
1-5700
NA 000001-500000
1-1800000
N.A
Annually on 09th April NA
Annually on 9th September NA
00001 - 10200
0001-5100
NA 001/(0000001-37858877)
ANNUAL ON 31 MAR
MONTHLY STARTING FROM 31-MAR-17
Put: NACall: NA
QUARTERLY ON 31ST MAR, 30TH JUN, 30THE SEP AND 31ST DEC EVERY YEAR STARTING FROM
Put: NACall: NA
QUARTERLY ON 31ST MARCH, 30TH JUNE, 30TH SEPTEMBER AND 31ST DECEMBER EVERY YEAR
Put: NACall: NA
QUARTERLY 30TH SEP, 31ST MAR, 30TH JUN AND 31ST DEC EVERY YEAR STARTING FROM 30-SEP-17
Put: NACall: NA
Put: NACall: NA
ANNUAL ON 01-APR-17, 01-APR-18
Put: NACall: NA
Annually20th December, 2003 on diminishing balance method
Put/Call : At the end of 10th Year (ie after 20th December, 2012
Put: N.A.Call: N.A.
Put:At the end of the 7th year i.e. on 09/09/2017Call:At the end of the 7th year i.e. on 09/09/2017
ANNUAL ON 14 AUGUST EVERY YEAR
Put:AT THE END OF 7TH YEAR (14.08.2019)Call:AT THE END OF 7TH YEAR (14.08.2019)
ANNUAL ON 09TH MAY EVERY YEAR
Put:AT THE END OF 7TH YEAR (09/05/2020)Call:AT THE END OF 7TH YEAR (09/05/2020)Put: NACall:CAN BE CONVERTED ANY TME DURING THE CURRENCY PERIOD OF 10 YRS OF DEBENTURESPut: NACall: NA
D003/(D 31715001-D 114750000)
1-25
NA NA
ON MATURITY i.e 23-JAN-18 NA
0001-2200
0001-2200
1 - 900
1-5000
NA 1-500000
NA 500001-4800000
NA 4800001-10055000
FCCD-0001
NA 1-3
00001-12000
MONTHLY ON LAST DAY OF EVERY MONTH STARTING 30-APR-19
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUAL 30-MAR-17 AND 30-MAR-18
Put: NACall: NA
ANNUAL 30-MAR-17, 30-MAR-18, 01-APR-19 AND 30-MAY-19
Put: NACall: NA
QUARTERLY PAYABLE ON FEBRUARY 09, MAY 09, AUGUAT 09 AND NOVEMBER 09 AND SO ON
Put: NACall: NA
Quarterly on 3rd November,3rd February,3rd May & 3rd August.
Put:At the end of 7th year and 10th year from the date of allotment i.e.03/08/2017 and 03/08/2020Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
THE INTEREST SHALL BE PAID ATLEAST ON AN ANNUAL BASIS BY THE CO WITHIN 90 DAYS FROM THE
Put: NACall: NA
Put: NACall: NA
ANNUAL 30-JAN-18, 30-JAN-19, 30-JAN-20, 01-FEB-21 AND 31-JAN-22
Put: NACall: NA
FCCD-0001
NA NA
NA 75000001-85000000
NA
NA
NA
NA
NA
ANNUAL ON OR BEFORE 30 JUN i.e. WITHIN 90 DAYS FROM THE END OF FINANCIAL YEAR FOR THE
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Semi annually on 12th December & 12th June
Put:12/12/2017Call:12/12/2017
Semi annually on 25th March & 25th September
Put:25/03/2018Call:25/03/2018
Semi annually on 30th December & 30th June
Put:30/12/2018Call:30/12/2018
Semi annually on 3rd March & 3rd September
Put:03/03/2018Call:03/03/2018
Semi-Annually on 05th March & 05th September
Put:On or after 05/09/2019Call:On or after 05/09/2019
HALF YEARLY ON 27TH MARCH AND 27TH SEPTEMBER
Put:ON OR AFTER 27/03/2020Call:ON OR AFTER 27/03/2020
HALF YEARLY ON 2ND MAY AND 2ND NOVEMBER EVERY YEAR
Put:ON OR AFTER 02.05.2020Call:ON OR AFTER 02.05.2020
HALF YEARLY ON 21ST JUNE AND 21ST DECEMBER EVERY YEAR
Put:ON OR BEFORE 21/06/2020Call:ON OR BEFORE 21/06/2020
HALF YEARLY ON 31ST AUGUST AND 28TH FEBRUARY EVERY YEAR
Put:ON OR BEFORE 31.08.2020Call:ON OR BEFORE 31.08.2020
HALF YEARLY ON 30TH JANUARY AND 30TH JULY EVERY YEAR
Put:ON OR BEFORE 30.01.2021Call:ON OR BEFORE 30.01.2021
1-2310
1-9773
1-2506
0
1-10000
001-001
001-001
01-2500
01-2500
01 - 500
NA
NA
1;1 to 360
HALF YEARLY ON 24TH FEB AND 24TH AUG EVERY YEAR
Put:24/02/2022Call:24/02/2022
HALF YEARLY ON 8TH JAN AND 8TH JUL EVERY YEAR
Put:AFTER 8 YEARS i.e 08/07/22Call:08/07/2022
SEMI ANNUAL ON 05 MAY AND 05 NOV EVERY YEAR
Put:05/05/2024Call:AFTER 8 YEARS i.e 05/05/2024
Semi annually on 31st December & 30th June
Put:06/04/2017Call:06/04/2017
Semi annually on 31st December & 30th June
Put: N.A.Call: N.A.
Quarterly 1st April, 1st July , 1st October & 1st January
Put: N.A.Call: N.A.
Quarterly 1st April, 1st July , 1st October & 1st January
Put: N.A.Call: N.A.
Semi annually on 16th August and 16th Ferbruary
Put: N.A.Call: N.A.
Semi annually on 25th April & 25th October
Put: N.A.Call: N.A.
Semi-Annually on 04th August & 04th February
Put: NACall: NA
Semi Anually on 16th April & 16th October
Put: NACall: NA
Semi-Annually on 26th July & 26th January
Put: NACall: NA
Monthly on last day of every month
Put: N.A.Call: N.A.
1-5250
1-7900
1-976
NA
4-5
6-7
8-9
10-11
12-13
14-15
1-8000
NA
NA
MONTHLY ON LAST DAY OF EVERY MONT STARTING 31-DEC-14 TILL 31-JAN-23
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONT STARTING 31-DEC-14 TILL 31-AUG-23 AND ON 15-SEP-
Put: NACall: NA
MONTHLY ON LAST DAY OF EVERY MONT STARTING 31-DEC-14 TILL 31-AUG-23 AND ON 15-SEP-
Put: NACall: NA
MONTHLY 31/07/14, 31/08/14, ETC
Put: NACall: NA
MONTHLY 28/02/15, 31/03/15, ETC
Put: NACall: NA
MONTHLY 28-FEB-15, 31-MAR-15, 30-APR-15 AND SO ON
Put: NACall: NA
MONTHLY 31-MAY-15, 30-JUN-15, 30-JUL-15 AND SO ON
Put: NACall: NA
AT THE END OF EVERY MONTH 29-MAR-16, 28-APR-16, 30-MAY-16, 30-JUN-16, 28-JUL-16, 25-AUG-
Put: NACall: NA
AT THE END OF EVERY MONTH 29-MAR-16, 28-APR-16, 30-MAY-16, 30-JUN-16, 28-JUL-16, 25-AUG-
Put: NACall: NA
AT THE END OF EVERY MONTH 29-MAR-16, 28-APR-16, 30-MAY-16, 30-JUN-16, 28-JUL-16, 25-AUG-
Put: NACall: NA
QUARTERLY ON 30 SEP, 31 DEC, 31 MAR AND 30 JUN STARTING 30-SEP-17 TILL 31-MAR-19
Put: NACall: NA
ANNUAL ON 31 MAR STARTING 31-MAR-18
Put: NACall:SUBJECT TO APPLICABLE LAW, HOLDERS OF THE DEBENTURES SHALL HAVE MONTHLY ON LAST DAY OF
EVERY MONTHPut: NACall: NA
NA
NA
001-23700000
NA
NA
02/(1648-4547)
03/(4548-8047)
04/(8048-11047)
05/(11048-13847)
06/(13848-14247)
NA
4851-7298
MONTHLY LAST DAY OF EVERY MONTH
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP AND 31 DEC EVERY YEAR
Put: NACall:PREMATURE REDEMPTION SUBJECT TO THE ISSUES HAVING MET ALL THE RESTRICTED QUARTERLY ON 31 MAR,
30 JUN, 30 SEP AND 31 DEC EVERY YEAR
Put: NACall:PREMATURE REDEMPTION SUBJECT TO THE ISSUES HAVING MET ALL THE RESTRICTED A COUPON OF 13% WILL
ACCRUE ANNUALLY SUBJECT TO THE MORATORIUM PERIOD
Put: NACall: NA
AS AGREED BETWEEN THE NCD HOLDERS AND THE COMPANY SUBJECT TO AVAILABILITY OF DISTR
Put: NACall: NA
ANNUAL AND ON MATURITY i.e 30-NOV-18
Put: NACall: NA
01/(1-1647), 2/(1648-4547), 3/(4548-8047)
ANNUAL STARTING 31-MAR-17
Put: NACall: NA
ANNUAL STARTING 30-MAY-17
Put: NACall: NA
ANNUAL STARTING 13-JUL-17
Put: NACall: NA
ANNUAL STARTING 22-AUG-17
Put: NACall: NA
ANNUAL STARTING 08-DEC-17
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN 30 SEP AND 31 DEC STARTING 31-MAR-16 TILL 31-DEC-18 AND ON 18-
Put: NACall: NA
QUARTERLY ON LAST DATE OF EACH QUARTER ENDING JUNE, SEPTEMBER, DECEMBER AND MARCH
Put:QUARTERLY ON 31 JUL, 31 OCT, 31 JAN, 30 APR STARTING 31-JUL-17 TILL 31-OCT-19
7299-9003
9004-10203
NA
NA
01-42000000
107325179-112912678
NA
NA
NA
Annually on 25th July NA
NA
NA
QUARTERLY ON LAST DATE OF EACH QUARTER ENDING JUNE, SEPTEMBER, DECEMBER AND MARCH
Put:30/06/18, 31/12/18, 30/06/19, 31/12/19Call:30/06/18, 31/12/18, 30/06/19, 31/12/19
QUARTERLY ON LAST DATE OF EACH QUARTER ENDING JUNE, SEPTEMBER, DECEMBER AND MARCH
Put:31/08/18, 28/02/19, 31/08/19, 29/02/20Call:31/08/18, 28/02/19, 31/08/19, 29/02/20
ANNUAL ON 4TH AUG EVERY YEAR TILL MATURITY
Put: NACall: NA
ANNUAL ON 4TH AUG EVERY YEAR TILL MATURITY
Put: NACall: NA
ANNUAL ON 21 NOV STARTING 21-NOV-17 TILL 21-NOV-26
Put: NACall: NA
ANNUAL 15TH AUG EVERY YEAR STARTING FROM 15-AUG-18 TILL 15-AUG-27
Put: NACall: NA
Annually on 22nd January & on maturity
Put: N.A.Call: N.A.
Annually on 30th September Put: N.A.Call: N.A.
Annually on 30th September & on Maturity
Put: N.A.Call: N.A.
Put: NACall: NA
Annually on 28th October & on Maturity
Put: NACall: NA
ANNUALLY ON 28TH MARCH
Put: NACall: NA
Annually on 20th April Put: N.A.Call:Option exercisable on or after 10 years i.e.on or after 20/04/2017 with RBI approval
NA
NA
NA
NA
NA
Annually on 15th September NA
1-3300
0001-10000
0001-5542
0001-3150
NA
Annually on 8th September
0001-15000
ANNUALLY ON AUGUST 23 AND ON MATURITY
Put: NACall: NA
ANNUALLY ON SEPTEMBER 10 AND ON MATURITY
Put: NACall: NA
ANNUALLY ON OCTOBER 16 AND ON MATURITY
Put: NACall: NA
ANNUALLY ON OCTOBER 31 AND ON MATURITY
Put: NACall: NA
Annually on 08th November Put: N.A.Call:At the end of 10 years i.e.08/11/2017 with RBI approvalPut: N.A.Call:At the end of 10 years with RBI approval i.e. from 15/09/2018
ANNUAL ON 29 DEC STARTING 29-DEC-17 TILL 29-DEC-23
Put: NACall: NA
ANNUAL- 24-FEB-16, 24-FEB-17, 26-FEB-18, 25-FEB-19, 24-FEB-20, 24-FEB-21, 24-FEB-22, 24-FEB-23, 26-
Put: NACall: NA
ANNUAL- 29-JUN-16, 29-JUN-17, 29-JUN-18, 01-JUL-19, 29-JUN-20, 29-JUN-21, 29-JUN-22, 29-JUN-23, 01-JUL-24 AND 30-JUN-25
Put: NACall: NA
ANNUAL ON 05 AUG STARTING 05-AUG-16 TILL 05-AUG-25
Put: NACall: NA
Annually on 14th August Put: N.A.Call:At the end of 10 years from the date of allotment with prior RBI approval i.e. 14/08/2020Put: N.A.Call:can be exercised at the end of 10th year from the date of allotment with prior RBI approval i.e.08/09/2020ANNUAL 02-JAN-17, 01-
JAN-18, 31-DEC-18, 31-DEC-19, 31-DEC-20, 31-DEC-21, 02-JAN-23, 01-JAN-
Put: NACall: NA
0001-8000
0001-5000
NA
1-21350
ANNUALLY ON 29 JUNE NA
NA
1-25000
00001-15000
NA
NA
Annually on 21st February NA
Annually on March 9 N.A
Annually on 5th March NA
ANNUAL 16-JAN-17, 15-JAN-18, 15-JAN-19, 15-JAN-20, 15-JAN-21, 17-JAN-22, 16-JAN-23, 15-JAN-24, 15-JAN-
Put: NACall: NA
ANNUAL 20-JAN-17, 22-JAN-18, 21-JAN-19, 20-JAN-20, 20-JAN-21, 20-JAN-22, 20-JAN-23, 22-JAN-24, 20-JAN-
Put: NACall: NA
ANNUAL 31-MAR-17, 30-MAR-18, 01-APR-19, 31-MAR-20, 31-MAR-21, 31-MAR-22, 31-MAR-23, 01-
Put: NACall: NA
ANNUAL 03-OCT-17, 01-OCT-18, 30-SEP-19, 30-SEP-20, 30-SEP-21, 30-SEP-22, 03-OCT-23, 30-SEP-24,
Put: NACall: NA
Put: NACall:CALL OPTION EXERCISABLE AT THE END OF 10 YEARS FROM THE DATE OF ANNUALLY ON
SEPTEMBER 28 AND ON MATURITY
Put: NACall:EXCERCISABLE AT THE END OF 10 YEARS FROM THE DEEMED DATE OF ALLOTMENT. (ONLY ANNUAL ON 29 SEP
STARTING 29-SEP-18 TILL 29-SEP-27
Put: NACall: NA
ANNUAL ON 03-OCT-18, 03-OCT-19, 03-OCT-20, 03-OCT-21, 03-OCT-22, 03-OCT-23, 03-OCT-24, 03-
Put: NACall: NA
ANNUALLY ON NOVEMBER 10 2012 AND ON MATURITY
Put: NACall:EXCERCISABLE AT THE END OF 10 YEARS FROM THE DATE OF ALLOTMENT (ONLY WITH ANNUALLY ON
DECEMBER 27 AND ON MATURITY
Put: NACall:EXCERCISABLE AT THE END OF 10 YEARS FROM THE DATE OF ALLOTMENT Put: N.A.Call:At the end of 10 years from the date of allotment & on every interest date thereafter (exercisable with Put: N.A.Call:At the end of 10 years from the date of allotment & on every interest date thereafter i.e. from March 09, Put: N.A.Call:At the end of 10 years from the date of allotment (exercisable only with the prior approval of RBI)
Annually on 21st August NA
1-2800
NA
NA 0001-6300
01/(1-236111)
01/(1-14725)
Put: N.A.Call:Can be exercised only once on the date of completion of 10 year from the date of Allotment with the prior ANNUAL ON DECEMBER
31Put: NACall:AFTER 10 YEARS, DECEMBER 31, 2023 WITH THE APPROVAL OF RBI. CALL NOTICE DEADLINE ANNUAL ON 23 DEC
STARTING 23-DEC-17 TILL 23-DEC-21
Put: NACall:THE BANK MAY OR MAY NOT AT ITS SOLE DISCRETION BUT SUBJECT ALWAYS TO THE Put:12-MAR-19Call:12-MAR-19
INTEREST WILL START ACCRUING FROM 01/01/2014 WHICH SHALL BE PAYABLE ON 30TH
Put: NACall: NA
01/(1-500000), 02/(500001-1000000)
INTEREST WILL START ACCRUING FROM 01/01/2014 WHICH SHALL BE PAYABLE ON 30TH
Put: NACall: NA
01/(1-500000), 02/(500001-1000000)
INTEREST WILL START ACCRUING FROM 01/01/2014 WHICH SHALL BE PAYABLE ON 30TH
Put: NACall: NA
01/(1-500000), 02/(500001-1000000
INTEREST WILL START ACCRUING FROM 01/01/2014 WHICH SHALL BE PAYABLE ON 30TH
Put: NACall: NA
01/(1-503124), 02/(503125-1006248)
INTEREST WILL START ACCRUING FROM 01/01/2014 WHICH SHALL BE PAYABLE ON 30TH
Put: NACall: NA
01/(1-500000), 02/(500001-1000000)
INTEREST WILL START ACCRUING FROM 01/01/2014 WHICH SHALL BE PAYABLE ON 30TH
Put: NACall: NA
01/(1-42780), 02/(42781-85560)
INTEREST WILL START ACCRUING FROM 01/01/2014 WHICH SHALL BE PAYABLE ON 30TH
Put: NACall: NA
01/(1-10000), 02/(10001-20000)
INTEREST WILL START ACCRUING FROM 01/01/2014 WHICH SHALL BE PAYABLE ON 30TH
Put: NACall: NA
INTEREST WILL START ACCRUING FROM 01/01/2014 WHICH SHALL BE PAYABLE ON 30TH
Put: NACall: NA
NA 001-050
NA
NA 1-1000
NA 1-950
NA 001-650
1/(1-100)
1-150
1-150
1-17
NA
1-27000
INTEREST WILL START ACCRUING FROM 01/01/2014 WHICH SHALL BE PAYABLE ON 30TH
Put: NACall: NA
01/(1-30000), 02/(30001-60000)
Put: NACall:ON OR AFTER 23/07/16, ISSUER HAS THE RIGHT TO REDEEM (IN PART OR FULL) AFTER 15 MONTHS MONTHLY ON 26TH
STARTING 26-OCT-17 Put: NACall: NA
Put:ANY TIME AFTER 14 OCT 17 UNTIL MATURITY DATE i.e 14/06/21Call:ANY TIME AFTER 14 OCT 17 UNTIL MATURITY DATE i.e 14/06/21Put:ANYTIME AFTER 14/10/17 UNTIL MATURITY DATE i.e. 14/06/21Call:ANYTIME AFTER 14/10/17 UNTIL MATURITY DATE i.e. 14/06/21Put: NACall: NA
MONTHLY 01-AUG-16, 01-SEP-16, 03-OCT-16, 01-NOV-16, 01-DEC-16, 02-JAN-17, 01-FEB-17, 01-
Put: NACall: NA
MONTHLY ON 14-NOV-16, 13-DEC-16, 13-JAN-17, 13-FEB-17, 13-MAR-17, 13-APR-17, 15-MAY-17, 13-
Put: NACall: NA
MONTHLY ON 07-APR-17, 08-MAY-17, 07-JUN-17, 07-JUL-17, 07-AUG-17, 07-SEP-17, 09-OCT-17, 07-NOV-17,
Put: NACall: NA
QUARTERLY ON 31 MAR, 30 JUN, 30 SEP, 31 DEC STARTING 31-MAR-17 TILL 31-MAR-22 AND ON 23-
Put:29/12/2019Call:29/12/2019
QUARTERLY ON 01 DEC, 01 MAR, 01 JUN AND 01 SEP EVERY YEAR STARTING 01-DEC-15 TILL 01-MAR-18
Put: NACall: NA
SEMI ANNUAL ON 01 AUG AND 01 FEB STARTING 01-AUG-17
Put: NACall: NA
Registrar with BP Id No.
AA(SO) ICRA DT- 08.07.201
AA(SO) ICRA DT- 08.07.16
AA(SO) CARE DT- 03.02.17
AA(SO) CARE DT- 03.02.17
AA(SO) ICRA DT- 08.07.16
AA(SO) ICRA DT- 14-06-16
Address where Physical Securities is to be sent
Credit Rating with name of Credit Rating Agency and Date of Credit Rating
IN200738SATELLITE CORPORATE SERVICES PVT LTD-SHR
Mr. Michael MonteiroDirectorSatellite Corporate Services Pvt. Limited
BB- ICRA DATED-25.07.2016
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
AA+(SO) CARE DT- 09.02.17
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
AA+(SO) CARE DT- 09.02.17
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
AA+(SO) CARE DT-21.04.17
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
AA+(SO) CARE DT- 11.05.17
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
AA+(SO) CARE DT-21.04.17
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
BBB(SO) ICRA DT- 13.10.16
A-(SO) ICRA DT- 27.02.17
BBB- ICRA DT- 10.03.17
BBB- ICRA DATED-26.08.16
BBB- ICRA DT- 26.08.16
BBB CARE DT-08.09.17
BBB CARE DT- 08.09.17
BBB- BWR DT- 18.08.17
A+ CARE DT-13.11.14
A+ CARE DT-07.02.2013
NA
A+ CARE DT-13.11.14
A+ CARE DT-13.11.2014
IN200800KARVY COMPUTERSHARE-4
Mr. S. P. VenugopalDeputy General ManagerKarvy Computershare Private Limited
IN200800KARVY COMPUTERSHARE-4
Mr. S. P. VenugopalDeputy General ManagerKarvy Computershare Private Limited
IN200800KARVY COMPUTERSHARE-4
Mr. S. P. VenugopalDeputy General ManagerKarvy Computershare Private Limited
IN200800KARVY COMPUTERSHARE-4
Mr. S. P. VenugopalDeputy General ManagerKarvy Computershare Private Limited
IN200800KARVY COMPUTERSHARE-4
Mr. S. P. VenugopalDeputy General ManagerKarvy Computershare Private Limited
IN200176CAMEO CORPORATE SERV LTD
MS. MOHANACAMEO CORPORATE SERV LTDSUBRAMANIAN BUILDING,
IN200176CAMEO CORPORATE SERV LTD
MS. MOHANACAMEO CORPORATE SERV LTDSUBRAMANIAN BUILDING,
IN200393SHAREX
Mr. B. S. BaligaDirectorSharex Dynamic (India) Pvt. Ltd.
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. VIJAY KALYANICOMPANY SECRETARYSADBHAV ENGINEERING LIMITED
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. VIJAY KALYANICOMPANY SECRETARYSADBHAV ENGINEERING LIMITED
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
A+(SO) CARE DT- 09.12.14
A+(SO) CARE DT- 09.12.14
A+(SO) CARE DT-21.05.14
A+(SO) CARE DT- 09.12.14
A+(SO) CARE DT- 20.09.16
A+(SO) CARE DT- 09.12.14
A+(SO) CARE DT-21.05.14
A+(SO) CARE DT- 09.12.14
A+(SO) CARE DT- 06.01.15
A+(SO) CARE DT- 20.09.16
A+(SO) CARE DT- 20.09.16
A+(SO) CARE DT- 20.09.16
A+(SO) CARE DT- 20.09.16
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GAURAV VESASICOMPANY SECRETARYSADBHAV INFRASTRUCTURE PROJECT LTD.IN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. HARDIK MODICOMPLIANCE OFFICERSADBHAV INFRASTRUCTURE PROJECT LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GAURAV VESASICOMPANY SECRETARYSADBHAV INFRASTRUCTURE PROJECT LTD.IN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. HARDIK MODICOMPLIANCE OFFICERSADBHAV INFRASTRUCTURE PROJECT LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. HARDIK MODICOMPLIANCE OFFICERSADBHAV INFRASTRUCTURE PROJECT LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. HARDIK MODICOMPLIANCE OFFICERSADBHAV INFRASTRUCTURE PROJECT LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. HARDIK MODICOMPLIANCE OFFICERSADBHAV INFRASTRUCTURE PROJECT LIMITED
A+(SO) CARE DT- 20.09.16
A+(SO) CARE DT- 20.09.16
A+(SO) CARE DT- 20.09.16
NA
NA
B BWR DT- 08.12.16
B BWR DT- 08.12.16
BB CARE DT- 03.06.16
NA
NA
BB+ BWR DT- 11.08.16
NA
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. HARDIK MODICOMPLIANCE OFFICERSADBHAV INFRASTRUCTURE PROJECT LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. HARDIK MODICOMPLIANCE OFFICERSADBHAV INFRASTRUCTURE PROJECT LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. HARDIK MODICOMPLIANCE OFFICERSADBHAV INFRASTRUCTURE PROJECT LIMITEDIN200117
BIGSHARE SERVICESMr. Babu Rapheal C.ASST. GENERAL MANAGERBIGSHARE SERVICESE/2-3, Ansa Industrial EstateIN200117
BIGSHARE SERVICESMr. Babu Rapheal C.ASST. GENERAL MANAGERBIGSHARE SERVICESE/2-3, Ansa Industrial EstateIN200086
ALANKIT ASSIGNMENTS LTD
MR. J K SINGLASR. MANANGERALANKIT ASSIGNMENTS LTD
IN200086ALANKIT ASSIGNMENTS LTD
MR. J K SINGLASR. MANANGERALANKIT ASSIGNMENTS LTD
IN200939MCS SHARE TRANSFER AGENT LIMITED, NEW DELHI
MR. AMARJITSENIOR MANAGERMCS SHARE TRANSFER AGENT LIMITED, NEW DELHIIN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
A (SO) BWR DATED-03.11.16
IN200117BIGSHARE SERVICES
Mr. Babu Rapheal CSr. ManagerBigshare Services Pvt. Limited
IN200117BIGSHARE SERVICES
Mr. Babu Rapheal CSr. ManagerBigshare Services Pvt. Limited,
IN200800KARVY COMPUTERSHARE-4
MR. P.A.VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200117
BIGSHARE SERVICESMr. Babu Rapheal C.ASST. GENERAL MANAGERBIGSHARE SERVICES
NA
NA
BB+(SO) ICRA DT-14.06.16
NA
NA
BBB(SO) ICRA DT- 24.02.16
BBB- CARE DT- 19.04.16
BBB- ICRA DATED-14.10.16
BBB- ICRA DT- 22.03.16
BBB- CARE DT- 19.04.16
BBB- CARE DT- 15.07.16
BBB- ICRA DT-30.12.2015
B+ ICRA DATED-06.03.17
IN200117BIGSHARE SERVICES
Mr. Babu Rapheal C.ASST. GENERAL MANAGERBIGSHARE SERVICESE/2-3, Ansa Industrial EstateIN200256
AARTHI CONSULTANTSMr. G. Bhaskar MurthyGeneral ManagerAarthi Consultants Private Limited
IN200248INTEGRATED ENTP.(I) LTD, BANGALORE
MR. J. GOPINATHCHIEF MANAGERINTEGRATED ENTP.(I) LTD, BANGALORE
IN200800KARVY COMPUTERSHARE-4
MR. S.P. VENUGOPALKARVY COMPUTERSHAREKARVY SELENIUM TOWER B,
IN200800KARVY COMPUTERSHARE-4
MR. S.P. VENUGOPALKARVY COMPUTERSHAREKARVY SELENIUM TOWER B,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. VINAYAK BENDALDEPOSITORY OPERATONSLINK INTIME INDIA PRIVATE LIMITED
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Vinayak BendalAssociate - Depository OperationsLINK INTIME INDIA PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. KALIM SHEIKHMANAGERSHAREPRO SERVICES INDIA PRIVATE LIMITED
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. VINAYAK BENDALDEPOSITORY OPERATONSLINK INTIME INDIA PRIVATE LIMITED
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. VINAYAK BENDALDEPOSITORY OPERATONSLINK INTIME INDIA PRIVATE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200738
SATELLITE CORPORATE SERVICES PVT LTD-SHR
Mr. Michael MonteiroManaging DirectorSatellite Corporate Services Pvt. Ltd.
BBB ICRA DT- 12.02.15
BBB ICRA DT- 12.02.15
BBB ICRA DT- 12.02.15
BBB ICRA DT-11.03.16
BBB ICRA DT-11.03.16
BBB ICRA DT- 12.02.15
BBB ICRA DT- 12.02.15
BBB ICRA DT- 12.02.15
BBB ICRA DT-11.03.16
BBB ICRA DT-11.03.16
BBB ICRA DT-11.03.16
BBB ICRA DT-11.03.16
BBB ICRA DT-11.03.16
IN200465SKDC CONSULTANTS LTD.
Mr. K. NarendraManaging DirectorSKDC Consultants LimitedKanapathy Towers, 3rd Floor,
IN200465SKDC CONSULTANTS LTD.
Mr. K. NarendraManaging DirectorSKDC Consultants LimitedKanapathy Towers, 3rd Floor,
IN200465SKDC CONSULTANTS LTD.
Mr. K. NarendraManaging DirectorSKDC Consultants LimitedKanapathy Towers, 3rd Floor,
IN200465SKDC CONSULTANTS LTD.
Mr. K. NarendraManaging DirectorSKDC Consultants LimitedKanapathy Towers, 3rd Floor,IN200465
SKDC CONSULTANTS LTD.Mr. K. NarendraManaging DirectorSKDC Consultants LimitedKanapathy Towers, 3rd Floor,IN200465
SKDC CONSULTANTS LTD.Mr. K. NarendraManaging DirectorSKDC Consultants LimitedKanapathy Towers, 3rd Floor,
IN200465SKDC CONSULTANTS LTD.
Mr. K. NarendraManaging DirectorSKDC Consultants LimitedKanapathy Towers, 3rd Floor,
IN200465SKDC CONSULTANTS LTD.
Mr. K. NarendraManaging DirectorSKDC Consultants LimitedKanapathy Towers, 3rd Floor,
IN200465SKDC CONSULTANTS LTD.
Mr. K. NarendraManaging DirectorSKDC Consultants LimitedKanapathy Towers, 3rd Floor,IN200465
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SKDC CONSULTANTS LTD.Mr. K. NarendraManaging DirectorSKDC Consultants LimitedKanapathy Towers, 3rd Floor,IN200465
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Mr. K. NarendraManaging DirectorSKDC Consultants LimitedKanapathy Towers, 3rd Floor,IN200465
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NICHE TECHNOLOGIESMr. S. AbbasSenior Manager - SystemsNiche Technologies Private Limited
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Mr. S. AbbasSenior Manager - SystemsNiche Technologies Private Limited
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Mr. S. AbbasSenior Manager - SystemsNiche Technologies Private Limited
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Mr. S. AbbasSenior Manager - SystemsNiche Technologies Private Limited
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Mr. S. AbbasSenior Manager - SystemsNiche Technologies Private Limited
IN200490NICHE TECHNOLOGIES
Mr. S. AbbasSenior Manager - SystemsNiche Technologies Private Limited
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MR. M RAMANAUTHORISED PERSONSANMAR ENGINEERING SERVICES LIMITED
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Mr. Suresh Babu K.Senior Vice PresidentIntegrated Enterprises (India) Limited
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Mr. Sharwan ManglaGeneral ManagerMAS Services LimitedT-34, 2nd Floor Okhla Industrial AreIN200800
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MAS SERVICES LIMITEDMr. Sharwan ManglaGeneral ManagerMAS Services LimitedT-34, 2nd Floor Okhla Industrial AreIN200133
MAS SERVICES LIMITEDMr. Sharwan ManglaGeneral ManagerMAS Services LimitedT-34, 2nd Floor Okhla Industrial AreIN200133
MAS SERVICES LIMITEDMr. Sharwan ManglaGeneral ManagerMAS Services LimitedT-34, 2nd Floor Okhla Industrial AreIN200133
MAS SERVICES LIMITEDMr. Sharwan ManglaGeneral ManagerMAS Services LimitedT-34, 2nd Floor Okhla Industrial AreIN200133
MAS SERVICES LIMITEDMr. Sharwan ManglaGeneral ManagerMAS Services LimitedT-34, 2nd Floor Okhla Industrial AreIN200133
MAS SERVICES LIMITEDMr. Sharwan ManglaGeneral ManagerMAS Services LimitedT-34, 2nd Floor Okhla Industrial AreIN200133
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Mr. Sharwan ManglaGeneral ManagerMAS Services LimitedT-34, 2nd Floor
IN200133MAS SERVICES LIMITED
Mr. Sharwan ManglaGeneral ManagerMAS Services LimitedT-34, 2nd Floor
IN200133MAS SERVICES LIMITED
Mr. Sharwan ManglaGeneral ManagerMAS Services LimitedT-34, 2nd Floor
IN200133MAS SERVICES LIMITED
Mr. Sharwan ManglaGeneral ManagerMAS Services LimitedT-34, 2nd Floor
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IN200133MAS SERVICES LIMITED
Mr. Sharwan ManglaGeneral ManagerMAS Services LimitedT-34, 2nd Floor
IN200133MAS SERVICES LIMITED
Mr. Sharwan ManglaGeneral ManagerMAS Services LimitedT-34, 2nd Floor
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IN200607ADROIT CORPORATE SER.
MR. SADASHIVA S SHETTYMANAGING DIRECTORADROIT CORPORATE SERVICES PRIVATE LIMITED
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IN200607ADROIT CORPORATE SER.
Mr. Sadashiv S ShettyDirectorAdroit Corporate Services Private Limited
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Mr. Sadashiv S ShettyDirectorAdroit Corporate Services Private Limited
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IN200607ADROIT CORPORATE SER.
Mr. Sadashiv S ShettyDirectorAdroit Corporate Services Private Limited
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MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.IN200800
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AAA CRISIL DTD 15.05.201
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IN200490NICHE TECHNOLOGIES
Mr. S. AbbasSenior Manager - SystemsNiche Technologies Private Limited
IN200490NICHE TECHNOLOGIES
Mr. S. AbbasSenior Manager - SystemsNiche Technologies Private Limited
IN200086ALANKIT ASSIGNMENTS LTD
MR. PANKAJ GOENKAASSISTANT VICE PRESIDENTALANKIT ASSIGNMENTS LTDIN200086
ALANKIT ASSIGNMENTS LTD
MR. PANKAJ GOENKAASSISTANT VICE PRESIDENTALANKIT ASSIGNMENTS LTDGE CAPITAL SERVICES
Ltd.IN100181
Mr. Nitin BehlManager FinanceFloor # 12 Tower CDLF Infinity Tower, DLF Phase 2IN100382
ZUARI INVESTMENTS LIMITED-SHR
MR. AMIT GUPTAVP-FINANCESBI CARDS & PAYMENT SERVICES PRIVATE LIMITEDIN100382
ZUARI INVESTMENTS LIMITED-SHR
Mr. Amit GuptaVP - FinanceSBI CARDS & PAYMENT SERVICES PRIVATE LIMITED
AAA CRISIL DTD 30.08.2012
IN100382ZUARI INVESTMENTS LIMITED-SHR
MR. KRISHAN KANTCOMPLIANCE OFFICERZUARI INVESTMENTS LIMITED
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MR. KRISHAN KANTMANAGER-REGISTRAR & SHARE TRANSFERZUARI INVESTMENTS LIMITEDIN100382
ZUARI INVESTMENTS LIMITED-SHR
MR. KRISHAN KANTCOMPLIANCE OFFICERZUARI INVESTMENTS LIMITED
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MR. KRISHAN KANTCOMPLIANCE OFFICERZUARI INVESTMENTS LIMITED
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IN100382ZUARI INVESTMENTS LIMITED-SHR
MR. KRISHAN KANTCOMPLIANCE OFFICERZUARI INVESTMENTS LIMITED
DATAMATICS FINANCIAL SOFTWARE AND SERVICES LTIN200336
MR. ABHAY SARFAREASST. GENERAL MANAGERDATAMATICS FINANCIAL SOFTWARE AND SERVICES LT
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MS. AMITA JOSHICOMPANY SECRETARYSBI GLOBAL FACTORS LIMITED
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200086ALANKIT ASSIGNMENTS LTD
MR. RAJIV RAVALMANAGER- SECRETARIAL AND COMPLIANCESEAVIEW DEVELOPERS LIMITEDIN200086
ALANKIT ASSIGNMENTS LTD
MR. RAJIV RAVALMANAGER- SECRETARIAL AND COMPLIANCESEAVIEW DEVELOPERS LIMITEDIN200086
ALANKIT ASSIGNMENTS LTD
MR. RAJIV RAVALMANAGER- SECRETARIAL AND COMPLIANCESEAVIEW DEVELOPERS LIMITEDIN200800
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IN200800KARVY COMPUTERSHARE-4
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IN200800KARVY COMPUTERSHARE-4
MR. P A VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. SANJIVAKUMAR KADDUCOMPANY SECRETARY/ FINANCE AND ACCOUNTSSECURITY AND INTELLIGENCE SERVICES INDIA LTDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. SANJIVAKUMAR KADDUCOMPANY SECRETARY/ FINANCE AND ACCOUNTS
IN200537VENTURE CAPITAL AND CORP INVEST PVT. LTD
Mr. V. SRINIVASA RAOSENIOR MANAGERVenture Capital And Corporate Investments PrivateIN200537
VENTURE CAPITAL AND CORP INVEST PVT. LTD
Mr. V. SRINIVASA RAOSENIOR MANAGERVenture Capital And Corporate Investments PrivateIN200537
VENTURE CAPITAL AND CORP INVEST PVT. LTD
Mr. V. SRINIVASA RAOSENIOR MANAGERVenture Capital And Corporate Investments Private
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Mr. V. SRINIVASA RAOSENIOR MANAGERVenture Capital And Corporate Investments PrivateIN200537
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Mr. P.V. Srinivas RaoSenior ManagerVenture Capital And Corporate Investments Private LimitedIN200537
VENTURE CAPITAL AND CORP INVEST PVT. LTD
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VENTURE CAPITAL AND CORP INVEST PVT. LTD
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Mr. V. SRINIVASA RAOSENIOR MANAGERVenture Capital And Corporate Investments PrivateIN200537
VENTURE CAPITAL AND CORP INVEST PVT. LTD
Mr. P.V. Srinivas RaoSenior ManagerVenture Capital And Corporate Investments Private LimitedIN200800
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IN200117BIGSHARE SERVICES
Mr. Babu Rapheal C.ASST. GENERAL MANAGERBIGSHARE SERVICESE/2-3, Ansa Industrial EstateIN200117
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Mr. P A VargheseGeneral ManagerKarvy Computershare Private Limited
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Mr. P A VargheseGeneral ManagerKarvy Computershare Private Limited
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IN200094LINK INTIME INDIA PRIVATE LIMITED
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MR. VINAYAK BENDALDEPOSITORY OPERATONSLINK INTIME INDIA PRIVATE LIMITED
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. VINAYAK BENDALDEPOSITORY OPERATONSLINK INTIME INDIA PRIVATE LIMITED
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MR. VINAYAK BENDALDEPOSITORY OPERATONSLINK INTIME INDIA PRIVATE LIMITED
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MR. VINAYAK BENDALDEPOSITORY OPERATONSLINK INTIME INDIA PRIVATE LIMITED
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. VINAYAK BENDALDEPOSITORY OPERATONSLINK INTIME INDIA PRIVATE LIMITED
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MR. VINAYAK BENDALDEPOSITORY OPERATONSLINK INTIME INDIA PRIVATE LIMITED
IN200094LINK INTIME INDIA PRIVATE LIMITED
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NA
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IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services Limited
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Mr. Punit MittalManagerBeetal Financial and Computer Services Limited
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Virendra Kumar RanaVice PresidentSkyline Financial Services Private Limited
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Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED ENTP. (I) LTDMR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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AA+ CARE DTD 28.05.2013
AA,CRISIL,
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IN200264INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED ENTP. (I) LTDMR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED ENTP. (I) LTD
MS. ANUSHASENIOR MANAGERINTEGRATED ENTERPRISES (INDIA ) LIMITEDIN200264
INTEGRATED ENTP. (I) LTD
MS. ANUSHASENIOR MANAGERINTEGRATED ENTERPRISES (INDIA ) LIMITEDIN200264
INTEGRATED ENTP. (I) LTD
MS. ANUSHASENIOR MANAGERINTEGRATED ENTERPRISES (INDIA ) LIMITEDINTEGRATED ENTP. (I)
LTDIN200264
Mr. Parag SharmaVice President - FinanceWockhardt Towers, 3rd FloorWest wing , C-2, G- Block
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED ENTP. (I) LTDMR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITED
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IN200264INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITED
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED ENTP. (I) LTD
MS. ANUSHASENIOR MANAGERINTEGRATED ENTERPRISES (INDIA ) LIMITEDIN200264
INTEGRATED ENTP. (I) LTD
MS. ANUSHASENIOR MANAGERINTEGRATED ENTERPRISES (INDIA ) LIMITEDIN200264
INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDINTEGRATED ENTP. (I)
LTDIN200264
Mr. Parag SharmaVice President - FinanceWockhardt Towers, 3rd FloorWest wing , C-2, G- Block
INTEGRATED ENTP. (I) LTDIN200264
Mr. Parag SharmaVice President - FinanceWockhardt Towers, 3rd FloorWest wing , C-2, G- Block
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Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
Mr. Suresh Babu K.Vice PresidentIntegrated Enterprises (India) Limited
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDINTEGRATED ENTP. (I)
LTDIN200264
Mr. Parag SharmaVice President - FinanceWockhardt Towers, 3rd FloorWest wing , C-2, G- Block
IN200264INTEGRATED REG. MGT.SER. PVT. LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
Mr. Suresh Babu KVice PresidentIntegrated Enterprises (India) Ltd.
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED REG. MGT.SER. PVT. LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
INTEGRATED ENTP. (I) LTDIN200264
Mr. Parag SharmaVice President - FinanceWockhardt Towers, 3rd FloorWest wing , C-2, G- Block
INTEGRATED ENTP. (I) LTDIN200264
Mr. Parag SharmaVice President - FinanceWockhardt Towers, 3rd FloorWest wing , C-2, G- Block
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
INTEGRATED ENTP. (I) LTDIN200264
Mr. Parag SharmaVice President - FinanceSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
INTEGRATED ENTP. (I) LTDIN200264
Mr. Parag SharmaVice President - FinanceSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
INTEGRATED ENTP. (I) LTDIN200264
Mr. Parag SharmaVice President - FinanceSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED ENTP. (I) LTDMR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED REG. MGT.SER. PVT. LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
AA+ CRISIL DT- 23.02.17
AA+ CRISIL DT- 29.06.2016
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IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
INTEGRATED ENTP. (I) LTDIN200264
Mr. Parag SharmaVice President - FinanceSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDINTEGRATED ENTP. (I)
LTDIN200264
Mr. Parag SharmaVice President - FinanceSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDINTEGRATED ENTP. (I)
LTDIN200264
Mr. Parag SharmaVice President - FinanceSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED ENTP. (I) LTDMR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
INTEGRATED ENTP. (I) LTDIN200264
Mr. Parag SharmaVice President - FinanceSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDINTEGRATED ENTP. (I)
LTDIN200264
Mr. Parag SharmaVice President - FinanceSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDINTEGRATED ENTP. (I)
LTDIN200264
Mr. Parag SharmaVice President - FinanceSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED REG. MGT.SER. PVT. LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDINTEGRATED ENTP. (I)
LTDIN200264
Mr. Parag SharmaVice President - FinanceSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED REG. MGT.SER. PVT. LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
AA+ CRISIL DT- 08.06.17
AA+ IND DT- 08.06.17
AA+ CRISIL DT- 23.06.17
AA+ CRISIL DT- 23.06.17
AA+ CRISIL DT- 23.06.17
AA+ CRISIL DT- 23.06.17
AA CRISIL DTD 16.08.2013
AA CRISIL DTD 29.08.2013
AA CRISIL DTD 29.08.2013
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IN200264INTEGRATED REG. MGT.SER. PVT. LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED REG. MGT.SER. PVT. LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED REG. MGT.SER. PVT. LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED REG. MGT.SER. PVT. LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED REG. MGT.SER. PVT. LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITED
AA+ CARE DATED 31.07.2013
IN200264INTEGRATED ENTP. (I) LTD
MS. ANUSHASENIOR MANAGERINTEGRATED ENTERPRISES (INDIA ) LIMITEDIN200264
INTEGRATED ENTP. (I) LTD
MS. ANUSHASENIOR MANAGERINTEGRATED ENTERPRISES (INDIA ) LIMITEDIN200264
INTEGRATED REG. MGT.SER. PVT. LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaVice President - FinanceShriram Transport Finance Company Limited
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
AA+ IND DATED-17/03/2016
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED REG. MGT.SER. PVT. LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
AA+ CRISIL DT- 02.08.16
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AA+ CRISIL DT- 23.03.17
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AA+ CRISIL DT- 09.08.17
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MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED REG. MGT.SER. PVT. LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED REG. MGT.SER. PVT. LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED REG. MGT.SER. PVT. LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED REG. MGT.SER. PVT. LTD
MR. ANUSHA NSENIOR MANAGERINTEGRATED ENTERPRISES (INDIA) LTD
IN200264INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITED
AA+ CARE DTD 27.12.2012
AA+ CARE DTD 27.12.2012
AA+ CARE DTD 04.02.2013
AA+ CARE DTD 04.02.2013
AA CRISIL DTD 08.02.2013
AA CRISIL DTD 08.02.2013
AA+ CARE DTD 15/03/2013
AA+ CARE DTD 15/03/2013
AA+ CARE DTD 08.02.2013
AA+ CARE DTD 04.02.2013
AA CRISIL DTD 14.05.2013
AA+ CARE DTD 13.05.2013
IN200264INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
INTEGRATED ENTP. (I) LTD
Mr. Parag SharmaChief Financial OfficerSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDIN200264
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Mr. S. RajagopalVice PresidentMaheshwari Datamatics Private Limited
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Mr. S. RajagopalVice PresidentMaheshwari Datamatics Private Limited
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MAHESHWARI DATAMATICS
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Mr. Sharwan ManglaAGM-EDPMAS Services Ltd.T-34, 2nd Floor,
IN200133MAS SERVICES LIMITED
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IN200133MAS SERVICES LIMITED
MR. SHARWAN MANGLAGENERAL MANAGERMAS SERVICES LTD616A(16A SIXTH FLOOR),
IN200133MAS SERVICES LIMITED
MR. SHARWAN MANGLAGENERAL MANAGERMAS SERVICES LTD616A(16A SIXTH FLOOR),
IN200133MAS SERVICES LIMITED
MR. SHARWAN MANGLAGENERAL MANAGERMAS SERVICES LTD616A(16A SIXTH FLOOR),
IN200133MAS SERVICES LIMITED
MR. SHARWAN MANGLAGENERAL MANAGERMAS SERVICES LTD616A(16A SIXTH FLOOR),
IN200133MAS SERVICES LIMITED
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IN200596S. K. INFOSOLUTIONS PRIVATE LIMITED
MR. DILIP BHATTACHARYADIRECTORS. K. INFOSOLUTIONS PRIVATE LIMITED
IN200596S. K. INFOSOLUTIONS PRIVATE LIMITED
MR. DILIP BHATTACHARYADIRECTORS. K. INFOSOLUTIONS PRIVATE LIMITED
IN200596S. K. INFOSOLUTIONS PRIVATE LIMITED
MR. DILIP BHATTACHARYADIRECTORS. K. INFOSOLUTIONS PRIVATE LIMITED
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MR. P.A.VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200800
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S. K. INFOSOLUTIONS PRIVATE LIMITED
Mr. Dilip BhattacharyaDirectorS. K. Infosolutions Private Limited
IN200596S. K. INFOSOLUTIONS PRIVATE LIMITED
Mr. Dilip BhattacharyaDirectorS. K. Infosolutions Private Limited
IN200596S. K. INFOSOLUTIONS PRIVATE LIMITED
Mr. Dilip BhattacharyaDirectorS. K. Infosolutions Private Limited
IN200596S. K. INFOSOLUTIONS PRIVATE LIMITED
Mr. Dilip BhattacharyaDirectorS. K. Infosolutions Private Limited
AA BWR DTD 23.05.2013
AA BWR DTD 16.05.2013
AA BWR DTD 25.10.2013
AA BWR DTD 16.05.2013
AA BWR DTD 26.09.2013
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AA- CARE DTD 20.03.2013
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IN200596S. K. INFOSOLUTIONS PRIVATE LIMITED
Mr. Dilip BhattacharyaDirectorS. K. Infosolutions Private Limited
IN200596S. K. INFOSOLUTIONS PRIVATE LIMITED
Mr. Dilip BhattacharyaDirectorS. K. Infosolutions Private Limited
IN200596S. K. INFOSOLUTIONS PRIVATE LIMITED
MR. SANJAY CHAURASIACOMPANY SECRETARYSREI EQUIPMENT FINANCE PRIVATE LIMITEDS. K. COMPUTERS
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IN200596Mr. Dilip BhattacharyaSenior ManagerS. K. COMPUTERS34/1A, Sudhir Chatterjee StreetS. K. COMPUTERS
IN200596Mr. Dilip BhattacharyaSenior ManagerS. K. COMPUTERS34/1A, Sudhir Chatterjee StreetIN200596
S. K. INFOSOLUTIONS PRIVATE LIMITED
Mr. Dilip BhattacharyaDirectorS. K. Infosolutions Private Limited
IN200596S. K. INFOSOLUTIONS PRIVATE LIMITED
Mr. Dilip BhattacharyaDirectorS. K. Infosolutions Private Limited
IN200596S. K. INFOSOLUTIONS PRIVATE LIMITED
Mr. Dilip BhattacharyaDirectorS. K. Infosolutions Private Limited
IN200596S. K. INFOSOLUTIONS PRIVATE LIMITED
Mr. Dilip BhattacharyaDirectorS. K. Infosolutions Private Limited
IN200596S. K. INFOSOLUTIONS PRIVATE LIMITED
Mr. Dilip BhattacharyaDirectorS. K. Infosolutions Private Limited
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Mr. Aloke Mukherjee / Mrs. B. BiswasDesignation - General Manager / Designation - Seni
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MR. P A VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200800
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AA- CARE DTD 26.02.2013
AA- CARE DTD 26.02.2013
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KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD-CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200800
KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD-CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200800
KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD-CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD
AA- CARE DTD 26.02.2013
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AA- CARE DTD 23.12.13
AA- CARE DTD 23.12.13
AA- CARE DTD 23.12.13
AA- CARE DTD 23.12.13
AA- CARE DTD 23.12.13
AA- CARE DTD 23.12.13
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Mr. SUBHABRATA BISWASAVPSREI INFRASTRUCTURE FINANCE LIMITED
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Mr. SUBHABRATA BISWASAVPSREI INFRASTRUCTURE FINANCE LIMITED
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MR. MURALI KRISHNAGENERAL MANGAERKARVY COMPUTERSHARE PVT LTD
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MR. MURALI KRISHNAGENERAL MANGAERKARVY COMPUTERSHARE PVT LTD
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MR. MURALI KRISHNAGENERAL MANGAERKARVY COMPUTERSHARE PVT LTD
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BRWAA DTD 21.05.2013
BRWAA DTD 27.06.2013
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AA- CARE DTD 14.04.14
AA- CARE DTD 14.04.14
AA- CARE DTD 14.04.14
AA- CARE DTD 14.04.14
AA- CARE DTD 14.04.14
AA- CARE DT-04/06/2014
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MR. MURALI KRISHNAGENERAL MANGAERKARVY COMPUTERSHARE PVT LTD
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MR. MURALI KRISHNAGENERAL MANGAERKARVY COMPUTERSHARE PVT LTD
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MR. MURALI KRISHNAGENERAL MANGAERKARVY COMPUTERSHARE PVT LTD
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MR. MURALI KRISHNAGENERAL MANGAERKARVY COMPUTERSHARE PVT LTD
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MR. P A VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200800
KARVY COMPUTERSHARE-4MR. P A VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD
BWR AA+ DT- 23.08.16
AA CARE DTD 09.08.2012
AA CARE DTD 09.08.012
AA CARE DTD 09.08.2012
AA CARE DTD 09.08.2012
AA CARE DTD 09.08.2012
AA CARE DTD 09.08.2012
AA- CARE DT-19.02.2013
AA- CARE DT- 09/09/14
AA- CARE DT- 09/09/14
AA- CARE DT- 09/09/14
AA- CARE DTD 26.02.2013
CARE AA- DT 08/11/2012
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MR. P A VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200094
LINK INTIME INDIA PRIVATE LIMITED
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Mr. Ganesh JadhavAsst. Vice President - DepositoryLINK INTIME INDIA PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice President - DepositoryLINK INTIME INDIA PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice President - DepositoryLINK INTIME INDIA PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice President - DepositoryLINK INTIME INDIA PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice President - DepositoryLINK INTIME INDIA PRIVATE LIMITEDIN200800
KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEGENERAL MANAGERKARVY COMPUTERSHARE PVT. LTD.
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MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.IN200800
KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.IN200800
KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.IN200800
KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD-CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200094
LINK INTIME INDIA PRIVATE LIMITED
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BRWAA DTD 27.06.2013
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CARE AA- DT- 15.06.15
CARE AA- DT- 15.06.15
AA,CARE DT 05/08/2011
BWR AA+ DT- 23.08.16
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KARVY COMPUTERSHARE-4MR. P A VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDMCS,KOLKATA
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IN200094LINK INTIME INDIA PRIVATE LIMITED
MR.S.ubhabraraLINKE INTIME INDIA PVT LTD59-C,CHOWRINGHEE ROAD,IN200094
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KARVY COMPUTERSHARE-4MR. P A VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDMCS,KOLKATA
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IN200328MCS,KOLKATA
Mr. Alok MukherjeeGeneral ManagerMCS, Kolkata77 / 2A
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MR. P A VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200800
KARVY COMPUTERSHARE-4MR. P A VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD
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MR. P A VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200328
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MR. ALOK MUKHERJEEPRESIDENTMCS,KOLKATA77 / 2A
IN200328MCS,KOLKATA
MR. ALOK MUKHERJEEPRESIDENTMCS,KOLKATA77 / 2A
IN200328MCS,KOLKATA
MR. ALOK MUKHERJEEPRESIDENTMCS,KOLKATA77 / 2A
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Mr. Aloke Mukherjee / Mrs. B. BiswasDesignation - General Manager / Designation - Seni
IN200328MCS,KOLKATA
Mr. Aloke Mukherjee / Mrs. B. BiswasDesignation - General Manager / Designation - Seni
AA CARE DTD 17.05.2012
AA CARE DTD 17.05.2012
AA CARE DTD 20.06.2012
AA CARE DTD 18.06.2012
AA CARE DTD 11.09.2012
AA CARE DTD 11.09.2012
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BRWAA DTD 09/11/2012
BRWAA DTD 09/11/2012
BRWAA DTD 09/11/2012
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Mr. Aloke Mukherjee / Mrs. B. BiswasDesignation - General Manager / Designation - Seni
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Mr. Aloke Mukherjee / Mrs. B. BiswasDesignation - General Manager / Designation - Seni
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Mr. Aloke Mukherjee / Mrs. B. BiswasDesignation - General Manager / Designation - Seni
IN200328MCS,KOLKATA
Mr. Aloke Mukherjee / Mrs. B. BiswasDesignation - General Manager / Designation - Seni
IN200328MCS,KOLKATA
Mr. Aloke Mukherjee / Mrs. B. BiswasDesignation - General Manager / Designation - Seni
IN200328MCS,KOLKATA
Mr. Aloke Mukherjee / Mrs. B. BiswasDesignation - General Manager / Designation - Seni
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MR.S.ubhabraraLINKE INTIME INDIA PVT LTD59-C,CHOWRINGHEE ROAD,IN200094
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MR.S.ubhabraraLINKE INTIME INDIA PVT LTD59-C,CHOWRINGHEE ROAD,IN200094
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MR.S.ubhabraraLINKE INTIME INDIA PVT LTD59-C,CHOWRINGHEE ROAD,
BRWAA DTD 25.01.2013
BRWAA DTD 21.05.2013
BRWAA DTD 16.05.2013
BRWAA DTD 27.06.2013
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AA- CARE DT-04.06.2014
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NA
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MR. SUNIL KHADEMANAGERUNIVERSAL CAPITAL SECURITIES PVT LTD
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MR. SUNIL KHADEMANAGERUNIVERSAL CAPITAL SECURITIES PVT LTD
IN200512UNIVERSAL CAPITAL SECURITIES PRIVATE LIMITED
MR. SUNIL KHADEMANAGERUNIVERSAL CAPITAL SECURITIES PVT LTD
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MS. ARUNA NITIN DAKCOMPANY SECRETARYSTATE BANK OF BIKANER AND JAIPUR
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Mr. K.BhaskarDy.General Manager (Finance & Accounts)Head Office
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Mr. V. MaheshVice PresidentKarvy HouseNo. 46, Avenue, No. 4
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Mr. V. MaheshVice PresidentKarvy HouseNo. 46, Avenue, No. 4
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Mr. V. MaheshVice PresidentKarvy HouseNo. 46, Avenue, No. 4
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Mr. P. A VargheseGeneral ManagerKarvy Computershare Private Limited
IN200035KARVY COMPUTERSHARE
Mr. P. A VargheseGeneral ManagerKarvy Computershare Private Limited
KARVY COMPUTERSHARE PVT. LTD.IN200035
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Mr. V. MaheshVice PresidentKarvy Computershare Pvt. Ltd.Karvy House
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Mr. V.K. JayaramanDy. General ManagerKARVY COMPUTERSHARE PVT. LTD.
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IN200336DATAMATICS FINANCIAL SERVICES LIMITED
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DATAMATICS FINANCIAL SOFTWARE AND SERVICES LTIN200336
Mr. S. SanyalGeneral Manager,Shares & bonds DeptSTATE BANK OF INDIA
DATAMATICS FINANCIAL SOFTWARE AND SERVICES LTIN200336
Mr. S. SanyalGeneral Manager,Shares & bonds DeptSTATE BANK OF INDIA
DATAMATICS FINANCIAL SOFTWARE AND SERVICES LTIN200336
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DATAMATICS FINANCIAL SOFTWARE AND SERVICES LTIN200336
Mr. S. SanyalGeneral Manager,Shares & bonds DeptCorporate Centre, 8th Floor
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR. SHYAMAL SINHAGENERAL MANAGERSTATE BANK OF INDIASTATE BANK BHAVAN
DATAMATICS FINANCIAL SOFTWARE AND SERVICES LTIN200336
Mr. S. SanyalGeneral Manager,Shares & bonds DeptCorporate Centre, 8th Floor
DATAMATICS FINANCIAL SOFTWARE AND SERVICES LTIN200336
Mr. S. SanyalGeneral Manager,Shares & bonds DeptCorporate Centre, 8th Floor
DATAMATICS FINANCIAL SOFTWARE AND SERVICES LTIN200336
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IN200336DATAMATICS FINANCIAL SERVICES LIMITED
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IN200336DATAMATICS FINANCIAL SERVICES LIMITED
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IN200336DATAMATICS FINANCIAL SERVICES LIMITED
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DATAMATICS FINANCIAL SOFTWARE AND SERVICES LTIN200336
Mr. S. SanyalGeneral Manager,Shares & bonds DeptCorporate Centre, 8th Floor
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IN200336DATAMATICS FINANCIAL SERVICES LIMITED
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Ms Annie PawarGeneral managerSTATE BANK OF INDOREHead Office
ANKIT CONSULTANCY PVT LTIN200481
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Mr N Ravi ChandranGeneral managerSTATE BANK OF INDOREHead Office
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CANBANK COMPUTER SERVICEIN200570
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CANBANK COMPUTER SERVICE
Mr. K. RaviManager -RTA-Compliance OfficerCanbank Computer Services LimitedIN200570
CANBANK COMPUTER SERVICE
Mr. K. RaviManager -RTA-Compliance OfficerCanbank Computer Services Limited
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INVESTOR SERV OF INDIAIN200553
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INTEGRATED ENTP. (I) LTDIN200264
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Mr. Devinder KumarSecretaryIspat Bhawan, Lodhi Road,New Delhi - 110003
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MR. PUNIT MITTALGENERAL MANAGERBEETAL FINANCIAL & COMPUTER SERVICES PVT LTDIN200094
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IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
MR. V. SWAMINATHANCOMPANY SECRETARYSUNDARAM BNP PARIBAS HOME FINANCE LTD
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IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
MR. V. SWAMINATHANCOMPANY SECRETARYSUNDARAM BNP PARIBAS HOME FINANCE LTD
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
MR. V. SWAMINATHANCOMPANY SECRETARYSUNDARAM BNP PARIBAS HOME FINANCE LTD
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
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IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
MR. V. SWAMINATHANCOMPANY SECRETARYSUNDARAM BNP PARIBAS HOME FINANCE LTD
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
MR. V. SWAMINATHANCOMPANY SECRETARYSUNDARAM BNP PARIBAS HOME FINANCE LTD
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
MR. V. SWAMINATHANCOMPANY SECRETARYSUNDARAM BNP PARIBAS HOME FINANCE LTD
IN200176CAMEO CORPORATE SERV LTD
MR. V. SWAMINATHANCOMPANY SECRETARYSUNDARAM BNP PARIBAS HOME FINANCE LTD
IN200176CAMEO CORPORATE SERV LTD
MR. V. SWAMINATHANCOMPANY SECRETARYSUNDARAM BNP PARIBAS HOME FINANCE LTD
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
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Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
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IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
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IN200176CAMEO CORPORATE SERV LTD
MR. V.SWAMINATHANCOMPANY SECRETARYSundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
IN200176CAMEO CORPORATE SERV LTD
Mr. V.SwaminathanCompany SecretarySundaram Bnp Paribas Home Finance Limited
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IN200176CAMEO CORPORATE SERV LTD
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IN200176CAMEO CORPORATE SERV LTD
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MR. R.D. RAMASAMYGENERAL MANAGERCameo Corporate Services Limited
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IN200176CAMEO CORPORATE SERV LTD
MR. R.D. RAMASAMYGENERAL MANAGERCameo Corporate Services Limited
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SHAREPRO SERVICES (INDIA) PVT.LTD
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SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITED
BBB-ICRA DT-01.06.15
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BBB(SO) ICRA DT- 24.02.16
BBB(SO) ICRA DT- 29.06.16
BBB(SO) ICRA DT- 13.10.16
A-(SO) ICRA DT- 27.02.17
NA
BBB ICRA DT- 03.09.15
NA
NA
NA
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. VINAYAK BENDALDEPOSITORY OPERATONSLINK INTIME INDIA PRIVATE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200117
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IN200117BIGSHARE SERVICES
MR. VIPIN GUPTAASST. MANAGERBIGSHARE SERVICES PVT LTD
IN200117BIGSHARE SERVICES
MR. VIPIN GUPTAASST. MANAGERBIGSHARE SERVICES PVT LTD
IN200117BIGSHARE SERVICES
MR. VIPIN GUPTAASST. MANAGERBIGSHARE SERVICES PVT LTD
IN200264INTEGRATED ENTP. (I) LTD
Mr. Suresh Babu K.Senior Vice PresidentIntegrated Enterprises (India) Limited
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.IN200117
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Intime Spectrum Registry Ltd.(IN200094)
Mr. Surendra U. TamboliCompany SecretarySWIL LimitedPlot No. 747,
AA-(SO) CARE DT- 08.12.15
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Intime Spectrum Registry Ltd.(IN200094)
Mr. Surendra U. TamboliCompany SecretarySWIL LimitedPlot No. 747,
IN200800KARVY COMPUTERSHARE-4
MR. SAURABH GARGDIRECTOR/ ACCOUNTSSYLVANUS PROPERTIES LIMITED
KARVY COMPUTERSHARE PVT. LTD.IN200035
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KARVY COMPUTERSHARE PVT. LTD.IN200035
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IN200035KARVY COMPUTERSHARE
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IN200035KARVY COMPUTERSHARE
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IN200035KARVY COMPUTERSHARE
MR. MAHENDRA SINGHKARVY COMPUTERSHARE PVT LTDPLOT NO 17 TO 24,
IN200035KARVY COMPUTERSHARE
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IN200035KARVY COMPUTERSHARE
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Mr. Sunil Y. BarveManagerKarvy Computershare Private Limited
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr Santosh BallalSr.ManagerAccounts DepartmentBonds Servicing Cell
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr Santosh BallalSr.ManagerAccounts DepartmentBonds Servicing Cell
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr R RaviCompany SecretaryInvestor Relation CentreCorporate office
AA IND DT- 22.03.16
AA IND DT- 22.03.16
AA IND DT- 08.07.2016
AA IND DT- 20.10.16
AA IND DT- 24.07.17
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NA
NA
NA
NA
NA
NA
NA
IN200035KARVY COMPUTERSHARE
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IN200035KARVY COMPUTERSHARE
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IN200035KARVY COMPUTERSHARE
MR. MAHENDRA SINGHKARVY COMPUTERSHARE PVT LTDPLOT NO 17 TO 24,
IN200035KARVY COMPUTERSHARE
MR. MAHENDRA SINGHKARVY COMPUTERSHARE PVT LTDPLOT NO 17 TO 24,
IN200035KARVY COMPUTERSHARE
MR. MAHENDRA SINGHKARVY COMPUTERSHARE PVT LTDPLOT NO 17 TO 24,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. ARVIND AGARWALDIRECTORSYSTEMTRAC TRADERS PRIVATE LIMITED
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services Limited
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services Limited
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services Limited
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services Limited
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services Limited
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services Limited
IN200504BEETAL FINAN.AND COMPU.
Mr. Punit MittalManagerBeetal Financial and Computer Services Limited
NA
AA ICRA DT- 04.12.15
AA- CARE DT- 13/03/14
AA- CARE DT-27.02.2015
AA CARE DT-13.06.16
AA CARE DT-13.06.16
AA CARE DT-29.10.2015
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AA-(SO)CRISIL DT 27.02.17
IN200504BEETAL FINAN.AND COMPU.
MR. PUNIT MITTALGENERAL MANAGERBEETAL FINANCIAL & COMPUTER SERVICES PVT LTDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MS. AVANTI SANKAVCOMPANY SECRETARY & COMPLIANCE OFFICERTALWALKARS BETTER VALUE FITNESS LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
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LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice President-Depository OperationsLink Intime India Private LimitedIN200094
LINK INTIME INDIA PRIVATE LIMITED
MS. AVANTI SANKAVCOMPANY SECRETARY & COMPLIANCE OFFICERTALWALKARS BETTER VALUE FITNESS LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MS. AVANTI SANKAVCOMPANY SECRETARY & COMPLIANCE OFFICERTALWALKARS BETTER VALUE FITNESS LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MS. AVANTI SANKAVCOMPANY SECRETARY & COMPLIANCE OFFICERTALWALKARS BETTER VALUE FITNESS LIMITEDIN200094
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MS. AVANTI SANKAVCOMPANY SECRETARY & COMPLIANCE OFFICERTALWALKARS BETTER VALUE FITNESS LIMITEDIN200094
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MS. AVANTI SANKAVCOMPANY SECRETARY & COMPLIANCE OFFICERTALWALKARS BETTER VALUE FITNESS LIMITEDIN200800
KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.
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IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.IN200800
KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.IN200800
KARVY COMPUTERSHARE-4MR. S. P. VENUGOPALDEPUTY GENERAL MANAGERKarvy Computershare Private Limited
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IND 19.03.2013
IND A (SO)19.03.2013
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IN200800KARVY COMPUTERSHARE-4
MR. S. P. VENUGOPALDEPUTY GENERAL MANAGERKarvy Computershare Private LimitedIN200800
KARVY COMPUTERSHARE-4MR. S. P. VENUGOPALDEPUTY GENERAL MANAGERKarvy Computershare Private LimitedINTEGRATED ENTP. (I)
LTDIN200264
Mr K.BalakrishnanDeputy Financial ControllerN.P.K.R.R. Maaligai, 7th Floor
INTEGRATED ENTP. (I) LTDIN200264
Mr K.BalakrishnanDeputy Financial ControllerN.P.K.R.R. Maaligai, 7th Floor
INTEGRATED ENTP. (I) LTDIN200264
Mr K.BalakrishnanDeputy Financial ControllerN.P.K.R.R. Maaligai, 7th Floor
INTEGRATED ENTP. (I) LTDIN200264
Mr K.BalakrishnanDeputy Financial ControllerTAMILNADU ELECTRICITY BOARD
INTEGRATED ENTP. (I) LTDIN200264
Mr K.BalakrishnanDeputy Financial ControllerTAMILNADU ELECTRICITY BOARD
INTEGRATED ENTP. (I) LTDIN200264
Mr K.BalakrishnanDeputy Financial ControllerTAMILNADU ELECTRICITY BOARD
IN200264INTEGRATED ENTP. (I) LTD
MR.THIRU G.RAJGOPALDIRECTOR-FINANCETAMILNADU GENERATION AND DISTRIBUTION CORPORATION
IN200264INTEGRATED ENTP. (I) LTD
MR. THIRU S. ARULSAMYCHIEF FINANCIAL CONTROLLERTAMILNADU GENERATION & DISTRIBUTION CORPORATION LT
IN200264INTEGRATED ENTP. (I) LTD
MR. THIRU S. ARULSAMYCHIEF FINANCIAL CONTROLLERTAMILNADU GENERATION & DISTRIBUTION CORPORATION LT
IN200264INTEGRATED ENTP. (I) LTD
MR. THIRU S. ARULSAMYCHIEF FINANCIAL CONTROLLERTAMILNADU GENERATION & DISTRIBUTION CORPORATION LT
IN200264INTEGRATED ENTP. (I) LTD
MR. THIRU S. ARULSAMYCHIEF FINANCIAL CONTROLLERTAMILNADU GENERATION & DISTRIBUTION CORPORATION LT
A (SO) IND DT 19.03.2013
A (SO) IND DTD 19.03.2013
A (SO) CRISIL 27/05/2011
A (SO) CRISIL 27/05/2011
A(SO),BWR,DT-25-05-2011
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A (SO) IND DTD 24.10.2013
A (SO) IND DTD 24.10.2013
A (SO) IND DTD 24.10.2013
A (SO) IND DTD 24.10.2013
A (SO) IND DTD 24.10.2013
A(SO) IND DT- 06.10.16
IN200264INTEGRATED ENTP. (I) LTD
MR. THIRU S. ARULSAMYCHIEF FINANCIAL CONTROLLERTAMILNADU GENERATION & DISTRIBUTION CORPORATION LT
IN200264INTEGRATED ENTP. (I) LTD
MR. THIRU S. ARULSAMYCHIEF FINANCIAL CONTROLLERTAMILNADU GENERATION & DISTRIBUTION CORPORATION LT
IN200264INTEGRATED ENTP. (I) LTD
MR.THIRU G.RAJGOPALDIRECTOR-FINANCETAMILNADU GENERATION AND DISTRIBUTION CORPORATION
IN200264INTEGRATED ENTP. (I) LTD
MR.THIRU G.RAJGOPALDIRECTOR-FINANCETAMILNADU GENERATION AND DISTRIBUTION CORPORATION
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MR.THIRU G.RAJGOPALDIRECTOR-FINANCETAMILNADU GENERATION AND DISTRIBUTION CORPORATION
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IN200264INTEGRATED ENTP. (I) LTD
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IN200264INTEGRATED ENTP. (I) LTD
MR.THIRU G.RAJGOPALDIRECTOR-FINANCETAMILNADU GENERATION AND DISTRIBUTION CORPORATION
IN200264INTEGRATED ENTP. (I) LTD
MR. THIRU S. ARULSAMYCHIEF FINANCIAL CONTROLLERTAMILNADU GENERATION & DISTRIBUTION CORPORATION LT
IN200264INTEGRATED ENTP. (I) LTD
MR. K. GOVINDANCHIEF FINANCIAL CONTROLLER/GENERALTAMILNADU GENERATION & DISTRIBUTION CORPORATION LT
IN200264INTEGRATED ENTP. (I) LTD
MR. K. GOVINDANCHIEF FINANCIAL CONTROLLER/GENERALTAMILNADU GENERATION & DISTRIBUTION CORPORATION LT
IN200264INTEGRATED ENTP. (I) LTD
MR. K. GOVINDANCHIEF FINANCIAL CONTROLLER/GENERALTAMILNADU GENERATION & DISTRIBUTION CORPORATION LTIN200264
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IN200264INTEGRATED ENTP. (I) LTD
MR. THIRU K SUNDARAVADHANAMCHIEF FINANCIAL CONTROLLER
provisional BWR A (SO),BR
PROVISIONAL BWR A (SO)
PROVISIONAL BWR A (SO)
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A-(SO) BWR DT- 26.07.17
A-(SO) BWR DT- 28.10.16
A-(SO BWR DT- 20.09.16
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NA
NA
IN200176CAMEO CORPORATE SERV LTD
Mr.R.D. RamasamyDirectorCameo Corporate Services Limited
PROVISIONAL BWR A (SO) DATED 08.06.2012
IN200176CAMEO CORPORATE SERV LTD
Mr.R.D. RamasamyDirectorCameo Corporate Services Limited
IN200176CAMEO CORPORATE SERV LTD
Mr.R.D. RamasamyDirectorCameo Corporate Services Limited
IN200176CAMEO CORPORATE SERV LTD
Mr.R.D. RamasamyDirectorCameo Corporate Services Limited
IN200248INTEGRATED ENTP.(I) LTD, BANGALORE
MR. S. GIRIDHARINTEGRATED ENTP.(I) LTD, BANGALORENO. 30, RAMANA RESIDENCY,IN200248
INTEGRATED ENTP.(I) LTD, BANGALORE
MR. S. GIRIDHARINTEGRATED ENTP.(I) LTD, BANGALORENO. 30, RAMANA RESIDENCY,IN200248
INTEGRATED REG. MGT.SER.PVT. LTD,BANGALORE
MR. S. GIRIDHARINTEGRATED ENTP.(I) LTD, BANGALORENO. 30, RAMANA RESIDENCY,IN200248
INTEGRATED REG. MGT.SER.PVT. LTD,BANGALORE
MR. S. GIRIDHARINTEGRATED ENTP.(I) LTD, BANGALORENO. 30, RAMANA RESIDENCY,IN200248
INTEGRATED ENTP.(I) LTD, BANGALORE
MR. S. GIRIDHARINTEGRATED ENTP.(I) LTD, BANGALORENO. 30, RAMANA RESIDENCY,IN200248
INTEGRATED ENTP.(I) LTD, BANGALORE
MR. S. GIRIDHARINTEGRATED ENTP.(I) LTD, BANGALORENO. 30, RAMANA RESIDENCY,IN200248
INTEGRATED ENTP.(I) LTD, BANGALORE
MR. S. GIRIDHARINTEGRATED ENTP.(I) LTD, BANGALORENO. 30, RAMANA RESIDENCY,IN200117
BIGSHARE SERVICESMR. PRABHAKARDEPUTY GENERAL MANAGERBIGSHARE SERVICES PRIVATE LIMITEDIN200117
BIGSHARE SERVICESMR. PRABHAKARDEPUTY GENERAL MANAGERBIGSHARE SERVICES PRIVATE LIMITED
NA
NA
BB CARE DT- 23.02.15
B CARE DT- 26.02.16
AA+ CRISIL DT- 22.02.17
AA+ ICRA DT-26.09.2014
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AA+ ICRA DTD 23.09.15
AA+ ICRA DTD 13.08.2012
AA+ CRISIL DTD 13.08.2012
AA+ ICRA DTD 23.09.15
IN200393SHAREX
MR. MAHESH PATELDIRECTORTAPISHWAR SPACES PRIVATE LIMITED
IN200537VENTURE CAPITAL AND CORP INVEST PVT. LTD
Mr. P.V. SrinivasSenior ManagerVenture Capital And Corporate Investments Private Limited
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.IN200800
KARVY COMPUTERSHARE-4MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.IN200125
TSR DARASHAW LIMITEDMs. Madhuri NarangManagerTSR DARASHAW LIMITED6-10 HAJI MOOSA PATRAWALA IND. EST.
AA+(SO)CRISIL DT-10.03.16
IN200963NSDL DATABASE MANAGEMENT LIMITED
MR. NILESH BHANDAREASSISTANT MANAGERNSDL DATABASE MANAGEMENT LIMITED
TSR DARASHAW LIMITEDIN200125
Ms. S. R. BilimoriaSenior ManagerTSR DARASHAW LIMITED6-10
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. KAMLESH PAREKHHEAD LEGAL & COMPLIANCETATA CAPITAL FINANCIAL SERVICES LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. KAMLESH PAREKHHEAD LEGAL & COMPLIANCETATA CAPITAL FINANCIAL SERVICES LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITED
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AA+ CRISIL DT-30.09.2014
AA+ CRISIL DT-30.09.2014
AA+ CRISIL DT-30.09.2014
AA+ CRISIL DT-30.09.2014
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AA+ CRISIL DT-13.11.14
AA+ CRISIL DT- 03.06.2016
AA+ CRISIL DT- 03.06.2016
AA+ CRISIL DT-13.11.14
AA+ CRISIL DT- 03.06.2016
AA+ CRISIL DT-13.11.14
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. KAMLESH PAREKHHEAD LEGAL & COMPLIANCETATA CAPITAL FINANCIAL SERVICES LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200125
TSR DARASHAW LIMITEDMS. S. R. BILIMORIASENIOR MANAGERTSR DARASHAW LIMITED6- 10,
IN200125TSR DARASHAW LIMITED
MS. S. R. BILIMORIASENIOR MANAGERTSR DARASHAW LIMITED6- 10,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200125
TSR DARASHAW LIMITEDMS. S. R. BILIMORIASENIOR MANAGERTSR DARASHAW LIMITED6- 10,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITED
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CRISIL AA+ DT 26/12/2012
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AA+ CRISIL DT- 05.01.15
AA+ CRISIL DT-05.02.15
AA+ ICRA DT- 06.04.16
AA+ ICRA DT- 01.02.16
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IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. KAMLESH PAREKHHEAD LEGAL & COMPLIANCETATA CAPITAL FINANCIAL SERVICES LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. KAMLESH PAREKHHEAD LEGAL & COMPLIANCETATA CAPITAL FINANCIAL SERVICES LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. KAMLESH PAREKHHEAD LEGAL & COMPLIANCETATA CAPITAL FINANCIAL SERVICES LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
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SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
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SHAREPRO SERVICES (INDIA) PVT.LTD
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SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. KALIM SHEIKHMANAGERSHAREPRO SERVICES INDIA PRIVATE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. KALIM SHEIKHMANAGERSHAREPRO SERVICES INDIA PRIVATE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. KALIM SHEIKHMANAGERSHAREPRO SERVICES INDIA PRIVATE LIMITED
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AA+ CRISIL DT- 27.09.16
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AA+ CRISIL DT- 06.04.16
AA+ CRISIL DT- 06.04.16
AA+,CRISIL,DT-15.04.2013
AA+,CRISIL,DT-15.04.2013
AA+ CRISIL DTD 15.04.2013
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. KAMLESH PAREKHHEAD LEGAL & COMPLIANCETATA CAPITAL FINANCIAL SERVICES LIMITED
IN200125TSR DARASHAW LIMITED
MS. S. R. BILIMORIASENIOR MANAGERTSR DARASHAW LIMITED6- 10,
IN200125TSR DARASHAW LIMITED
MS. S. R. BILIMORIASENIOR MANAGERTSR DARASHAW LIMITED6- 10,
IN200125TSR DARASHAW LIMITED
MS. S. R. BILIMORIASENIOR MANAGERTSR DARASHAW LIMITED6- 10,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. KAMLESH PAREKHHEAD LEGAL & COMPLIANCETATA CAPITAL FINANCIAL SERVICES LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. KALIM SHEIKHMANAGERSHAREPRO SERVICES INDIA PRIVATE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. KALIM SHEIKHMANAGERSHAREPRO SERVICES INDIA PRIVATE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. KAMLESH PAREKHHEAD LEGAL & COMPLIANCETATA CAPITAL FINANCIAL SERVICES LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. KAMLESH PAREKHHEAD LEGAL & COMPLIANCETATA CAPITAL FINANCIAL SERVICES LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. KAMLESH PAREKHHEAD LEGAL & COMPLIANCETATA CAPITAL FINANCIAL SERVICES LIMITED
AA+ CRISIL DTD 15.04.2013
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IN200125TSR DARASHAW LIMITED
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IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
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TSR DARASHAW LIMITEDIN200125
Mr Rajiv ChandanCompany SecretaryBombay House24, Homi Mody Street
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Sharepro Services (India)Pvt.Ltd.IN200043
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Sharepro Services (India)Pvt.Ltd.IN200043
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AA CRISIL DT- 19.12.16
AA CRISIL DT- 10.03.14
AA CRISIL DT-11.02.2014
AA CRISIL DT-21.04.16
AA CRISIL DT- 10.03.14
IN200125TSR DARASHAW LIMITED
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200125TSR DARASHAW LIMITED
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200125TSR DARASHAW LIMITED
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200125TSR DARASHAW LIMITED
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
AA CRISIL DT- 10.03.14
AA CRISIL DT-29.03.2016
AA CRISIL DT- 29.03.16
AA CRISIL DT-30.11.15
AA+ CARE DT-05.04.17
AA CRISIL DT- 30.10.15
AA CRISIL DT- 23.05.16
AA CRISIL DT- 23.05.16
AA CRISIL DT-13.06.2016
AA CRISIL DT-22.07.16
AA CRISIL DT- 26.09.14
AA CRISIL DT- 26/09/14
AA CRISIL DT- 30.10.15
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200125TSR DARASHAW LIMITED
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200125TSR DARASHAW LIMITED
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200125TSR DARASHAW LIMITED
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200125TSR DARASHAW LIMITED
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200125TSR DARASHAW LIMITED
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
AA CRISIL DT-03.01.17
AA CRISIL DT-03.01.17
AA CRISIL DT-03.01.17
AA CRISIL DT-03.01.17
AA CRISIL DT-03.01.17
AA+ CARE DT- 20.07.2017
AA CRISIL DT-30.11.15
AA CRISIL DT- 29.03.16
AA CRISIL DT- 21.04.16
AA CRISIL DT- 23.05.16
AA CRISIL DT-23.05.16
AA CRISIL DT-13.06.2016
AA CRISIL DT-22.07.16
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairChief ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairChief ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairChief ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairChief ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairChief ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala
IN200125TSR DARASHAW LIMITED
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200125TSR DARASHAW LIMITED
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200125TSR DARASHAW LIMITED
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200125TSR DARASHAW LIMITED
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200125TSR DARASHAW LIMITED
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
IN200125TSR DARASHAW LIMITED
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
AA ICRA DT-08.09.2014
AA ICRA DT-24.11.2014
A+ ICRA DT- 06/08/14
AA- CRISIL DT-02.01.2014
AA,CRISIL,DT-18-10-2011
AA,CRISIL,DT-18-10-2011
AA+,CRISIL,DT-09.04.2012
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Vinay LavannisCompany SecretaryTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Vinay LavannisCompany SecretaryTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Vinay LavannisCompany SecretaryTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE LIMITED
Sharepro Services (India)Pvt.Ltd.IN200043
Mr. Vinay LavannisDy Company SecrectaryTATA MOTORS FINANCE LIMITED (FORMERLY TML FINANCIAL SERVICES LTD.)
Sharepro Services (India)Pvt.Ltd.IN200043
Sharepro Services (India)Pvt.Ltd.IN200043
Mr. Vinay LavannisDy Company SecrectaryTATA MOTORS FINANCE LIMITED (FORMERLY TML FINANCIAL SERVICES LTD.)
Sharepro Services (India)Pvt.Ltd.IN200043
Mr. Vinay LavannisDy Company SecrectaryTATA MOTORS FINANCE LIMITED (FORMERLY TML FINANCIAL SERVICES LTD.)
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Vinay LavannisDy Company SecrectaryTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Vinay LavannisDy Company SecrectaryTata Motors Finance LimitedCyber Tech House,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Vinay LavannisDy Company SecrectaryTata Motors Finance LimitedCyber Tech House,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Vinay LavannisDy Company SecrectaryTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Vinay LavannisCompany SecretaryTATA MOTORS FINANCE LIMITED
AA-/POSITIVE CRISIL 09.04.12
CRISIL AA- DTD 07/12/2012
AA-/POSI CRISIL 04.04.13
AA-/POSITIVE CRISIL4.4.13
AA ICRA DT-08.09.2014
A+ CRISIL DTD 09.04.2012
A+ CRISIL DTD 09.04.2012
A+ CRISIL DTD 04.04.2013
A+ CRISIL DTD 04.04.2013
AA CRISIL DT- 03.03.16
AA CRISIL DT- 03.03.16
CARE AA+ DT-15.07.16
AA CARE DT 09.12.13
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Vinay LavannisCompany SecretaryTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Vinay LavannisCompany SecretaryTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Vinay LavannisCompany SecretaryTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Vinay LavannisCompany SecretaryTATA MOTORS FINANCE LIMITED
Sharepro Services (India)Pvt.Ltd.IN200043
Mr. Vinay LavannisDy Company SecrectaryTATA MOTORS FINANCE LIMITED (FORMERLY TML FINANCIAL SERVICES LTD.)
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Vinay LavannisDy Company SecrectaryTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Vinay LavannisCompany SecretaryTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Vinay LavannisCompany SecretaryTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Vinay LavannisCompany SecretaryTATA MOTORS FINANCE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE SOLUTIONS PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. VINAY LAVANNISCOMPANY SECRETARYTATA MOTORS FINANCE SOLUTIONS PRIVATE LIMITEDIN200125
TSR DARASHAW LIMITEDMs. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. EstaIN200125
TSR DARASHAW PRIVATE LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. Esta
CARE AA+ DT-19.04.16
AA CARE, AA- ICRA
AA+ CARE DT 25.09.14
AA+ CARE DT- 25.07.17
AA+ CARE DT 25.09.14
CARE AA+ DT-17.05.16
AA+ CARE DT- 25.07.17
AA+ CARE DT- 18.10.2016
CARE AA+ DT-05/12/2014
AA+ CARE DT- 02.03.17
AA+ CARE DT- 21.06.17
AA+ CARE DT-03.11.2014
AA+ CARE DT 11.08.14
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. EstaIN200125
TSR DARASHAW LIMITEDMR. HOSHANG SETHNACOMPANY SECRETARYTATA MOTORS LIMITEDBOMBAY HOUSE
IN200125TSR DARASHAW PRIVATE LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. EstaIN200125
TSR DARASHAW LIMITEDMs. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. EstaIN200125
TSR DARASHAW PRIVATE LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. EstaIN200125
TSR DARASHAW LIMITEDMs. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. EstaIN200125
TSR DARASHAW LIMITEDMs. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. EstaIN200125
TSR DARASHAW LIMITEDMs. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. EstaIN200125
TSR DARASHAW PRIVATE LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. EstaIN200125
TSR DARASHAW LIMITEDMs. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. EstaIN200125
TSR DARASHAW LIMITEDMs. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. EstaIN200125
TSR DARASHAW PRIVATE LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. EstaIN200125
TSR DARASHAW PRIVATE LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. Esta
AA CARE
AA CARE
AA+ CARE DT- 26.07.16
AA+ CARE DT- 20.10.14
AA+ CARE DT 08.09.14
AA(SO) CARE DT- 17.05.17
AA(SO) CARE DT- 13.06.16
AA(SO) CARE DT- 19.01.16
IN200125TSR DARASHAW LIMITED
MR. HOSHANG SETHNACOMPANY SECRETARYTATA MOTORS LIMITEDBOMBAY HOUSE
IN200125TSR DARASHAW LIMITED
MR. HOSHANG SETHNACOMPANY SECRETARYTATA MOTORS LIMITEDBOMBAY HOUSE
TSR DARASHAW LIMITEDIN200125
Mr. Hoshang SethnaCompany SecretaryTATA MOTORS LIMITED (EARLIER TATA ENGINEERING AND LOCOMOTIVE CO. LTD)
TSR DARASHAW LIMITEDIN200125
Mr. Hoshang SethnaCompany SecretaryTATA MOTORS LIMITED (EARLIER TATA ENGINEERING AND LOCOMOTIVE CO. LTD)
TSR DARASHAW LIMITEDIN200125
Mr. Hoshang SethnaCompany SecretaryTATA MOTORS LIMITED (EARLIER TATA ENGINEERING AND LOCOMOTIVE CO. LTD)
TSR DARASHAW LIMITEDIN200125
Mr. Hoshang SethnaCompany SecretaryTATA MOTORS LIMITED (EARLIER TATA ENGINEERING AND LOCOMOTIVE CO. LTD)
TSR DARASHAW LIMITEDIN200125
Mr. Hoshang SethnaCompany SecretaryTATA MOTORS LIMITED (EARLIER TATA ENGINEERING AND LOCOMOTIVE CO. LTD)
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. EstaIN200125
TSR DARASHAW PRIVATE LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. EstaIN200125
TSR DARASHAW PRIVATE LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. EstaIN200125
TSR DARASHAW LIMITEDMs. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. EstaIN200125
TSR DARASHAW LIMITEDMs. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. EstaIN200125
TSR DARASHAW LIMITEDMs. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. Esta
AA(SO) CARE DT- 13.06.16
AA CRISIL DT- 27.04.16
AA CRISIL DT- 16.06.16
AA CRISIL DT- 27.04.16
AA CRISIL DT- 24.10.16
AA CRISIL DT- 24.10.16
AA CRISIL DT- 24.10.16
A+ CRISIL DT- 17.03.16
A+ CRISIL DT- 17.03.16
A+ CRISIL DT- 17.03.16
A+ CRISIL DT- 13.03.15
AAA,CRISIL DT-13.01.14
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. EstaIN200512
UNIVERSAL CAPITAL SECURITIES PRIVATE LIMITED
MR. RAVINDRA UTEKARVICE PRESIDENTUNIVERSAL CAPITAL SECURITIES PRIVATE LIMITEDIN200512
UNIVERSAL CAPITAL SECURITIES PRIVATE LIMITED
MR. RAVINDRA UTEKARVICE PRESIDENTUNIVERSAL CAPITAL SECURITIES PRIVATE LIMITEDIN200512
UNIVERSAL CAPITAL SECURITIES PRIVATE LIMITED
MR. RAVINDRA UTEKARVICE PRESIDENTUNIVERSAL CAPITAL SECURITIES PRIVATE LIMITEDIN200512
UNIVERSAL CAPITAL SECURITIES PRIVATE LIMITED
Mr. Ravindra UtekarVice PresidentUniversal Capital Securities Private Limited
AA CRSIL DATED-16.06.2016
IN200512UNIVERSAL CAPITAL SECURITIES PRIVATE LIMITED
Mr. Ravindra UtekarVice PresidentUniversal Capital Securities Private Limited
IN200512UNIVERSAL CAPITAL SECURITIES PRIVATE LIMITED
Mr. Ravindra UtekarVice PresidentUniversal Capital Securities Private Limited
IN200512UNIVERSAL CAPITAL SECURITIES PRIVATE LIMITED
Mr. Ravindra UtekarVice PresidentUniversal Capital Securities Private Limited
IN200125TSR DARASHAW LIMITED
MS. SHEHNAZ BILLIMORIASENIOR MANAGERTSR Darashaw Private Limited
IN200125TSR DARASHAW LIMITED
MS. SHEHNAZ BILLIMORIASENIOR MANAGERTSR Darashaw Private Limited
IN200125TSR DARASHAW LIMITED
MS. SHEHNAZ BILLIMORIASENIOR MANAGERTSR Darashaw Private Limited
IN200125TSR DARASHAW LIMITED
MS. SHEHNAZ BILLIMORIASENIOR MANAGERTSR Darashaw Private Limited
IN200125TSR DARASHAW PRIVATE LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited6-10, Haji Moosa Patrawala Ind.
AAA CRISIL DTD 02.01.17
AAA,CRISIL DT-13.12.13
AAA,CRISIL DT-13.01.14
AAA CRISIL DTD 02.01.17
AAA CRISIL & ICRA
AAA CRISIL DT-30.05.14
AAA CRISIL DT-16.06.14
AAA CRISIL DT-21.01.15
AAA CRISIL DTD 02.01.17
AAA CRISIL DTD 27-02-17
AAA CRISIL DTD 27-02-17
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited
IN200125TSR DARASHAW PRIVATE LIMITED
MS. GOWRI A RSenior ManagerTATA SONS LIMITEDBombay House,
AAA CRISIL DTD 02.05.2013
IN200125TSR DARASHAW PRIVATE LIMITED
MS. GOWRI A RSenior ManagerTATA SONS LIMITEDBombay House,
IN200125TSR DARASHAW PRIVATE LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited6-10, Haji Moosa Patrawala Ind.IN200125
TSR DARASHAW LIMITEDMs. Nandini NairSenior ManagerTSR Darashaw Private Limited
IN200125TSR DARASHAW PRIVATE LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited6-10, Haji Moosa Patrawala Ind.IN200125
TSR DARASHAW PRIVATE LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited6-10, Haji Moosa Patrawala Ind.IN200125
TSR DARASHAW PRIVATE LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited6-10, Haji Moosa Patrawala Ind.IN200125
TSR DARASHAW LIMITEDMs. Nandini NairSenior ManagerTSR Darashaw Private Limited
AAA CRISIL DTD 12.12.2016
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. EstaIN200125
TSR DARASHAW LIMITEDMs. Nandini NairSenior ManagerTSR Darashaw Private Limited
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited
AAA CRISIL DTD 27-02-17
AAA CRISIL DTD 27-02-17
AAA CRISIL DTD 11.08.17
AAA CRISIL DT-11.08.17
AAA CRISIL DT-11.08.17
AAA CRISIL DT- 18.08.2017
AAA CRISIL DT- 18.08.2017
AAA CRISIL DTD 26.08.15
AAA CRISIL DTD 02.01.17
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited
TSR DARASHAW LIMITEDIN200125
Mr. Manoj Kumar C.V.Senior ManagerTATA SONS LIMITEDBombay House,
TSR DARASHAW LIMITEDIN200125
Mr. Manoj Kumar C.V.Senior ManagerTATA SONS LIMITEDBombay House,
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. EstaIN200125
TSR DARASHAW LIMITEDMs. Nandini NairSenior ManagerTSR Darashaw Private Limited
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited
TSR DARASHAW LIMITEDIN200125
Mr. Manoj Kumar C.V.Senior ManagerTATA SONS LIMITEDBombay House,
TSR DARASHAW LIMITEDIN200125
Mr. Manoj Kumar C.V.Senior ManagerTATA SONS LIMITEDBombay House,
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited
AAA CRISIL DTD 01.09.16
AAA CRISIL DTD 22.03.17
AAA CRISIL DTD 22.03.17
AAA,CRISIL,DT-25-04-2012
AAA CRISIL DTD 08.08.17
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited
AAA CRISIL DTD 04.08.2016
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited
AAA CRISIL DTD 12.12.2016
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited
IN200125TSR DARASHAW LIMITED
MS. GOWRI A RSenior ManagerTATA SONS LIMITEDBombay House,
IN200125TSR DARASHAW LIMITED
MS. GOWRI A RSenior ManagerTATA SONS LIMITEDBombay House,
AAA CRISIL DTD 12.06.2012
IN200125TSR DARASHAW LIMITED
MS. GOWRI A RSenior ManagerTATA SONS LIMITEDBombay House,
AAA CRISIL DTD 23.07.2012
IN200125TSR DARASHAW LIMITED
MS. GOWRI A RSenior ManagerTATA SONS LIMITEDBombay House,
AAA CRISIL DTD 13.08.2012
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited
IN200125TSR DARASHAW LIMITED
MS. GOWRI A RSenior ManagerTATA SONS LIMITEDBombay House,
AAA CRISIL DTD 29.08.2012
IN200125TSR DARASHAW LIMITED
MS. GOWRI A RSenior ManagerTATA SONS LIMITEDBombay House,
AAA CRISIL DTD 13.09.2012
IN200125TSR DARASHAW PRIVATE LIMITED
MS. GOWRI A RSenior ManagerTATA SONS LIMITEDBombay House,
AAA CRISIL DTD 02.05.2013
AAA,CRISIL DT-13.12.13
AAA,CRISIL DT-13.01.14
AAA CRISIL & ICRA
AAA CRISIL DT- 30.05.14
AAA CRISIL DT-16/06/2014
AAA CRISIL DT-21.01.15
AAA CRISIL DTD 26.08.15
AAA CRISIL DT- 14.01.16
AAA CRISIL DTD 01.09.16
AAA,CRISIL,DT-23/11/2012
IN200125TSR DARASHAW PRIVATE LIMITED
MS. GOWRI A RSenior ManagerTATA SONS LIMITEDBombay House,
AAA CRISIL DTD 21.05.2013
IN200125TSR DARASHAW PRIVATE LIMITED
MS. GOWRI A RSenior ManagerTATA SONS LIMITEDBombay House,
IN200125TSR DARASHAW PRIVATE LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited6-10, Haji Moosa Patrawala Ind.IN200125
TSR DARASHAW PRIVATE LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited6-10, Haji Moosa Patrawala Ind.IN200125
TSR DARASHAW PRIVATE LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited6-10, Haji Moosa Patrawala Ind.IN200125
TSR DARASHAW PRIVATE LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited6-10, Haji Moosa Patrawala Ind.IN200125
TSR DARASHAW LIMITEDMs. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. EstaIN200125
TSR DARASHAW LIMITEDMs. Nandini NairSenior ManagerTSR Darashaw Private Limited
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala Ind. EstaIN200125
TSR DARASHAW LIMITEDMs. Nandini NairSenior ManagerTSR Darashaw Private Limited
AAA CRISIL DTD 04.08.2016
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited
IN200125TSR DARASHAW PRIVATE LIMITED
MS. GOWRI A RSenior ManagerTATA SONS LIMITEDBombay House,
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited
AAA CRISIL DTD 04.08.2016
AAA CRISIL DTD 01.09.16
AAA CRISIL DTD 03.01.17
AA+ CARE DT- 22.09.16
AA,CARE,DT-16-03-2011
AA,CARE,DT-09-05-2011
CARE AA+ & BWR AA+
AA+ CARE AND AA+ BWR
AA+ CARE AND AA+ BWR
A+ IND DT-18.05.2015
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited
IN200125TSR DARASHAW LIMITED
MS. VIDYA BRAHMEMANAGERTSR DARASHAW PVT LTD6-10 HAJI MOOSA,
IN200125TSR DARASHAW LIMITED
Mr. A.AnijeneyamCompany SecretaryTATA STEEL LIMITEDBombay House
IN200125TSR DARASHAW LIMITED
Mr. A. AnjeneyamCompany SecretaryTata Steel LimitedBombay House 24,
IN200125TSR DARASHAW LIMITED
MR. A. ANJENEYANCOMPANY SECRTETARYTATA STEEL LTDBOMBAY HOUSE,
IN200125TSR DARASHAW LIMITED
MR. A. ANJENEYANCOMPANY SECRTETARYTATA STEEL LTDBOMBAY HOUSE,
TSR DARASHAW LIMITEDIN200125
Mr. J.C. BhamCompany SecretaryBombay House24, Homi Mody Street
TSR DARASHAW LIMITEDIN200125
Mr. J.C. BhamCompany SecretaryBombay House24, Homi Mody Street
IN200125TSR DARASHAW LIMITED
Mr. A.AnijeneyamCompany SecretaryBombay House24, Homi Mody
IN200125TSR DARASHAW PRIVATE LIMITED
MR. A. ANJENEYANCOMPANY SECRTETARYTATA STEEL LTDBOMBAY HOUSE,
IN200125TSR DARASHAW PRIVATE LIMITED
MR. A. ANJENEYANCOMPANY SECRTETARYTATA STEEL LTDBOMBAY HOUSE,
IN200125TSR DARASHAW LIMITED
MS. SHEHNAZ BILLIMORIASENIOR MANAGERTSR Darashaw Private Limited6-10 Haji Moosa Patrawala Industrial
A+ IND DT-18.05.2015
A+ IND DT-18.05.2015
A+ CARE
AA CARE DT- 27.01.15
AA CARE DT- 14.09.16
NA
NA
NA
AA- CRISIL DTD 24.01.2013
NA
AA ICRA DT- 24.01.17
NA
IN200125TSR DARASHAW LIMITED
MS. SHEHNAZ BILLIMORIASENIOR MANAGERTSR Darashaw Private Limited6-10 Haji Moosa Patrawala IndustrialIN200125
TSR DARASHAW LIMITEDMS. SHEHNAZ BILLIMORIASENIOR MANAGERTSR Darashaw Private Limited6-10 Haji Moosa Patrawala IndustrialIN200035
KARVY COMPUTERSHAREMR. KIRAN THACKERG.M. - COMPANY SECRETARYTATA TELESERVICES LIMITEDKARVY COMPUTERSHARE
PVT. LTD.IN200035
Mr. Kiran ThackerG.M. - Company SecretaryTATA TELESERVICES LIMITED
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. AMIT DODANIASSISTANT COMPANY SECRETARYTATA VALUE HOMES LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. AMIT DODANIASSISTANT COMPANY SECRETARYTATA VALUE HOMES LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. AJITKUMARAUTHORISED PERSONTATTVA & MITTAL LIFESPACES PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. AJITKUMARAUTHORISED PERSONTATTVA & MITTAL LIFESPACES PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. AJITKUMARAUTHORISED PERSONTATTVA & MITTAL LIFESPACES PRIVATE LIMITEDIN200490
NICHE TECHNOLOGIESMr. S. AbbasSenior Manager - SystemsNiche Technologies Private Limited
IN200117BIGSHARE SERVICES
MR. T.P. RAJUASST. VICE PRESIDENTBIGSHARE SERVICES PRIVATE LTD.
IN200117BIGSHARE SERVICES
MR. VIPIN GUPTAASST. MANAGERBIGSHARE SERVICES PVT LTD
IN200117BIGSHARE SERVICES
MR. VIPIN GUPTAASST. MANAGERBIGSHARE SERVICES PVT LTD
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AA IND DT- 17.02.17
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IN200800KARVY COMPUTERSHARE-4
MR. S.P. VENUGOPALKARVY COMPUTERSHAREKARVY SELENIUM TOWER B,
THE BANK OF RAJASTHAN LIMITEDIN100212
Mr. P.K.AgarwalCompany Secretary11/12 Raghuvanshi Mills Compound
THE BANK OF RAJASTHAN LIMITEDIN100212
Mr. P.K.AgarwalCompany Secretary11/12 Raghuvanshi Mills Compound
THE BANK OF RAJASTHAN LIMITEDIN100212
Mr. D.K. JainCompany SecretaryTHE BANK OF RAJASTHAN LIMITED
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MR. S.P. VENUGOPALKARVY COMPUTERSHAREKARVY SELENIUM TOWER B,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. SIJO VARGHESECOMPANY SECRETARYTHE CATHOLIC SYRIAN BANK LIMITED
UTI TECHNOLOGY SERVICES LIMITEDIN200631
Mr.Sunil BhoiteAsst.Vice PresidentUTI TECHNOLOGY SERVICES LIMITED
Sharepro Services (India)Pvt.Ltd.IN200043
Mr. Dilip SawantGeneral ManagerSharepro Services (India)Pvt.Ltd.
Sharepro Services (India)Pvt.Ltd.IN200043
Mr. Dilip SawantGeneral ManagerSharepro Services (India)Pvt.Ltd.
Sharepro Services (India)Pvt.Ltd.IN200043
Mr. Dilip SawantGeneral ManagerSharepro Services (India)Pvt.Ltd.
Sharepro Services (India)Pvt.Ltd.IN200043
Mr. Dilip SawantGeneral ManagerSharepro Services (India)Pvt.Ltd.
Sharepro Services (India)Pvt.Ltd.IN200043
Mr. Dilip SawantGeneral Manager13AB, Samhita Warehousing Complex, 2
Sharepro Services (India)Pvt.Ltd.IN200043
Mr. Dilip SawantGeneral Manager13AB, Samhita Warehousing Complex, 2
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AAA,CARE,DT-19-11-2010
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Sharepro Services (India)Pvt.Ltd.IN200043
Mr. Dilip SawantGeneral Manager13AB, Samhita Warehousing Complex, 2
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. DILIP SAWANTGENERAL MANAGERSHAREPRO SERVICES (INDIA) PRIVATE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Dilip SawantGeneral ManagerSharepro Services (India) Private Limited
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Dilip SawantGeneral ManagerSharepro Services (India) Private Limited
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Dilip SawantGeneral ManagerSharepro Services (India)Pvt.Ltd.
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. Dilip SawantGeneral ManagerSharepro Services (India) Private Limited
IN200800KARVY COMPUTERSHARE-4
MR. V K JAYARAMANGENERAL MANAGER RISKARVY COMPUTERSHARE PVT LTD
IN200800KARVY COMPUTERSHARE-4
MR. V K JAYARAMANGENERAL MANAGER RISKARVY COMPUTERSHARE PVT LTD
IN200800KARVY COMPUTERSHARE-4
MR. V K JAYARAMANGENERAL MANAGER RISKARVY COMPUTERSHARE PVT LTD
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. RAJESH JADHAVSENIOR MANAGERSHAREPRO SERVICES INDIA PRIVATE LIMITED
IN200800KARVY COMPUTERSHARE-4
MR. V K JAYARAMANGENERAL MANAGER RISKARVY COMPUTERSHARE PVT LTD
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. RAJESH JADHAVSENIOR MANAGERSHAREPRO SERVICES INDIA PRIVATE LIMITED
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MR. V K JAYARAMANGENERAL MANAGER RISKARVY COMPUTERSHARE PVT LTD
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IN200800KARVY COMPUTERSHARE-4
MR. V K JAYARAMANGENERAL MANAGER RISKARVY COMPUTERSHARE PVT LTD
IN200264INTEGRATED ENTP. (I) LTD
MR. S. SRIDHARANCOMPANY SECRETARYThe India Cements LimitedCOROMANDEL TOWERS,
THE INDIAN HOTELS COMPANY LTDIN100261
Mr.P.SankerVice President - Legal & Company SecretaryTHE INDIAN HOTELS COMPANY LIMITEDIN100261
THE INDIAN HOTELS COMPANY LTD-SHR
Mr. Beejal DesaiVice President - Legal & Company SecretaryTHE INDIAN HOTELS COMPANY LIMITEDIN100261
THE INDIAN HOTELS COMPANY LTD-SHR
Mr. Beejal DesaiVice President - Legal & Company SecretaryTHE INDIAN HOTELS COMPANY LIMITEDIN100261
THE INDIAN HOTELS COMPANY LTD-SHR
IN100261THE INDIAN HOTELS COMPANY LTD-SHR
Mr. Beejal DesaiVice President - Legal & Company SecretaryTHE INDIAN HOTELS COMPANY LIMITEDKARVY COMPUTERSHARE
PVT. LTD.IN200035
Mr. Parvez AhmadPresident & Company SecretaryTHE JAMMU & KASHMIR BANK LTD.SKDC CONSULTANTS LTD.
IN200465
IN200264INTEGRATED ENTP. (I) LTD
Mr. SureshBabu K.ManagerIntegrated Enterprises (India) Limited
BWR A,BRICKWORK,02-01-12
IN200264INTEGRATED ENTP. (I) LTD
Mr. SureshBabu K.ManagerIntegrated Enterprises (India) Limited
IN200264INTEGRATED ENTP. (I) LTD
MR. S. SRIRAMIntegrated Enterprises (India) Limited2nd Floor,
IN200264INTEGRATED REG. MGT.SER. PVT. LTD
Mr. Suresh Babu K.Senior Vice PresidentIntegrated Enterprises (India) Limited
A- CARE DT- 04.09.15
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AA CARE DTD 03.11.14
IN200264INTEGRATED ENTP. (I) LTD
Mr. Suresh Babu K.Senior Vice PresidentIntegrated Enterprises (India) Limited
ALPHA SYSTEMS PVT. LTD.IN200248
Mr. H. S. N. RaoGeneral Manager & Company SecretaryTHE MYSORE PAPER MILLS LIMITEDIN200248
INTEGRATED ENTP.(I) LTD, BANGALORE
MR. MOHAN D KULKARNICOMPANY SECRETARYTHE MYSORE PAPER MILLS LIMITED
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MR. MOHAN D KULKARNICOMPANY SECRETARYTHE MYSORE PAPER MILLS LIMITED
AAA CRISIL DTD 11.06.2013
IN100173THE RAMCO CEMENTS LIMITED
Mr. K. SelvanayagamSecretaryTHE RAMCO CEMENTS LIMITED
BTS CONSULTANCY SERVICES PVT LTDIN200859
Mr. K. S. KrishananCompany SecretarySIB House,TB RoadPB No.28
IN200859BTS CONSULTANCY SERVICES PRIVATE LIMITED
Mr. S. Ramesh BabuDirectorBTS Consultancy Services Private Limited
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,
IN200125TSR DARASHAW PRIVATE LIMITED
MS. VIDYA BRAHMEMANAGERTSR DARASHAW PVT LTD6-10 HAJI MOOSA,
TSR DARASHAW LIMITEDIN200125
Mr. B. J. ShroffCompany SecretaryBombay House24, Homi Mody Street
TSR DARASHAW LIMITEDIN200125
Mr. B. J. ShroffCompany SecretaryBombay House24, Homi Mody Street
TSR DARASHAW LIMITEDIN200125
Mr. B. J. ShroffCompany SecretaryTHE TATA POWER COMPANY LIMITED
TSR DARASHAW LIMITEDIN200125
Mr. B. J. ShroffCompany SecretaryTHE TATA POWER COMPANY LIMITED
AA ICRA DT- 28.07.16
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CARE AA DTD 12/11/2012
AA CARE DT- 07.01.16
TSR DARASHAW LIMITEDIN200125
Mr. B. J. ShroffCompany SecretaryTHE TATA POWER COMPANY LIMITED
IN200125TSR DARASHAW LIMITED
MS. VIDYA BRAHMEMANAGERTSR DARASHAW PVT LTD6-10 HAJI MOOSA,
TSR DARASHAW LIMITEDIN200125
Mr. B. J. ShroffCompany SecretaryTHE TATA POWER COMPANY LIMITED
IN200125TSR DARASHAW PRIVATE LIMITED
MS. VIDYA BRAHMEMANAGERTSR DARASHAW PVT LTD6-10 HAJI MOOSA,
TSR DARASHAW LIMITEDIN200125
Mr. B. J. ShroffCompany SecretaryTHE TATA POWER COMPANY LIMITED
TSR DARASHAW LIMITEDIN200125
Mr. B. J. ShroffCompany SecretaryTHE TATA POWER COMPANY LIMITED
TSR DARASHAW LIMITEDIN200125
Mr. B. J. ShroffCompany SecretaryTHE TATA POWER COMPANY LIMITED
TSR DARASHAW LIMITEDIN200125
Mr. B. J. ShroffCompany SecretaryTHE TATA POWER COMPANY LIMITED
TSR DARASHAW LIMITEDIN200125
Mr. B. J. ShroffCompany SecretaryTHE TATA POWER COMPANY LIMITED
TSR DARASHAW LIMITEDIN200125
Mr. B. J. ShroffCompany SecretaryTHE TATA POWER COMPANY LIMITED
IN200125TSR DARASHAW LIMITED
MR. M. M. MISTRYCOMPANY SECRETARYTHE TATA POWER COMPANY LIMITED
IN200125TSR DARASHAW LIMITED
MS. VIDYA BRAHMEMANAGERTSR DARASHAW PVT LTD6-10 HAJI MOOSA,
TSR DARASHAW LIMITEDIN200125
Mr. B. J. ShroffCompany SecretaryTHE TATA POWER COMPANY LIMITED
AA CARE DTD 16.08.2012
AA,CARE,DT-27-05-2011
BB+ ICRA DT- 06.11.15
BB+ ICRA DT-01.03.16
BB ICRA DT- 30.06.15
BBB- ICRA DT-13.12.16
NA
TSR DARASHAW LIMITEDIN200125
Mr. B. J. ShroffCompany SecretaryTHE TATA POWER COMPANY LIMITED
TSR DARASHAW LIMITEDIN200125
Mr. B. J. ShroffCompany SecretaryTHE TATA POWER COMPANY LIMITED
TSR DARASHAW LIMITEDIN200125
Mr. B. J. ShroffCompany SecretaryTHE TATA POWER COMPANY LIMITED
TSR DARASHAW LIMITEDIN200125
Mr. B. J. ShroffCompany SecretaryTHE TATA POWER COMPANY LIMITED
TSR DARASHAW LIMITEDIN200125
Mr. B. J. ShroffCompany SecretaryTHE TATA POWER COMPANY LIMITED
IN200125TSR DARASHAW LIMITED
MR. M. M. MISTRYCOMPANY SECRETARYTHE TATA POWER COMPANY LIMITED
IN200125TSR DARASHAW LIMITED
Mr. B. J. ShroffCompany SecretaryTHE TATA POWER COMPANY LIMITED
IN200117BIGSHARE SERVICES
Mr. Babu Rapheal CSr. ManagerBigshare Services Pvt. Limited,
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. NILESH BHANDARESENIOR MANAGER - DEPOSITORYSHAREPRO SERVICES INDIA PRIVATE LIMITEDIN200800
KARVY COMPUTERSHARE-4Mr. S. P. VenugopalDeputy General ManagerKarvy Computershare Private Limited
IN200800KARVY COMPUTERSHARE-4
Mr. S. P. VenugopalDeputy General ManagerKarvy Computershare Private Limited
BBB- ICRA DT- 21.07.17
NA
NA
NA
NA
NA
AA- CRISIL & ICRA
AA ICRA DT- 24.08.15
AA ICRA DT- 24.08.15
AA ICRA DT- 24.08.15
NA
BBB-(SO) ICRA DT-09.12.14
NA
IN200800KARVY COMPUTERSHARE-4
Mr. S. P. VenugopalDeputy General ManagerKarvy Computershare Private Limited
IN200800KARVY COMPUTERSHARE-4
Mr. S. P. VenugopalDeputy General ManagerKarvy Computershare Private Limited
IN200800KARVY COMPUTERSHARE-4
MR. S.P. VENUGOPALKARVY COMPUTERSHAREKARVY SELENIUM TOWER B,
IN200800KARVY COMPUTERSHARE-4
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IN200800KARVY COMPUTERSHARE-4
MR. S.P. VENUGOPALKARVY COMPUTERSHAREKARVY SELENIUM TOWER B,
IN200800KARVY COMPUTERSHARE-4
MR. S.P. VENUGOPALKARVY COMPUTERSHAREKARVY SELENIUM TOWER B,
IN200125TSR DARASHAW PRIVATE LIMITED
Ms. Nandini NairSenior ManagerTSR Darashaw Private Limited6-10, Haji Moosa Patrawala Ind.IN200125
TSR DARASHAW LIMITEDMs. S. R. BillimoriaSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala
IN200125TSR DARASHAW LIMITED
Ms. S. R. BillimoriaSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala
IN200125TSR DARASHAW LIMITED
Ms. S. R. BillimoriaSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.IN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
IN200537VENTURE CAPITAL AND CORP INVEST PVT. LTD
Mr. P.V. SrinivasSenior ManagerVenture Capital And Corporate Investments Private LimitedIN200875
BGSE FINANCIALS LIMITEDMR. NAGESH RAO RMANAGER - OPERATIONSBGSE FINANCIALS LIMITEDRTA DIVISION, STOCK EXCHANGE TOWER,IN200875
BGSE FINANCIALS LIMITEDMR. NAGESH RAO RMANAGER - OPERATIONSBGSE FINANCIALS LIMITEDRTA DIVISION, STOCK EXCHANGE TOWER,IN200875
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NA
NA
NA
NA
NA
AA-(SO) BWR
NA
NA
NA
NA
AA ICRA DT- 16.06.15
AA ICRA DT- 16.06.15
AA ICRA DT- 16.06.15
IN200875BGSE FINANCIALS LIMITED
MR. NAGESH RAO RAVP -RTABGSE FINANCIALS LIMITEDRTA DIVISION, STOCK EXCHANGE TOWER,IN200875
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MAHESHWARI DATAMATICSMr. S. RajagopalVice PresidentMaheshwari Datamatics Private Limited
IN200117BIGSHARE SERVICES
Mr. Babu Rapheal CSr. ManagerBigshare Services Pvt. Limited,
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MR. S.P. VENUGOPALKARVY COMPUTERSHAREKARVY SELENIUM TOWER B,
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IN200800KARVY COMPUTERSHARE-4
MR. P.A.VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200800
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KARVY COMPUTERSHARE-4MR. P.A.VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD
AA ICRA DT- 16.06.15
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AA- CRISIL DTD 11.12.15
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NA
BB- BWR DTD-19.10.16
NA
IN200800KARVY COMPUTERSHARE-4
MR. P.A.VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200800
KARVY COMPUTERSHARE-4Mr. S. P. VenugopalDeputy General ManagerKarvy Computershare Private Limited
IN200800KARVY COMPUTERSHARE-4
Mr. S. P. VenugopalDeputy General ManagerKarvy Computershare Private Limited
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. DARSHAN SONICOMPANY SECRETARY AND COMPLIANCE OFFICERTORRENT POWER LIMITED
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVAVP DEPOSIROTY OPERATIONLINK INTIME INDIA PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. DARSHAN SONICOMPANY SECRETARY AND COMPLIANCE OFFICERTORRENT POWER LIMITED
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVAVP DEPOSIROTY OPERATIONLINK INTIME INDIA PRIVATE LIMITEDIN200043
SHAREPRO SERVICES (INDIA) PVT.LTD
MR. RAJIV SHAHCOMPANY SECRETARYTORRENT POWER LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. DARSHAN SONICOMPANY SECRETARY AND COMPLIANCE OFFICERTORRENT POWER LIMITED
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVAVP DEPOSIROTY OPERATIONLINK INTIME INDIA PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. VINAYAK BENDALDEPOSITORY OPERATONSLINK INTIME INDIA PRIVATE LIMITED
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. VINAYAK BENDALDEPOSITORY OPERATONSLINK INTIME INDIA PRIVATE LIMITED
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. VINAYAK BENDALLINK INTIME INDIA PRIVATE LIMITEDC -101,247 PARK, LBS MARG,
BB BWR DT- 08.08.17
NA
BWR AA,BRICKWORK
AA- BWR DTD 17.05.2012
AA- BWR DT 09.08.2012
AA- BWR DT 11/01/2013
AA BWR DT 16/10/2015
AA- BWR DT 11.01.2013
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. VINAYAK BENDALLINK INTIME INDIA PRIVATE LIMITEDC -101,247 PARK, LBS MARG,IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. VINAYAK BENDALLINK INTIME INDIA PRIVATE LIMITEDC -101,247 PARK, LBS MARG,MCS LTD
IN200424Mr. Sanjay AhujaCompany Secretary4th Floor,,Tower - I, NBCC Plaza,
MCS LTDIN200424
Mr. Sanjay AhujaCompany Secretary4th Floor,,Tower - I, NBCC Plaza,
MCS LTDIN200424
Mr. Sanjay AhujaCompany SecretaryTOURISM FINANCE CORPORATION OF INDIA LIMITEDIN200424
MCS LTDMr. Subhabrata BiswasGeneral ManagerMCS LimitedF-65, Okhla Industrial Area
BWR AA,BRICKWORK,24-5-11
IN200906MCS SHARE TRANSFER AGENT LIMITED
Mr. Ajay SinghAdministrative OfficerMCS Share Transfer Agent Limited
IN200424MCS LTD
Mr. Subhabrata BiswasGeneral ManagerMCS LimitedF-65, Okhla Industrial Area
BWR AA,BRICKWORKS,25-1-12
IN200424MCS LTD
Mr. Subhabrata BiswasGeneral ManagerMCS LimitedF-65, Okhla Industrial Area
IN200424MCS LTD
Mr. Subhabrata BiswasGeneral ManagerMCS LimitedF-65, Okhla Industrial Area
IN200424MCS LTD
Mr. Subhabrata BiswasGeneral ManagerMCS LimitedF-65, Okhla Industrial Area
IN200906MCS SHARE TRANSFER AGENT LIMITED
Mr. Ajay SinghAdministrative OfficerMCS Share Transfer Agent Limited
IN200424MCS LTD
Mr. Subhabrata BiswasGeneral ManagerMCS LimitedF-65, Okhla Industrial Area
AA- BWR DT 11.01.2013
AAA CRISIL DT- 13.11.14
AAA CRISIL DT- 19.02.16
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AAA CRISIL DT- 30.11.2015
3000000000 AAA CRISIL DT- 24.01.17
IN200424MCS LTD
Mr. Subhabrata BiswasGeneral ManagerMCS LimitedF-65, Okhla Industrial Area
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,
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Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.
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Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,
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Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.
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Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.
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Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.
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MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.IN200800
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KARVY COMPUTERSHARE-4Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.IN200800KARVY COMPUTERSHARE-4
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AAA CRISIL DT- 24.10.16
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MR. P.A. VARGHESEZONAL HEAD - CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD.IN200800
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LINK INTIME INDIA PRIVATE LIMITED
MR. ARUN GUPTACOMPANY SECRETARYTPG WHOLESALE PVT LTD704, PLATINA, PLOT NO- C 59IN200094
LINK INTIME INDIA PRIVATE LIMITED
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LINK INTIME INDIA PRIVATE LIMITED
Mr. Vinayak BendalAssociate - Depository OperationsLINK INTIME INDIA PRIVATE LIMITEDKARVY COMPUTERSHARE
PVT. LTD.IN200035
Mr. S. RameshSr. Accounts Officer - LoansRoom No.514Vidyut Soudha
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. P Sathya MoorthyDeputy Chief Controller of AccountsAPTRANSCO
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Mr. S. RameshSr. Accounts Officer - LoansTRANSMISSION CORPORATION OF A.P. LIMITEDBIGSHARE SERVICES LTD
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PVT. LTD.IN200035
Mr. P Sathya MoorthyDeputy Chief Controller of AccountsAPTRANSCO
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IN200125TSR DARASHAW LIMITED
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IN200248INTEGRATED ENTP.(I) LTD, BANGALORE
MR. J. GOPINATHCHIEF MANAGERINTEGRATED ENTP.(I) LTD, BANGALORE
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MR. KRISHAN KANTCOMPLIANCE OFFICERZUARI INVESTMENTS LIMITED
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MR. KRISHAN KANTCOMPLIANCE OFFICERZUARI INVESTMENTS LIMITED
IN100382ZUARI INVESTMENTS LIMITED-SHR
MR. KRISHAN KANTCOMPLIANCE OFFICERZUARI INVESTMENTS LIMITED
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DHANANJAY SANDUEXECUTIVE DIRECTORTRIDHAATU MUMBAI STRUCTURES PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
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IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DHANANJAY SANDUMANAGING DIRECTORTRIDHAATU REALTY & INFRA PRIVATE LIMITED
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. DHANANJAY SANDUMANAGING DIRECTORTRIDHAATU REALTY & INFRA PRIVATE LIMITED
IN200125TSR DARASHAW LIMITED
Ms. S. R. BillimoriaSenior ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala
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IN200035KARVY COMPUTERSHARE
MR. P.A.VARGHESEGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD.-4
IN200800KARVY COMPUTERSHARE-4
MR. RAMACHANDRA VMANAGER CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200800
KARVY COMPUTERSHARE-4MR. RAMACHANDRA VMANAGER-CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200490
NICHE TECHNOLOGIESMR. S. ABBASSR. MANAGER - SYSTEMNICHE TECHNOLOGIES PRIVATE LTD
IN200490NICHE TECHNOLOGIES
MR. S. ABBASSR. MANAGER - SYSTEMNICHE TECHNOLOGIES PRIVATE LTD
IN200125TSR DARASHAW LIMITED
Ms. S. R. BilimoriaSenior ManagerTSR DARASHAW LIMITED6-10, HAJI MOOSA PATRAWA INDUSTRIALIN200192
FREEDOM REGISTRY LIMITED
Mr. Bhushan P. ChandratreAssistant ManagerFreedom Registry LimitedPlot No. 101 / 102
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200035KARVY COMPUTERSHARE
MR. M R V SUBRAMANYAMHEAD OPERATION-CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200035
KARVY COMPUTERSHAREMR. M R V SUBRAMANYAMHEAD OPERATION-CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200035
KARVY COMPUTERSHAREMR. M R V SUBRAMANYAMHEAD OPERATION-CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200800
KARVY COMPUTERSHARE-4
Karvy Computershare Private LimitedKarvy House , #46, Avenue 4
IN200800KARVY COMPUTERSHARE-4
Mr.K.Subba ReddySenior ManagerKarvy Computershare Private Limited
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MR. P.A. VARGHESEZONAL HEADKARVY COMPUTERSHARE PRIVATE LIMITED
IN200800KARVY COMPUTERSHARE-4
MR. P.A. VARGHESEZONAL HEADKARVY COMPUTERSHARE PRIVATE LIMITED
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MR. S.P. VENUGOPALKARVY COMPUTERSHAREKARVY SELENIUM TOWER B,
IN200800KARVY COMPUTERSHARE-4
MR. S.P. VENUGOPALKARVY COMPUTERSHAREKARVY SELENIUM TOWER B,
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MR. RAVINDER DUAMANAGER - SYSTEMSRCMC SHARE REGISTRY PVT. LTD.
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MR. ALOK SHARMAHEAD OPERATIONSU P POWER CORPORATION LTD
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MR. ALOK SHARMAHEAD OPERATIONSU P POWER CORPORATION LTD
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MR. ALOK SHARMAHEAD OPERATIONSU P POWER CORPORATION LTD
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MR. ALOK SHARMADIRECTORRCMC SHARE REGISTRY PRIVATE LIMITED
NA
AA+ CRISIL DTD 19/12/2012
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MR. ALOK SHARMADIRECTORRCMC SHARE REGISTRY PRIVATE LIMITED
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S. K. GhoshAsst. General Manager (Finance)10, BTM Sarani,
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S. K. GhoshAsst. General Manager (Finance)10, BTM Sarani,
KARVY COMPUTERSHARE PVT. LTD.IN200035
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KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. M.S. MadhusudanAsst. General ManagerKarvy House, 46, Avenue 4,Street No. 1, Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S. K. GhoshAsst. General Manager (Finance)10, BTM Sarani,
IN200035KARVY COMPUTERSHARE
MR. D. MUKHOPADHYAYASSISTANT GENERAL MANAGER - TREASURY & INTERNATION
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S. K. GhoshAsst. General Manager (Finance)UCO BANK
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. M.S. MadhusudanAsst. General ManagerKarvy House, 46, Avenue 4,Street No. 1, Banjara Hills
IN200133MAS SERVICES LIMITED
MR. MOHNISH MANCHANDAAUTHORISED SIGNATORYUJJAWALA POWER PRIVATE LIMITEDIN200133
MAS SERVICES LIMITEDMR. MOHNISH MANCHANDAAUTHORISED SIGNATORYUJJAWALA POWER PRIVATE LIMITEDIN200133
MAS SERVICES LIMITEDMR. MOHNISH MANCHANDAAUTHORISED SIGNATORYUJJAWALA POWER PRIVATE LIMITEDIN200133
MAS SERVICES LIMITEDMR. MOHNISH MANCHANDAAUTHORISED SIGNATORYUJJAWALA POWER PRIVATE LIMITED
NA
A+ ICRA DT- 04.10.16
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A CARE DT- 23.07.15
NA
AAA CRISIL
AAA CRISIL DT- 02.12.15
AAA CRISIL DT- 03.08.16
AAA CRISIL DT-21.07.16
AAA CRISIL DT- 03.08.16
IN200133MAS SERVICES LIMITED
MR. MOHNISH MANCHANDAAUTHORISED SIGNATORYUJJAWALA POWER PRIVATE LIMITEDIN200800
KARVY COMPUTERSHARE-4MR. DHEERAJ BZONAL HEADKarvy Computershare Pvt. Ltd.
IN200800KARVY COMPUTERSHARE-4
MR. DHEERAJ BZONAL HEADKarvy Computershare Pvt. Ltd.
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,
IN200800KARVY COMPUTERSHARE-4
MR. ANIL KUMAR M.COMPANY SECRETARYUJJIVAN FINANCIAL SERVICES PVT LTD
IN200800KARVY COMPUTERSHARE-4
Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GAURAV SOODDIRECTORUJJVALATEJAS SOLAIRE URJA PRIVATE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
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IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. SATISH POOJARIMANAGERSHAREPRO SERVICES INDIA PRIVATE LTD.
IN200800KARVY COMPUTERSHARE-4
MR. RAMACHANDRA VMANAGER CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200800
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KARVY COMPUTERSHARE-4MR. RAMACHANDRA VMANAGER CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD
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NA
NA
NA
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MR. S.P. VENUGOPALDEPUTY GENRAL MANAGERKARVY COMPUTERSHARE PRIVATE LIMITED
IN200800KARVY COMPUTERSHARE-4
MR. S.P. VENUGOPALKARVY COMPUTERSHAREKARVY SELENIUM TOWER B,
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IN200800KARVY COMPUTERSHARE-4
MR. S.P. VENUGOPALDEPUTY GENRAL MANAGERKARVY COMPUTERSHARE PRIVATE LIMITED
IN200248INTEGRATED ENTP.(I) LTD, BANGALORE
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MR. RISHI MISHRACOMPANY SECRETARYULUNDURPET EXPRESSWAYS PRIVATE LIMITEDIN200504
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Mr. Punit MittalManagerBeetal Financial and Computer Services Limited
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. VIKRAM HOSAKEREAUTHORISED PERSONUNICON SHELTERS PRIVATE LIMITED
IN200248INTEGRATED REG. MGT.SER.PVT. LTD,BANGALORE
MR. J. GOPINATHCHIEF MANAGERINTEGRATED ENTP.(I) LTD, BANGALORE
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INVESTOR SERV OF INDIAIN200553
Mr. R. V. KhannaGeneral Manager239, Union Bank Bhavan,Merchant Banking Division,
INVESTOR SERV OF INDIAIN200553
Mr. R. V. KhannaGeneral Manager239, Union Bank Bhavan,Merchant Banking Division,
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NA
AA+ IND DT- 23.03.16
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Mr. R.MaheshwaranAsst General Manager239, Union Bank Bhavan,Merchant Banking Division,
INVESTOR SERV OF INDIAIN200553
Mr. NayakDy. Gen ManagerINVESTOR SERV OF INDIAIDBI Building , IInd Floor
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
Ms Monika KaliaCompany SecretaryUNION BANK OF INDIA239, Union Bank Bhavan,
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
Mr. R. C. LODHACHIEF COMPLIANCE OFFICERUNION BANK OF INDIA
INVESTOR SERV OF INDIAIN200553
Ms Monika KaliaCompany Secretary239, Union Bank Bhavan,Merchant Banking Division,
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INVESTOR SERV OF INDIAIN200553
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IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR. SUNNY ABRAHAMDGM OPERATIONSDATAMATICS FINANCIAL SERVICES LIMITED
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR. SUNNY ABRAHAMDGM OPERATIONSDATAMATICS FINANCIAL SERVICES LIMITED
AAA BWR DATED-11/08/2016
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
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INVESTOR SERV OF INDIAIN200553
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INVESTOR SERV OF INDIAIN200553
Mr. R. V. KhannaGeneral Manager239, Union Bank Bhavan,Merchant Banking Division,
INVESTOR SERV OF INDIAIN200553
Mr. R. V. KhannaGeneral Manager239, Union Bank Bhavan,Merchant Banking Division,
AA IND 11.08.16
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NA
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AA+,CARE,DT-19-12-2011
INVESTOR SERV OF INDIAIN200553
Ms Monika KaliaCompany Secretary239, Union Bank Bhavan,Merchant Banking Division,
INVESTOR SERV OF INDIAIN200553
Ms Monika KaliaCompany Secretary239, Union Bank Bhavan,Merchant Banking Division,
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR. SUNNY ABRAHAMDGM OPERATIONSDATAMATICS FINANCIAL SERVICES LIMITED
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR. SUNNY ABRAHAMDGM OPERATIONSDATAMATICS FINANCIAL SERVICES LIMITED
IN200248INTEGRATED ENTP.(I) LTD, BANGALORE
MR. J. GOPINATHSENIOR MANAGERINTEGRATED ENTP.(I) LTD, BANGALORENO. 30, RAMANA RESIDENCY,IN200086
ALANKIT ASSIGNMENTS LTD
MR. RAJIV RAVALMANAGER- SECRETARIAL AND COMPLIANCEUNITECH DEVELOPERS & PROJECTS LIMITEDIN200086
ALANKIT ASSIGNMENTS LTD
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BEETAL FINAN.AND COMPU.
Mr. Punit MittalGeneral ManagerBeetal Financial and Computer Services Limited
IN200086ALANKIT ASSIGNMENTS LTD
MR. RAJIV RAVALMANAGER- SECRETARIAL AND COMPLIANCEUNITECH REALTY PROJECTS LIMITEDIN200086
ALANKIT ASSIGNMENTS LTD
MR. RAJIV RAVALMANAGER- SECRETARIAL AND COMPLIANCEUNITECH REALTY PROJECTS LIMITEDIN200086
ALANKIT ASSIGNMENTS LTD
MR. RAJIV RAVALMANAGER- SECRETARIAL AND COMPLIANCEUNITECH REALTY PROJECTS LIMITEDINTIME SPECTRUM
REGISTRY, MUMBAIIN200094
Mr. Asim Kumar SanyalAsst General Manager - I & FM11, Hemanta Basu Sarani
IN200094LINK INTIME INDIA PRIVATE LIMITED
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Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200094LINK INTIME INDIA PRIVATE LIMITED
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LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavSenior Executive-Operation,Link Intime India Pvt. Ltd.C-13, Pannalal Silk Mills Compound,IN200094
LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
Sharepro Services (India)Pvt.Ltd.IN200043
Mr. M B TrivediCompany SecretaryUNITED PHOSPHORUS LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. M B TrivediCompany SecretaryUNITED PHOSPHORUS LIMITED
Sharepro Services (India)Pvt.Ltd.IN200043
Mr. M B TrivediCompany SecretaryUNITED PHOSPHORUS LIMITED
Sharepro Services (India)Pvt.Ltd.IN200043
Mr. M B TrivediCompany SecretaryUNITED PHOSPHORUS LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. M B TrivediCompany SecretaryUNITED PHOSPHORUS LIMITED
Sharepro Services (India)Pvt.Ltd.IN200043
Mr. M B TrivediCompany SecretaryUNITED PHOSPHORUS LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
Mr. M. B. TrivediCompany SecretaryUNITED PHOSPHORUS LIMITED
IN200205CIL SECURITIES LIMITED
Mr. K. K MaheshwariManaging DirectorCIL Securities Limited214, Raghava Ratna Towers,
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A(SO) BWR DT- 27.02.17
A(SO) BWR DT- 27.02.17
NA
NA
NA
NA
NA
NA
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IN200205CIL SECURITIES LIMITED
Mr. K. K MaheshwariManaging DirectorCIL Securities Limited214, Raghava Ratna Towers,
IN200800KARVY COMPUTERSHARE-4
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IN200393SHAREX
MR. SUNIL SHIRKEDIRECTORUNNABH BUILDCON PRIVATE LIMITED
IN200094LINK INTIME INDIA PRIVATE LIMITED
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MR. MEHUL SOMAIYACOMPLIANCE OFFICERUP MEHRAUNI - II URJA PRIVATE LIMITED
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NA
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IN200094LINK INTIME INDIA PRIVATE LIMITED
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IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. MEHUL SOMAIYACOMPLIANCE OFFICERUP SARILA URJA PRIVATE LIMITED
IN200117BIGSHARE SERVICES
Mr. Babu Rapheal CSr. ManagerBigshare Services Pvt. Limited,
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. V.K. JayaramanAsst. General MangerKarvy Computershare Pvt Ltd.Karvy House, 46
IN200963NSDL DATABASE MANAGEMENT LIMITED
MR. NEERAJ KUMAR TIWARICOMPANY SECRETARYUTKARSH MICRO FINANCE PRIVATE LIMITED
IN200963NSDL DATABASE MANAGEMENT LIMITED
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Mr. Rajesh ShahDirectorPurva Sharegistry India Private Limited
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Mr. Vikram KapurMember Secretary,WSPFWATER AND SANITATION POOLED FUND
IN200176CAMEO CORPORATE SERV LTD
Mr. R.D. RamaswamyVice PresidentCameo Corporate Services Limited
IN200264INTEGRATED ENTP. (I) LTD
Mr. Suresh Babu K.Vice PresidentIntegrated Enterprises (India) Limited
IN200035KARVY COMPUTERSHARE
Mr. P.A.VargheseZonal HeadKarvy Computershare Pvt. Ltd.Plot No. 17 to 24,
IN200117BIGSHARE SERVICES
Mr. Babu Rapheal CSr. ManagerBigshare Services Pvt. Limited,
NA
NA
NA
AA-(SO) CARE DT-16.03.16
AA-(SO) CARE DT-16.03.16
AA- CARE DTD 26.07.2012
NA
NA
NA
NA
NA
AA(SO) CARE DT- 24.01.17
IN200248INTEGRATED REG. MGT.SER.PVT. LTD,BANGALORE
MR. S VIJAYAGOPALASST. VICE PRESIDENTINTEGRATED ENTP.(I) LTD, BANGALORE
IN200561PURVA SHAREGISTRY
MR. AMOL NANDEDKARSECRETARIALWELSHOP TRADING PRIVATE LIMITED
IN200561PURVA SHAREGISTRY
MR. DEVENDRA PATILDIRECTORWELSHOP TRADING PRIVATE LIMITED
IN200561PURVA SHAREGISTRY
MS. PURVA SHAHDIRECTORPURVA SHAREGISTRY9, SHIV SHAKTI IND ESTT.,
IN200561PURVA SHAREGISTRY
MS. PURVA SHAHDIRECTORPURVA SHAREGISTRY9, SHIV SHAKTI IND ESTT.,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. Nikunj DaftaryHead - Depository & IPOIntime Spectrum Registry Ltd.C13. pannalal Silk Mills CompoundIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. SURESH KADAMSENIOR OFFICERWELSPUN DELHI MEERUT EXPRESSWAY PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. SURESH KADAMSENIOR OFFICERWELSPUN DELHI MEERUT EXPRESSWAY PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. SURESH KADAMSENIOR OFFICERWELSPUN DELHI MEERUT EXPRESSWAY PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVASST. VICE PRESIDENTLINK INTIME INDIA PRIVATE LIMITED
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS. HEMANGI TRIVEDILINK INTIME INDIA PRIVATHUBTOWN SOLARIS, 4TH FLR,406
IN200125TSR DARASHAW LIMITED
Ms. Nandini NairChief ManagerTSR Darashaw Limited6-10, Haji Moosa Patrawala
NA
NA
100000000 NA
NA
NA
NA
NA
NA
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS. PRATIKSHA PANCHALCOMPANY SECRETARYWELSPUN SOLAR MADHYA PRADESH PRIVATE LIMITED
IN200561PURVA SHAREGISTRY
MS. RASHMI MAMTURACOMPANY SECREATRY & COMPLIANCE OFFICERWELSPUN STEEL LIMITEDIN200561PURVA SHAREGISTRY
CB MGMT SERV PVT. LTDIN200221
Mr. M. M. ChakrabartiGeneral Manager - O&A12A, Netaji Subhash Road3rd & 4th Floor, Kolkata 700 001CB MGMT SERV PVT. LTD
IN200221Mr. M. M. ChakrabartiGeneral Manager - O&A12A, Netaji Subhash Road3rd & 4th Floor, Kolkata 700 001CB MGMT SERV PVT. LTD
IN200221Mr. M. M. ChakrabartiGeneral Manager - O&AWEST BENGAL FINANCIAL CORPORATIONCB MGMT SERV PVT. LTD
IN200221Mr. Kamal ChakrabartiManaging DirectorWEST BENGAL FINANCIAL CORPORATIONIN200221
CB MGMT SERV PVT. LTDMr. Kamal ChakrabartiManaging DirectorWEST BENGAL FINANCIAL CORPORATIONIN200221
CB MGMT SERV PVT. LTDMr. Kamal ChakrabartiManaging DirectorWEST BENGAL FINANCIAL CORPORATIONIN200221
CB MGMT SERV PVT. LTDMr. Kamal ChakrabartiManaging DirectorWEST BENGAL FINANCIAL CORPORATIONIN200221
CB MGMT SERV PVT. LTDMR. S. K. DATTAGENERAL MANAGER (O&A)WEST BENGAL FINANCIAL CORPORATION
IN200221CB MGMT SERV PVT. LTD
MR. S. K. DATTAGENERAL MANAGER (O&A)WEST BENGAL FINANCIAL CORPORATION
IN200221CB MGMT SERV PVT. LTD
MR. SOVAN KUMAR DATTAGENERAL MANAGER (O,A & IA)
NA
NA
NA
A,ICRA,DT-15-07-2011
IN200221CB MGMT SERV PVT. LTD
MR. KUNTAL MUSTAFIDEPUTY MANAGERC B MANAGEMENT SERVICES PVT LTD
IN200221CB MGMT SERV PVT. LTD
MR. KUNTAL MUSTAFIDEPUTY MANAGERC B MANAGEMENT SERVICES PVT LTD
IN200221CB MGMT SERV PVT. LTD
MR. KUNTAL MUSTAFIDEPUTY MANAGERC B MANAGEMENT SERVICES PVT LTD
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr Ananya Kumar KaliCompany SecretaryWEST BENGAL INFRASTRUCTURE DEVELOPMENT FIN. CORP LTD.
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr Ananya Kumar KaliCompany SecretaryWEST BENGAL INFRASTRUCTURE DEVELOPMENT FIN. CORP LTD.
CB MGMT SERV PVT. LTDIN200221
Mr. S. K. RakshitSr. Manager - Loans & BondWEST BENGAL STATE ELECTRICITY BOARD
CB MGMT SERV PVT. LTDIN200221
Mr. S. K. RakshitSr. Manager - Loans & BondWEST BENGAL STATE ELECTRICITY BOARD
LINK INTIME INDIA PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITEDIN200094
MR. SHYAMAL KR. SENGENERAL MANAGER (F & A)WEST BENGAL STATE ELECTRICITY DISTRIBUTION COMPANY LIMITED
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. SHYAMAL KR.SENGENERAL MANAGERWEST BENGAL STATE ELECTRICITY DIST CO LTDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. S. P. GUHAHEAD - KOLKATA OPERATIONLink Intime India Private LimitedIN200221
CB MGMT SERV PVT. LTDMr.S.GhoshAssociate Vice PresidentCB Management Services Private Limited
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Jyotsana HerwadkarCompany SecretaryWEST GUJARAT EXPRESSWAY LIMITED
AA IND DT- 07.11.14
AA IND DT- 07.11.14
AA IND DT- 07.11.14
NA
NA
NA
NA
NA
NA
NA
NA
BBB- BWR DT- 03.02.17
A- IND DT- 18.05.16
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. Vinayak BendalOfficer-Depository OperationsLink Intime India Pvt. LtdC-13, Pannalal Silk Mills Compound,IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. Vinayak BendalOfficer-Depository OperationsLink Intime India Pvt. LtdC-13, Pannalal Silk Mills Compound,IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. Vinayak BendalOfficer-Depository OperationsLink Intime India Pvt. LtdC-13, Pannalal Silk Mills Compound,IN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. Vinayak BendalOfficer-Depository OperationsLink Intime India Pvt. Ltd
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. Vinayak BendalOfficer-Depository OperationsLink Intime India Pvt. Ltd
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. Vinayak BendalOfficer-Depository OperationsLink Intime India Pvt. Ltd
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. Vinayak BendalOfficer-Depository OperationsLink Intime India Pvt. Ltd
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. Vinayak BendalOfficer-Depository OperationsLink Intime India Pvt. Ltd
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAJESH RAOFINANCE CONTROLLERWESTERLY RETAIL PRIVATE LIMITED
IN200800KARVY COMPUTERSHARE-4
MR. P.A.VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTD
A- IND DT- 18.05.16
NA
NA
NA
BWR BBB-(SO) DT-11.09.17
NA
NA
NA
NA
NA
NA
AA-(SO) CARE DT- 02.03.16
AA-(SO) BWR DT- 25.01.17
IN200800KARVY COMPUTERSHARE-4
MR. P.A.VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200800
KARVY COMPUTERSHARE-4MR. P.A.VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200800
KARVY COMPUTERSHARE-4MR. P.A.VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200393
SHAREXMR. YASIN VIRANIAUTHORISED SIGNATORYSHAREXRAHEJA TOWER, PLOT NO. C-30,IN200393
SHAREXMR. YASIN VIRANIAUTHORISED SIGNATORYSHAREXRAHEJA TOWER, PLOT NO. C-30,IN200800
KARVY COMPUTERSHARE-4MR. P.A.VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200800
KARVY COMPUTERSHARE-4MR. P.A.VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200800
KARVY COMPUTERSHARE-4MR. P.A.VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200800
KARVY COMPUTERSHARE-4MR. P.A.VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200800
KARVY COMPUTERSHARE-4MR. P.A.VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200800
KARVY COMPUTERSHARE-4MR. P.A.VARGHESEZONAL HEAD- CORPORATE REGISTRYKARVY COMPUTERSHARE PVT LTDIN200369
MAHESHWARI DATAMATICSMr. S RajagopalVice PresidentMaheshwari Datamatics Private Limited
IN200800KARVY COMPUTERSHARE-4
Mr. S. P. VenugopalDeputy General ManagerKarvy Computershare Private Limited
AA-(SO) BWR DT- 26.05.17
AA-(SO) BWR DT- 21.07.17
A ICRA DT- 03.07.15
A ICRA DT- 03.07.15
NA
NA
LAA,ICRA
LAA,ICRA
AA,ICRA,CARE
IN200800KARVY COMPUTERSHARE-4
Mr. S. P. VenugopalDeputy General ManagerKarvy Computershare Private Limited
IN200800KARVY COMPUTERSHARE-4
Mr. S. P. VenugopalDeputy General ManagerKarvy Computershare Private Limited
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private Limited
IN200800KARVY COMPUTERSHARE-4
MR. S.P. VENUGOPALKARVY COMPUTERSHAREKARVY SELENIUM TOWER B,
IN200800KARVY COMPUTERSHARE-4
MR. S.P. VENUGOPALKARVY COMPUTERSHAREKARVY SELENIUM TOWER B,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. Sanjeev KapoorCompany SecretaryYES BANK LIMITEDGround Floor, Nehru Centre
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. Sanjeev KapoorCompany SecretaryGround Floor, Nehru CentreDiscovery of India Bldg.
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. Sanjeev KapoorCompany SecretaryYES BANK LIMITED2nd Floor, Ion House
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. SANJEEV KAPOORCOMPANY SECRETARYYES BANK LIMITEDION HOUSE,2ND FLOOR
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr Sanjeev KapoorCompany SecretaryYes Bank Limited9th Floor, Nehru Centre,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. SANJEEV KAPOORCompany SecretaryYes Bank LimitedINDIABULLS FINANCE CENTREINTIME SPECTRUM
REGISTRY, MUMBAIIN200094
Mr. Sanjeev KapoorCompany SecretaryGround Floor, Nehru CentreDiscovery of India Bldg
AA ICRA, AA CARE
AA ICRA, AA CARE
AA ICRA, AA CARE
AA ICRA, AA CARE
AA+ CARE DT- 29.09.16
AA+ CARE DT- 19.01.15
AA+ CARE DT- 15.05.15
AA+ CARE DT- 29.06.15
AA+ CARE DT- 29.12.15
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. SANJEEV KAPOORCompany SecretaryYes Bank LimitedINDIABULLS FINANCE CENTREIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. SANJEEV KAPOORCompany SecretaryYes Bank LimitedINDIABULLS FINANCE CENTREIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. SANJEEV KAPOORCOMPANY SECRETARYYES BANK LIMITED23RD FLOOR, TOWER 2,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. SANJEEV KAPOORCompany SecretaryYes Bank LimitedINDIABULLS FINANCE CENTREINTIME SPECTRUM
REGISTRY, MUMBAIIN200094
Mr. Sanjeev KapoorCompany SecretaryGround Floor, Nehru CentreDiscovery of India Bldg.
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Mr. Sanjeev KapoorCompany SecretaryGround Floor, Nehru CentreDiscovery of India Bldg.
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVASS VICE PRESIDENT OPEARTIONSLINK INTIME INDIA PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVASS VICE PRESIDENT OPEARTIONSLINK INTIME INDIA PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVASS VICE PRESIDENT OPEARTIONSLINK INTIME INDIA PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVASS VICE PRESIDENT OPEARTIONSLINK INTIME INDIA PRIVATE LIMITEDLINK INTIME INDIA
PRIVATE LIMITEDIN200094
Mr. Sanjeev KapoorCompany SecretaryYES BANK LIMITEDION House, Dr. E. Moses RoadLINK INTIME INDIA
PRIVATE LIMITEDIN200094
Mr. Sanjeev KapoorCompany SecretaryYES BANK LIMITED2nd Floor, Ion House
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVASS VICE PRESIDENT OPEARTIONSLINK INTIME INDIA PRIVATE LIMITED
AA+ CARE DT-12.01.16
AA+ CARE DT-15.01.16
AA+ CARE DT- 29.03.16
AA+ CARE DT- 29.09.16
AA- ICRA CARE
AA- ICRA AND CARE
AA+ IND DT-27.09.17
AA+ IND DT-27.09.17
AA- ICRA, AA- CARE
AA- ICRA, AA- CARE
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVASS VICE PRESIDENT OPEARTIONSLINK INTIME INDIA PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVASS VICE PRESIDENT OPEARTIONSLINK INTIME INDIA PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVASS VICE PRESIDENT OPEARTIONSLINK INTIME INDIA PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVASS VICE PRESIDENT OPEARTIONSLINK INTIME INDIA PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. SANJEEV KAPOORCOMPANY SECRETARYYES BANK LIMITED23RD FLOOR, TOWER 2,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. SANJEEV KAPOORCOMPANY SECRETARYYES BANK LIMITED23RD FLOOR, TOWER 2,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVASS VICE PRESIDENT OPEARTIONSLINK INTIME INDIA PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVASS VICE PRESIDENT OPEARTIONSLINK INTIME INDIA PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. SANJEEV KAPOORCompany SecretaryYes Bank LimitedINDIABULLS FINANCE CENTREIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. SANJEEV KAPOORCOMPANY SECRETARYYES BANK LIMITED23RD FLOOR, TOWER 2,
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Mr. Sanjeev KapoorCompany SecretaryGround Floor, Nehru CentreDiscovery of India Bldg.
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Mr Sanjeev KapoorCompany Secretary9th Floor, Nehru Centre,Discovery of Idia Bldg.,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr Sanjeev KapoorCompany SecretaryYES BANK LIMITED9th Floor, Nehru Centre,
A ICRA DT 26.12.2013
AA CARE DT- 22.12.16
AA CARE DT 24.08.2017
NA
NA
NA
NA
NA
NA
NA
NA
NA
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr Sanjeev KapoorCompany SecretaryYES BANK LIMITED9th Floor, Nehru Centre,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVASS VICE PRESIDENT OPEARTIONSLINK INTIME INDIA PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. GANESH JADHAVASS VICE PRESIDENT OPEARTIONSLINK INTIME INDIA PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. RAHUL PORWALYES CAPITAL (INDIA) PRIVATE LIMITED15TH FLR, TOWER2A,
IN200133MAS SERVICES LIMITED
Mr. Sharwan ManglaAGM-EDPMAS Services Ltd.T-34, 2nd Floor,
IN200133MAS SERVICES LIMITED
Mr. Sharwan ManglaAGM-EDPMAS Services Ltd.T-34, 2nd Floor,
IN200133MAS SERVICES LIMITED
Mr. Sharwan ManglaAGM-EDPMAS Services Ltd.T-34, 2nd Floor,
IN200133MAS SERVICES LIMITED
Mr. Sharwan ManglaAGM-EDPMAS Services Ltd.T-34, 2nd Floor,
IN200133MAS SERVICES LIMITED
Mr. Sharwan ManglaAGM-EDPMAS Services Ltd.T-34, 2nd Floor,
IN200133MAS SERVICES LIMITED
Mr. Sharwan ManglaAGM-EDPMAS Services Ltd.T-34, 2nd Floor,
IN200133MAS SERVICES LIMITED
Mr. Sharwan ManglaAGM-EDPMAS Services Ltd.T-34, 2nd Floor,
IN200133MAS SERVICES LIMITED
Mr. Sharwan ManglaAGM-EDPMAS Services Ltd.T-34, 2nd Floor,
IN200133MAS SERVICES LIMITED
Mr. Sharwan ManglaAGM-EDPMAS Services Ltd.T-34, 2nd Floor,
NA
BBB CRISIL DT- 08/04/15
NA
NA
NA
AA(SO) CARE DT- 12.03.15
BBB (SO) ICRA DT-29.06.16
BBB (SO) ICRA DT-13.10.16
A-(SO) ICRA DT- 27.02.17
BBB- ICRA DT-28.12.16
NA
NA
IN200133MAS SERVICES LIMITED
Mr. Sharwan ManglaAGM-EDPMAS Services Ltd.T-34, 2nd Floor,
IN200133MAS SERVICES LIMITED
MR. PSV RAJCHIEF FINANCIAL OFFICERYG REALTY PRIVATE LIMITEDIN200465
SKDC CONSULTANTS LTD.Mr. K. NarendraManaging DirectorSKDC Consultants LimitedKanapathy Towers, 3rd FloorIN200393
SHAREXMR. MANOJ MALPANIDIRECTORYUDHVEER BUILDCON PRIVATE LIMITED
IN200393SHAREX
MR. MANOJ MALPANIDIRECTORYUTNESH DEVELOPERS PRIVATE LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR. SAMIR RAVALCOMPANY SECRETARYZEE LEARN LIMITEDLEVEL 6, FUN REPUBLIC,
IN200800KARVY COMPUTERSHARE-4
MR. S.P. VENUGOPALKARVY COMPUTERSHAREKARVY SELENIUM TOWER B,
IN200800KARVY COMPUTERSHARE-4
MR. S.P. VENUGOPALKARVY COMPUTERSHAREKARVY SELENIUM TOWER B,
IN200800KARVY COMPUTERSHARE-4
MR. TANVEER MAMINKARVY COMPUTERSHARE PRIVATE LIMITEDKARVY REGISTRY HOUSE,
IN200800KARVY COMPUTERSHARE-4
MR. S.P. VENUGOPALKARVY COMPUTERSHAREKARVY SELENIUM TOWER B,
IN200393SHAREX
Mr. B. S. BaligaDirectorSharex Dynamic (India) Pvt. Ltd.
IN200537VENTURE CAPITAL AND CORP INVEST PVT. LTD
Mr. P.V. SrinivasSenior ManagerVenture Capital And Corporate Investments Private Limited
RemarksArranger/Lead Manager to the issue
ARRANGER- JAIN SONS FINLEASE LIMITED
ARRANGER- ADITYA BIRLA FINANCE LTD
ARRANGER- ADITYA BIRLA FINANCE LTD
ARRANGER- ADITYA BIRLA FINANCE LTD
ARRANGER- ICICI BANK LTD, ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER- ICICI BANK LTD, ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER- ADITYA BIRLA FINANCE LTD
ARRANGER- AXIS BANK LTD
ARRANGER- ADITYA BIRLA FINANCE LTD
ARRANGER- ADITYA BIRLA FINANCE LTD
ARRANGER- AXIS BANK LTD
ARRANGER- STANDARD CHARTERED BANK
NA
NA
NA
NA
NA
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
REDEMPTION- MONTHLY ON 14-NOV-16, 13-DEC-16, 13-JAN-17, 13-FEB-17, 13-MAR-17, 13-APR-17, 15-
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
REDEMPTION- MONTHLY ON 07-APR-17, 08-MAY-17, 07-JUN-17, 07-JUL-17, 07-AUG-17, 07-SEP-17, 09-
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
REDEMPTION- RS. 166667 EACH ON 15/09/17, 15/03/18, 15/09/18, 15/03/19,
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
STEP UP/STEP DOWN-IN THE EVENT THE CREDIT RATING OF THE ISSUER IS DOWNGRADED THE
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
STEP UP/STEP DOWN-IN THE EVENT THE CREDIT RATING OF THE ISSUER IS DOWNGRADED THE
2. FLOATING RATE LINKED TO SBI MCLR FOR THE REMAINING TENOR TILL MATURITY..CONTACT
LEAD MANAGER- SADBHAV ENGINEERING LTD
COUPON/STEP UP- 9%, IN EVENT OF A CREDIT RATING DOWNGRADE OF THE DEBENTURES BY 2
LEAD MANAGER- SADBHAV ENGINEERING LTD
COUPON/STEP UP- 9%, IN EVENT OF A CREDIT RATING DOWNGRADE OF THE DEBENTURES BY 2
LEAD MANAGER- SADBHAV ENGINEERING LTD
COUPON/STEP UP- 9%, IN EVENT OF A CREDIT RATING DOWNGRADE OF THE DEBENTURES BY 2
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
COUPON- 9% THE BENCHMARK IS 9% SPREAD IS 0.40% THE FLOOR VALUE IS 9% AND STEP UP- COUPON/YTM WILL STEP UP BY 0.15% p.a. FROM DATE OF RATING DOWNGRADE
ARRANGER- YES BANK LTD
COUPON- THE ISSUER SHALL BE CHARGED A STEPPED UP COUPON RATE FROM DATE OF COUPON- 9% THE BENCHMARK IS 9% SPREAD IS 0.40% THE FLOOR VALUE IS 9% AND REDEMPTION PREMIUM- RS 108755396STEP UP- IN CASE OF DOWNGRADE IN EXTERNAL CREDIT RATING OF THE NCD TO A- (2NOTCH) THE COUPON- 9% THE BENCHMARK IS 9% SPREAD IS 0.40% THE FLOOR VALUE IS 9% AND
ARRANGER- YES BANK LTD
COUPON- THE ISSUER SHALL BE CHARGED A STEPPED UP COUPON RATE FROM DATE OF STEP UP/COUPON-COUPON WILL STEP UP BY 0.15% p.a. FROM DATE OF RATING DOWNGRADE STEP UP/COUPON-5% p.a COUPON WILL STEP UP BY 0.15% p.a. FROM DATE OF RATING DOWNGRADE REDEMPTION PREMIUM- RS 156472681STEP UP- IN CASE OF DOWNGRADE IN EXTERNAL CREDIT RATING OF THE NCD TO A- (2NOTCH) THE REDEMPTION PREMIUM- TO BE DETERMINED AT THE TIME OF THE PAY-IN DATE FOR TRANCHE 2 REDEMPTION PREMIUM- TO BE DETERMINED AT THE TIME OF THE PAY-IN DATE FOR TRANCHE 2 REDEMPTION PREMIUM- RS 211139903STEP UP- IN CASE OF DOWNGRADE IN EXTERNAL CREDIT RATING OF THE NCD TO A- (2NOTCH) THE
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
REDEMPTION PREMIUM- TO BE DETERMINED AT THE TIME OF THE PAY-IN DATE FOR TRANCHE 2 REDEMPTION PREMIUM- RS 271410688STEP UP- IN CASE OF DOWNGRADE IN EXTERNAL CREDIT RATING OF THE NCD TO A- (2NOTCH) THE REDEMPTION PREMIUM- TO BE DETERMINED AT THE TIME OF THE PAY-IN DATE FOR TRANCHE 2
COUPON- 15% PER FOR THE PERIOD TILL 18 MONTHS FROM THE DATE OF INVESTMENT AND REDEMPTION- QUARTERLY ON 16-SEP-19, 16-DEC-19, 16-MAR-20, 15-JUN-20, 15-SEP-20, 15-REDEMPTION- QUARTERLY ON 16-SEP-19, 16-DEC-19, 16-MAR-20, 15-JUN-20, 15-SEP-20, 15-STEP DOWN- 1) 17.57% ACCRUED AND COMPOUNDED QUARTERLY FOR THE FIRST 4
ARRANGER- AXIS BANK LTD, ICICI BANK LTD
REDEMPTION- RS. 100000 ON 31/03/2018, RS. 87500 ON 30/06/2018, RS. 75000 ON 30/09/2018, REDEMPTION- 10CRORE EACH ON 30/06/15, 31/12/15, 30/06/16, 31/12/16, 30/06/17 AND 31/12/17.REDEMPTION PREMIUM- (a) AN AMOUNT THAT WOULD PROVIDE A RETURN ON THE PRINCIPAL REDEMPTION- RS 555.55 EACH ON 26TH OF EVERY MONTH STARTING 26/02/16 TILL 26/11/17
NA
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NA
REDEMPTION- RS 1111.11 EVERY MONTH STARTING FROM 05/05/17 TILL 05/10/18REDEMPTION PREMIUM-THE PRINCIPAL AMOUNT IS REPAYABLE IN FULL AT MATURITY OR REDEMPTION- MONTHLY ON 15TH STARTING 15-JUL-19 TILL 15-JUN-22 THE ISSUER SHALL BE ELIGIBLE
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
REDEMPTION- 25-MAR-16, 27-APR-16, 27-MAY-16, 27-JUN-16, 27-JUL-16, 26-AUG-16, 27-SEP-16, 27-
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
ARRANGER- JAIN SONS FINLEASE LTD
REDEMPTION- RS 25000000 EACH ON 08/04/20 AND 12/06/20
LEAD MANAGER- DALMIA SECURITIES PVT LTD
LEAD MANAGER- DALMIA SECURITIES PVT LTD
LEAD MANAGER- DALMIA SECURITIES PVT LTD
LEAD MANAGER- DALMIA SECURITIES PVT LTD
LEAD MANAGER- DALMIA SECURITIES PVT LTD
LEAD MANAGER- DALMIA SECURITIES PVT LTD
LEAD MANAGER- DALMIA SECURITIES PVT LTD
LEAD MANAGER- DALMIA SECURITIES PVT LTD
LEAD MANAGER- DALMIA SECURITIES PVT LTD
LEAD MANAGER- DALMIA SECURITIES PVT LTD
LEAD MANAGER- DALMIA SECURITIES PVT LTD
LEAD MANAGER- DALMIA SECURITIES PVT LTD
LEAD MANAGER- DALMIA SECURITIES PVT LTD
NA
NA
NA
NA
NA
NA
NA
NA
NA
LEAD MANAGER- DALMIA SECURITIES PVT LTD
STEP UP- IN THE EVENT THAT CREDIT RATING OF THE ISSUER IS DOWNGRADED THE
CONVERSION- CONVERTIBLE INTO EQUITY SHARES OF THE COMPANY
REDEMPTION PREMIUM- SHALL MEAN A SUM TO BE PAYABLE ON THE REPAYMENT OF ANY
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
REDEMPTION - ON 25-MAR-16, 27-APR-16, 27-MAY-16, 27-JUN-16, 27-JUL-16, 26-AUG-16, 27-SEP-16,
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
REDEMPTION- MONTHLY ON 01-AUG-16, 01-SEP-16, 03-OCT-16, 01-NOV-16, 01-DEC-16, 02-JAN-17, 01-
ARRANGER - IFMR CAPITAL FINANCE PRIVATE LIMITED
REDEMPTION- MONTHLY ON 07-APR-17, 08-MAY-17, 07-JUN-17, 07-JUL-17, 07-AUG-17, 07-SEP-17, 09-
NA
NA
NA
NA
NA
NA
NA
STEP UP- IN THE EVENT OF CREDIT RATING OF THE ISSUER IS DOWNGRADED THE COUPON SHALL BE
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
STEP UP- IN THE EVENT OF CREDIT RATING OF THE ISSUER IS DOWNGRADED THE COUPON SHALL BE
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
REDEMPTION-MONTHLY 03-NOV-16, 05-DEC-16, 03-JAN-17, 03-FEB-17, 03-MAR-17, 03-APR-17, 03-REDEMPTION- RS. 33333 EACH ON 31/01/18, 30/04/18 AND RS. 33334 ON 31/07/18
REDEMPTION- RS. 10000 EACH ON 31/01/18, 30/04/18, 31/07/18, 31/10/18, 31/01/19, REDEMPTION- RS. 10000 EACH ON 31/01/18, 30/04/18, 31/07/18, 31/10/18, 31/01/19,
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
REDEMPTION PREMIUM- YIELD 9.25% COMPOUNDED ANNUALLY
REDEMPTION PREMIUM- YIELD 9.9822% COMPOUNDED ANNUALLY
REDEMPTION PREMIUM- YIELD 10% COMPOUNDED ANNUALLY
ARRANGER- EDELWEISS FINANCIAL SERVICES LTD
REDEMPTION PREMIUM- RS. 1702700/- PER DEBENTURE
ARRANGER- JAIN SONS FINLEASE LIMITED
NA
NA
NA
NA
NA
NA
NA
NA
NA
REDEMPTION- RS. 50000000 EACH ON 8TH OF EVERY MONTH STARTING FROM
CONVERSION- THE DEBENTURE TRUSTEE SHALL HAVE THE RIGHT TO REQUIRE THE CO. TO
INGA CAPITAL PVT LTD, IIFL HOLDINGS LTD
REDEMPTION PREMIUM- THE AMOUNT OF REDEMPTION PREMIUM SHALL ACCRUE AND
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
CONVERSION- CONVERTIBLE INTO EQUITY ON 31.03.22
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
CONVERSION- CONVERTIBLE INTO EQUITY ON 31.03.22
ARRANGER- ALTICO CAPITAL INDIA PVT LTD
COUPON/ STEP UP- 17.25% PER ANNUM (PAYABLE MONTHLY) WHICH CAN BE INCREASED
ARRANGER- ALTICO CAPITAL IND PVT LTD
COUPON/ STEP UP- 17.25% PER ANNUM (PAYABLE MONTHLY) WHICH CAN BE INCREASED CONVERSION- CONVERTIBLE INTO EQUITY ON 31.03.2022
ARRANGER- ALTICO CAPITAL IND PVT LTD
COUPON/ STEP UP-17.25% PER ANNUM (PAYABLE MONTHLY) WHICH CAN BE INCREASED CONVERSION- CONVERTIBLE INTO EQUITY ON 31.03.2022
CONVERSION- CONVERTIBLE INTO EQUITY ON 31.03.2022
TO 18.5% IF THE TOTAL FUND RECEIVED FROM ISSUE OF ALL NCD SERIES I AND II IS ABOVE RS 70 CONVERSION- CONVERTIBLE INTO EQUITY ON 31/03/22
CONVERSION- CONVERTIBLE INTO EQUITY ON 31/03/22
CONVERSION- CONVERTIBLE INTO EQUITY ON 31/03/22
CONVERSION- CONVERTIBLE INTO EQUITY ON 31/03/22
CONVERSION- CONVERTIBLE INTO EQUITY ON 31/03/22
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
CONVERSION- CONVERTIBLE INTO EQUITY ON 31/03/22
CONVERSION- CONVERTIBLE INTO EQUITY ON 31/03/22
REDEMPTION- RS 88888889/- EACH ON 30 SEP, 31 DEC, 31 MAR AND 30 JUN STARTING 30/09/17 REDEMPTION- RS 111111/- EACH ON 30 SEP, 31 DEC, 31 MAR AND 30 JUN STARTING 30/09/20 CONVERSION- THE DEBENTURES CAN BE CONVERTED WITH THE MUTUAL CONSENTOF THE REDEMPTION- RS. 417000 EACH ON LAST DAY OF EVERY MONTH STARTING FROM 31-MAR-17 TILL 31-JAN-19 AND RS. 409000 ON 28-REDEMPTION- RS. 417000 EACH ON LAST DAY OF EVERY MONTH STARTING FROM 31-MAR-17 TILL 31-JAN-19 AND RS. 409000 ON 28-REDEMPTION- RS. 417000 EACH ON LAST DAY OF EVERY MONTH STARTING FROM 31-MAR-17 TILL 31-JAN-19 AND RS. 409000 ON 28-REDEMPTION- RS. 417000 EACH ON LAST DAY OF EVERY MONTH STARTING FROM 31-MAR-REDEMPTION- RS. 417000 EACH ON LAST DAY OF EVERY MONTH STARTING FROM 31-MAR-17 TILL 31-REDEMPTION- RS. 417000 EACH ON LAST DAY OF EVERY MONTH STARTING FROM 31-MAR-REDEMPTION- RS. 417000 EACH ON LAST DAY OF EVERY MONTH STARTING FROM 31-MAR-REDEMPTION- RS. 417000 EACH ON LAST DAY OF EVERY MONTH STARTING FROM 31-MAR-
NA
NA
NA
NA
NA
NA
NA
N.A.
NA
REDEMPTION- RS. 417000 EACH ON LAST DAY OF EVERY MONTH STARTING FROM 31-MAR-REDEMPTION- RS. 417000 EACH ON LAST DAY OF EVERY MONTH STARTING FROM 31-MAR-REDEMPTION- RS. 417000 EACH ON LAST DAY OF EVERY MONTH STARTING FROM 31-MAR-REDEMPTION PREMIUM-THE PREMIUM ON REDEMPTION TO BE PAID BY THE COMPANY CONVERSION-EACH OCD A SHALL BE CONVERTIBLE INTO 1 EQUITY SHARES WITH THE PRIOR WRITTEN REDEMPTION PREMIUM- THE PREMIUM ON RREDEMPTION TO BE PAID BY COMPANY SHALL BE CONVERSION-EACH OCD A SHALL BE CONVERTIBLE INTO 1 EQUITY SHARES WITH THE PRIOR WRITTEN
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
STEP UP- IF THE LONG TERM RATING OF THE COMPANY IS DOWNGRADED BELOW
ARRANGER- MAANAVEEYA DEVELOPMENT & FINANCE PVT LTD
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
REDEMPTION-MONTHLY 03-NOV-16, 05-DEC-16, 03-JAN-17, 03-FEB-17, 03-MAR-17, 03-APR-17, 03-
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
STEP UP- IF THE LONG TERM RATING OF THE COMPANY IS DOWNGRADED BELOW
NA
NA
BBB+ IND DT-27.07.15
NA
UNITUS CAPITAL PVT LTD
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
STEP UP- IF THE LONG TERM RATING OF THE COMPANY IS DOWNGRADED BELOW
ARRANGER-IFMR CAPITAL FINANCE PVT LTD
ARRANGER-IFMR CAPITAL FINANCE PVT LTD
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
REDEMPTION- OPT 1 RS 514948500 ON 13/11/17, RS 51500 ON 13/11/19 , OPT 2 RS 514948500 ON 13/11/18
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
STEP UP- IN THE EVENT THE CREDIT RATING OF THE COMPANY IS DOWNGRADED BELOW
ARRANGER-IFMR CAPITAL FINANCE PVT LTD
ARRANGER-IFMR CAPITAL FINANCE PVT LTD
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ARANGER- IFMR CAPITAL FINANCE LTD
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
NA
NA
NA
ARRANGER - YES BANK LTD
ARRANGER - YES BANK LTD
ARRANGER- EDELWEISS HOSUING FINANCE LIMITED
REDEMPTION PREMIUM- MINIMUM 21%REDEMPTION- 16.67% EACH ON 27/06/18, 27/09/18, 27/12/18, 27/03/19, 27/06/19 AND
ARRANGER - SBI CAPITAL MARKETS LIMITED
ARRANGER- SBI CAPITAL MARKETS LTD, HDFC BANK LTD
ARRANGER - TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER- SBI CAPITAL MARKETS LTD
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
Arranger- EDELWEISS CAPITAL LTD
ARRANGER- KOTAK MAHINDRA BANK LTD
REDEMPTION PREMIUM- TO COVER YIELD OF 12.65% p.a. REDEMPTION- RS. 833333325 EACH ON 09/01/18, 09/01/19 AND RS. 833333350 ON 09/01/20
CONVERSION- EACH DEBENTURE SHALL BE CONVERTED INTO ONE EQUITY SHARE, THE CONVERSION- EACH DEBENTURE SHALL BE CONVERTED INTO ONE EQUITY SHARE, THE CONVERSION- EACH DEBENTURE SHALL BE CONVERTED INTO ONE EQUITY SHARE, THE REDEMPTION- ON 10-AUG-20 AND 10-AUG-21
REDEMPTION- ON 10/08/20, 10/08/21 AND 10/08/22
REDEMPTION-QUARTERLY REPAYMENTS STAGING FROM 15/06/15 TILL 15/12/2028
REDEMPTION- 2.083% ON LAST DAY OF EVERY MONTH STARTING 31/08/17 TILL 30/07/21
REDEMPTION PREMIUM- THE PRINCIPAL AMOUNT IS REPAYABLE IN FULL AT MATURITY OR PUT/CALL REDEMPTION PREMIUM- THE PRINCIPAL AMOUNT IS REPAYABLE IN FULL AT MATURITY OR PUT/CALL REDEMPTION PREMIUM- THE PRINCIPAL AMOUNT IS REPAYABLE IN FULL AT MATURITY OR PUT/CALL
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
REDEMPTION PREMIUM- THE PRINCIPAL AMOUNT IS REPAYABLE IN FULL AT MATURITY OR PUT/CALL REDEMPTION PREMIUM- THE PRINCIPAL AMOUNT IS REPAYABLE IN FULL AT MATURITY OR PUT/CALL REDEMPTION PREMIUM- THE PRINCIPAL AMOUNT IS REPAYABLE IN FULL AT MATURITY OR PUT/CALL REDEMPTION PREMIUM- THE PRINCIPAL AMOUNT IS REPAYABLE IN FULL AT MATURITY OR PUT/CALL REDEMPTION PREMIUM- THE PRINCIPAL AMOUNT IS REPAYABLE IN FULL AT MATURITY OR PUT/CALL
REDEMPTION PREMIUM- THE PRINCIPAL AMOUNT IS REPAYABLE IN FULL AT MATURITY OR PUT/CALL REDEMPTION PREMIUM- THE PRINCIPAL AMOUNT IS REPAYABLE IN FULL AT MATURITY OR PUT/CALL CONVERSION- 1 DATE OF CONVERSION- 08/11/26 2. CONVERSION RATIO- ONE DEBENTURE WILL BE CONVERSION- 1613823292 13% FCD WITH FACE VALUE OF RSS 10 EACH ISSUED TO SERCO CONVERSION- 8482300 13% FCD WITH FACE VALUE OF RSS 100 EACH ISSUED TO SERCO
ARRANGER- AXIS BANK, IDFC LTD
ARRANGER- AXIS BANK, IDFC LTD
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
Arranger- DARASHAW & COMPANY PVT LTD, ICICI BANK
REDEMPTION-4.50 CR EACH ON 21/11/14, 21/05/15, 20/11/15, 20/05/16, 21/11/16, 22/11/17, 21/05/18, 21/11/18, REDEMPTION PREMIUM-15% COMPONDED SEMI ANNUALLY REDEMPTION-5.5 CR EACH ON 21/11/14,
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
CONVERSION- COMPULSORY CONVERTIBLE INTO EQUITY SHARES ON 23/02/18CONVERSION- COMPULSORY CONVERTIBLE INTO EQUITY SHARES ON 23/02/18 ON
REDEMPTION- RS 16666 EACH ON 31/03/18, 30/06/18, RS 16667 ON 30/09/18, RS 16666 EACH ON 31/12/18, 31/03/19 AND RS 16667 ON REDEMPTION- RS 5557 ON 01/02/17, RS 16671 ON 01/05/17, RS 16672 ON 01/08/17, RS 16671 ON 01/11/17, RS 16672 ON 01/02/18, RS 16671 ON CONVERSION- IN THE EVENT OF DEFAULT, THE INVESTORS SHALL AT THEIR SOLE DISCRETION CONVERSION-ALL THE COMPULSORY CONVERTIBLE DEBENTURES THAT ARE
ARRANGER- NISUS FINANCE & INVESTMENT MANAGERS LLP
REDEMPTION- RS 375000000 EACH ON 31/01/18, 30/04/18, 31/07/18 AND 31/10/18CONVERSION- 1.EACH DEBENTURE SHALL BE CONVERTIBLE INTO ONE EQUITY SHARE. 2.THE CONVERSION- 1.EACH DEBENTURE SHALL BE CONVERTIBLE INTO ONE EQUITY SHARE. 2.THE CONVERSION- 1.EACH DEBENTURE SHALL BE CONVERTIBLE INTO ONE EQUITY SHARE. 2.THE CONVERSION- 1.EACH DEBENTURE SHALL BE CONVERTIBLE INTO ONE EQUITY SHARE. 2.THE CONVERSION- 1.EACH DEBENTURE SHALL BE CONVERTIBLE INTO ONE EQUITY SHARE. 2.THE
NA
NA
NA
NA
NA
NA
NA
NA
CONVERSION- 1.EACH DEBENTURE SHALL BE CONVERTIBLE INTO ONE EQUITY SHARE. 2.THE
ARRANGER- AXIS BANK LTD
ARRANGER- AXIS BANK LTD
ARRANGER- AXIS BANK LTD
ARRANGER- AXIS BANK LTD
ARRANGER- AXIS BANK LTD
NA
NA
NA
NA
NA
NA
ARRANGER- KOTAK MAHINDRA BANK
STEP UP- 0.25% ON RATING DOWNGRADE BY TWO NOTCH
ARRANGER- KOTAK MAHINDRA BANK
10.34% PA PAYABLE QUARTERLY TILL 1ST PUT/CALL OPTION DATE & 10.24% PA PAYABLE
ARRANGER-STANDARD CHARTERED BANK
1. INTEREST-11%p.a TILL 29/03/12 AND 12%p.a FROM 30/03/2012 ONWARDS. 2. REDEMPTION-MONTHLY
ARRANGER- HDFC BANK LTD
ARRANGER- DERIVIUM CAPITAL LTD, TAURUS CORPROATE ADVISORY SERVICES LTDARRANGER- EDELWEISS FINANCIAL SERVICES LTD
REDEMPTION-RS125000 EACH ON EVERY 30 JUN, 30 SEP, 31 DEC AND 31 MAR STARTING 30-JUN-20 REDEMPTION PREMIUM- 18.65% PAPM (14.25% P.A PAYABLE QUARTERLY AND THE BALANCE IN THE REDEMPTION- QUARTERLY ON 09/11/20, 09/02/21, 09/05/21 AND 09/08/21 ON PRO RATA BASISREDEMPTION- MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31-MAR-19 TILL 31-MAR-22 COUPON/STEP DOWN- TO BE ACCRUED @ 17% ON MONTHLY BASIS INTEREST TO ACCRUE AND
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
COUPON/STEP DOWN- TO BE ACCRUED @ 17% ON MONTHLY BASIS INTEREST TO ACCRUE AND
ARRANGER- JAIN SONS FINLEASE LTD
REDEMPTION- RS 54000000 ON 08/04/20 AND 12/06/20
REDEMPTION PREMIUM- REDEMPTION PREMIUM AMOUNTING TO 6% OF THE OUTSTANDING FACE
ARRANGER- IIFL FACILITIES SERVICES LTD
REDEMPTION- RS.272000000 EACH ON 31/12/17, 31/03/18, 30/06/18, 30/09/18,
ARRANGER- ECL FINANCE LTD
COUPON- 10% PAYABLE HALF YEARLY ON THE 30TH OR LAST DAY WHICHEVER IS EARLIER OF EACH HALF REDEMPTION PREMIUM- 10% OF PRINCIPAL PAYABLE WITH EACH PRINCIPAL REPAYMENT REDEMPTION PREMIUM- 10% OF PRINCIPAL PAYABLE WITH EACH PRINCIPAL REPAYMENT
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA REDEMPTION PREMIUM- DEBENTURE SHALL BE REDEEMED AT FACE VALUE ALONG WITH REDEMPTION
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
COUPON-INTEREST RATE 20.20% p.a. VARIABLES ON BASIS OF QUARTERLY REVIEW IN TERMS OF
REDEMPTION- QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR STARTING 30/06/19 TILL REDEMPTION- QUARTERLY ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR STARTING 30/06/19 TILL REDEMPTION- QUARTERLY ON 31 DEC, 31 MAR, 30 JUN, 30 SEP RS 11111 EACH STARTING REDEMPTION- ON 30/10/20, 31/01/21, 31/04/21, 30/07/21 AND 30/10/21REDEMPTION- RS 111111 EACH ON EVERY 30 SEP, 31 DEC, 31 MAR AND 30 JUN TSARTING 30/09/20 TILL
ARRANGER - ECL FINANCE LIMITED
REDEMPTION- QUARTERLY ON 30 JUN, 30 SEP, 30 DEC AND 30 MAR SATRTING 30/06/18 TILL COUPON/STEP DOWN- (i) FOR PERIOD STARTING FROM INTEREST COMMENCEMENT DATE REDEMPTION- RS 7.5 CRORES EACH ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR STARTING 30/06/19 REDEMPTION- RS 20833333 EACH ON 30 JUN, 30 SEP, 31 DEC AND 31 MAR STARTING COUPON - 16%. 18% AFTER 24 MONTHS OF INITIAL DISBURSEMENT
ARRANGER- JAIN SONS FINLEASE LTD
NA
NA
NA
NA
NA
ARRANGER- HDFC BANK
NA
CONVERSION- EACH CCD SHALL COMPULSORILY BE CONVERTED INTO SUCH NUMBER OF EQUITY CONVERSION- EACH CCD SHALL COMPULSORILY BE CONVERTED INTO SUCH NUMBER OF EQUITY CONVERSION- EACH CCD SHALL COMPULSORILY BE CONVERTED INTO SUCH NUMBER OF EQUITY
ARRANGER - SPA CAPITAL ADVISORS LTD.
ARRANGER- NISUS FINANCE AND INVESTMENT MANAGERS LLP
REDEMPTION- QTY REDEMPTION 300 UNITS EACH ON 30/06/16, 30/09/16, 31/12/16, 31/03/17, 30/06/17, 30/09/17, 31/12/17, 31/03/18
LEAD MANAGER-ICICI SECURITIESLTD
COUPON- CATEGORY I & II 10.75% AND CATEGORY III & IV 11.25%
LEAD MANAGER-ICICI SECURITIES LTD
COUPON- CATEGORY I NCD HOLDERS WILL GET RS 1504.44 PER NCD OF RS 1000 CATEGORY II NCD
NA
NA
Arranger- AXIS BANK LTD
NA
LEAD MANAGER-ICICI SECURITIESLTD
COUPON- CATEGORY I & II 10.75% AND CATEGORY III & IV 11.50%
LEAD MANAGER-ICICI SECURITIES LTD
COUPON- CATEGORY I NCD HOLDERS WILL GET RS 1667.17 PER NCD OF RS 1000 CATEGORY II NCD
LEAD MANAGER-ICICI SECURITIES LTD
COUPON- CATEGORY I & II 10.75% AND CATEGORY III & IV 11.25%
Arranger- AK CAPITAL SERVICES LTD
Arranger- A K CAPITAL SERVICES LTD
Arranger- A K CAPITAL SERVICES LTD
LEAD MANAGER-ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD
COUPON-10.85% FOR CATEGORY I AND 11.75% FOR CATEGORY II & III
LEAD MANAGER-ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD
REDEMPTION- CATEGORY I NCD HOLDERS WILL GET RS. 1673.7 PER NCD AT THE TIME OF
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ARRANGER - AK CAPITAL SERVICES LIMITED
REDEMPTION PREMIUM- NO PREMIUM IS PAYABLE ON REDEMPTION
REDEMPTION PREMIUM- NO PREMIUM IS PAYABLE ON REDEMPTION
REDEMPTION PREMIUM-NO PREMIUM IS PAYABLE ON REDEMPTION
REDEMPTION PREMIUM- NO PREMIUM IS PAYABLE ON REDEMPTION
REDEMPTION PREMIUM- NO PREMIUM IS PAYABLE ON REDEMPTION
Arranger- SPA MERCHANT BANKERS LTD
REDEMPTION PREMIUM- RS 306938/- PER DEBENTURE
REDEMPTION PREMIUM- RS 304907/- PER DEBENTURE
REDEMPTION PREMIUM- 308391/- PER DEBENTURE
REDEMPTION PREMIUM- RS 326200/- PER DEBENTURE
REDEMPTION PREMIUM- RS 315067/- PER DEBENTURE
NA
NA
NA
NA
NA
NA
NA
ARRANGER- KOTAK MAHINDRA BANK
COUPON- 10.25% BENCHMARK LINKED TO THE BASE RATE OF KMBL+ 0.25% SPREAD,
ARRANGER- A.K CAPITAL SERVICES LTD
ARRANGER- NOMURA FINANCIAL ADVISORY & SECURITIES (INDIA) PVT LTDARRANGER- NOMURA FINANCIAL ADVISORY & SECURITIES (INDIA) PVT LTD
NA
NA
NA
NA
ARRANGER- ICICI BANK LTD, LKP SECURITIES LTD, A K CAPITAL SERVICES LTD
ARRANGER-CITIGROUP GLOBAL MARKETS INDIA PVT LTD
ARRANGER-CITIGROUP GLOBAL MARKETS INDIA PVT LTD
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER- A.K CAPITAL SERVICES LTD
ARRANGER- A.K. CAPITAL LTD
ARRANGER- A.K. CAPITAL LTD
ARRANGER- A.K CAPITAL SERVICES LTD
ARRANGER- A.K. CAPITAL LTD
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ARRANGER- KOTAK MAHINDRA BANK LTD
REDEMPTION PREMIUM- INR 1531345.64 PER INR1000000 DEBENTURE FOR REDEMPTION AT MATURITY AND INR 1376892.59 PER INR
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
REDEMPTION PREMIUM- RS. 309253.92 PER DEBENTURE
REDEMPTION PREMIUM- RS. 312127.55 PER DEBENTURE
REDEMPTION PREMIUM- RS302254/- PER DEBENTURE
REDEMPTION PREMIUM- RS 316662/- PER DEBENTURE
REDEMPTION PREMIUM- RS 323686.52/- PER DEBENTURE
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
REDEMPTION PREMIUM- RS 353031.4 PER DEBENTURE
COUPON - ADDITIONAL INCENTIVE OF 1.35% TO INDIVIDUAL INVESTORS ON ANY RECORD DATE.COUPON - ADDITIONAL INCENTIVE OF 1.23% TO INDIVIDUAL INVESTORS ON ANY RECORD DATE.1. IN CASE OF INDIVIDUAL HOLDERS REDEMPTION AMOUNT - RS.763.37 ON 31/07/17 & RS.848.48 ON
NA
NA
NA
NA
NA
NA
NA
REDEMPTION- AT THE END OF 7TH YR 20%, 8TH YR 20%, 9TH YR 30% AND 10TH YR 30%
LEAD MANAGER- JM FINANCIAL INSTITUTIONAL SECURITIES PVT LTD, AK
COUPON- NCD HOLDERS WHO ARE INDIVIDUALS ON ANY RECORD DATE SHALL RECEIVE AN
LEAD MANAGER- JM FINANCIAL INSTITUTIONAL SECURITIES PVT LTD, AK
1. IN CASE OF INDIVIDUAL HOLDERS ON RECORD DATE EVERY NCD HAVING F.V RS 1000 EACH
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
REDEMPTION PREMIUM- IF PUT EXCERCISED AFTER 13 MONTH REDEMPTION PREMIUM- RS 84130.34/-
LEAD MANAGER-JM FINANCIAL INSTITUTIONAL SECURITIES LTD, A.K.
COUPON- NCD HOLDERS WHO ARE INDIVIDUALS ON ANY RECORD DATE SHALL RECEIVE AN
LEAD MANAGER-JM FINANCIAL INSTITUTIONAL SECURITIES LTD, A.K.
COUPON- NCD HOLDERS WHO ARE INDIVIDUALS ON ANY RECORD DATE SHALL RECEIVE AN
LEAD MANAGER-JM FINANCIAL INSTITUTIONAL SECURITIES LTD, A.K.
REDEMPTION PREMIUM-NCD HOLDERS WHO ARE INDIVIDUALS RS. 1704.62 PER NCD.NCD HOLDERS COUPON- IF PUT OPTION IS EXCERCISED 8.61% PAYABLE ANNUALLY AND ON PUT OPTION DATE, IF COUPON- BENCHMARK + SPREAD (PAYABLE MONTHLY) RATE CAP-11.25%, RATE FLOOR- REDEMPTION PREMIUM- RS 268752/- PER DEBENTURE
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
COUPON- BENCHMARK + SPREAD (PAYABLE MONTHLY) RATE CAP-11.25%, RATE FLOOR-
COUPON- BENCHMARK + SPREAD (PAYABLE MONTHLY) RATE CAP-11.25%, RATE FLOOR- COUPON- BENCHMARK + SPREAD (PAYABLE MONTHLY) RATE CAP-11.25%, RATE FLOOR- REDEMPTION PREMIUM- RS 271440/-
REDEMPTION PREMIUM- RS 304687.4/- PER DEBENTURE
REDEMPTION PREMIUM- RS 304084.57/- PER DEBENTURE
NA
NA
NA
NA
NA
NA
NA
NA
0.0155% on quarterly basis for 1st 4 quarters after closing date & thereafter 0.01% p.a. payable on
NA
NA
NA
NA
NA AA+ CRISIL DT- 23.02.17
NA
Final payout date is 2nd May, 2013
REDEMPTION PREMIUM- IF PUT EXCERCISED AFTER 13 MONTH REDEMPTION PREMIUM- RS 84130.34/- IF
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
REDEMPTION PREMIUM- RS 254381/- PER DEBENTURE
REDEMPTION PREMIUM- RS 1254120/- PER DEBENTURE
REDEMPTION PREMIUM- 259965/- PER DEBENTURE
LEAD MANAGER- JM FINANCIAL INSTITUTIONAL SECURITIES PVT LTD, AK
COUPON- NCD HOLDERS WHO ARE INDIVIDUALS ON ANY RECORD DATE SHALL RECEIVE AN
LEAD MANAGER- JM FINANCIAL INSTITUTIONAL SECURITIES PVT LTD, AK
1. IN CASE OF INDIVIDUAL HOLDERS ON RECORD DATE EVERY NCD HAVING F.V RS 1000 EACH
NA
NA
NA
NA
NA
NA
NA
NA
NA
REDEMPTION PREMIUM- RS 533345/- PER DEBENTURE
LEAD MANAGER-JM FINANCIAL INSTITUTIONAL SECURITIES LTD, A.K.
COUPON- NCD HOLDERS WHO ARE INDIVIDUALS ON ANY RECORD DATE SHALL RECEIVE AN
LEAD MANAGER-JM FINANCIAL INSTITUTIONAL SECURITIES LTD, A.K.
COUPON- NCD HOLDERS WHO ARE INDIVIDUALS ON ANY RECORD DATE SHALL RECEIVE AN
LEAD MANAGER-JM FINANCIAL INSTITUTIONAL SECURITIES LTD, A.K.
REDEMPTION PREMIUM-NCD HOLDERS WHO ARE INDIVIDUALS RS. 2143.79 PER NCD.NCD HOLDERS REDEMPTION PREMIUM- 354510/- PER DEBENTURE
NA
NA
NA
N.A.
NA
NA
NA
NA
N.A.
NA
NA
NA
NA
REDEMPTION PREMIUM- IF PUT EXCERCISED AFTER 18 MONTHS 116474.59/- PER DEBENTURE, IF PUT
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
Refer issuer for further details.
NA
ARRANGER- RBL BANK LTD
ARRANGER- RBL BANK LTD
ARRANGER- RBL BANK LTD
ARRANGER- RBL BANK LTD
ARRANGER- RBL BANK LTD
NA
NA
NA
NA
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
REDEMPTION- RS 166666EACH ON 21/12/20, 21/06/21 RS 166667 EACH ON 21/12/21, 21/06/22,
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
ARRANGER- IDFC BANK LTD
REDEMPTION- MONTHLY 12.5% EACH ON THE LAST DAY OF EVERY MONTH STARTING 31/08/18 TILL
COUPON- 10.25% RATING LINKED, THE COUPON RATE WILL BE RESET FROM THE DATE OF CHANGE IN
NA
NA
ARRANGER- INDUSIND BANK LTD
ARRANGER- INDUSIND BANK LTD
ARRANGER- A.K. CAPITAL SERVICES LTD
COUPON/STEP UP-THE COUPON WILL STEP-UP BY 0.3% PER ANNUM FOR EVERY NOTCH OF RATING COUPON/STEP UP-THE COUPON WILL STEP-UP BY 0.3% PER ANNUM FOR EVERY NOTCH OF RATING
ARRANGER-A K CAPITAL SERVICES LIMITED
ARRANGER-A K CAPITAL SERVICES LIMITED
ARRANGER-A K CAPITAL SERVICES LIMITED
ARRANGER-A K CAPITAL SERVICES LIMITED
ARRANGER- A K CAPITAL SERVICES LIMITED
ARRANGER- A K CAPITAL SERVICES LIMITED
AK CAPITAL SERVICES LTD.
ARRANGER - AK CAPITAL SERVICES LTD.
REDEMPTION - IN 3 ANNUAL INSTALLMENTS -AT THE END OF 8THE YEAR-30%, 9TH YEAR-30%,
NA
NA
NA
NA
NA
NA
NA
NA
AK CAPITAL SERVICES LTD
Redemption of the principal in 3 annual installments - At the end of 8th year - 30%, 9th year - 30% & 10th year - 40%
ARRANGER - AK CAPITAL SERVICES LTD
ARRANGER- A.K. CAPITAL SERVICES LTD
REDEMPTION- RS 1000000 EACH ON 30/06/18 AND 30/09/18, RS 1335000 EACH ON 31/12/18, 30/03/19, REDEMPTION- RS 1000000 EACH ON 30/06/18 AND 30/09/18, RS 1335000 EACH ON 31/12/18, 30/03/19,
Arranger/Lead Manager to the issue- STANDARD CHARTERED BANK
COUPON- COUPON RATE SHALL BE RESET AT THE END OF 3RD YEAR AND 5TH YEAR 10/04/15 AND 10/04/17
REDEMPTION- 33.33% i.e 75 CRORES EACH ON 11/06/19, 11/06/20 AND 11/06/21
REDEMPTION- 91.67 CRORE EACH ON 30/09/19, 30/09/20 AND 30/09/21
REDEMPTION- RS. 825 ON 18/02/16, 18/02/17 AND RS. 850 ON 18/02/18
REDEMPTION- RS. 375 EACH ON 11/06/19, 11/06/20, 11/06/21
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
REDEMPTION- RS. 91.67 EACH ON 30/09/19, 30/09/20 AND 30/09/21
RDEMPTION-RS. 2000000000 ON 27/05/24, 27/05/25 AND 27/05/26
REDEMPTION PREMIM- AT PAR REDEMPTION
CONVERSION- ALL THE SERIES A CCD SHALL MANDATORILY BE CONVERTED IN SUCH CONVERSION- IN TERMS OF THE APPLICABLE PROVISIONS OF TEH COMPANIES ACT 2013, REDEMPYION PREMIUM- WITHIN 24 MONTHS FROM DATE OF ISSUANCE-4% ON THE AMOUNT
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
STEP UP- THE INTEREST RATE FOR SERIES 2 DEBENTURES WILL BE INCREASED BY 0.25% FOR STEP UP- THE INTEREST RATE FOR SERIES 3 DEBENTURES WILL BE INCREASED BY 0.25% FOR STEP UP- THE INTEREST RATE FOR SERIES 4 DEBENTURES WILL BE INCREASED BY 0.25% FOR REDEMPTION- RS. 2780000 EACH ON LAST DAY OF EERY MONTH STARTING FROM 31-JUL-18 REDEMPTION- RS. 5560000 EACH ON LAST DAY OF EERY MONTH STARTING FROM 31-JUL-18
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
REDEMPTION- RS. 2780000 EACH ON LAST DAY OF EERY MONTH STARTING FROM 31/07/18 TILL REDEMPTION- RS. 5560000 EACH ON LAST DAY OF EERY MONTH STARTING FROM 31/07/18 TILL REDEMPTION- RS. 2780000 EACH ON LAST DAY OF EERY MONTH STARTING FROM 31/07/18 REDEMPTION- RS 2780000 EACH ON LAST DAY OF EERY MONTH STARTING FROM 31/07/18 REDEMPTION- RS 2780000 EACH ON LAST DAY OF EERY MONTH STARTING FROM 31/07/18 TILL REDEMPTION- RS. 1668000 EACH ON LAST DAY OF EVERY MONTH STARTING FROM 31-JUL-18 REDEMPTION- MONTHLY ON LAST DAY OF EVERY MONTH RS 24603000 EACH STARTING 30/04/18 REDEMPTION- MONTHLY ON LAST DAY OF EVERY MONTH RS 2085000 EACH STARTING 30/09/18 TILL REDEMPTION- MONTHLY ON LAST DAY OF EVERY MONTH RS 2919000 EACH STARTING 30/09/18 TILL REDEMPTION- MONTHLY ON LAST DAY OF EVERY MONTH RS 1251000 EACH STARTING 30/09/18 TILL REDEMPTION- MONTHLY ON LAST DAY OF EVERY MONTH RS 4170000 EACH STARTING 30/09/18 TILL REDEMPTION- MONTHLY ON LAST DAY OF EVERY MONTH RS 4170000 EACH STARTING 30/09/18 TILL REDEMPTION- MONTHLY ON LAST DAY OF EVERY MONTH RS 3336000 EACH STARTING 30/09/18 TILL
NA
NA
NA
NA
NA
NA
NA
ARRANGER- AXIS BANK
REDEMPTION- MONTHLY ON LAST DAY OF EVERY MONTH RS 1251000 EACH STARTING 30/09/18 TILL
REDEMPTION- RS 19048 EACH ON 30/06/19, 30/09/19, 31/12/19, 31/03/20 AND RS 23808 COUPON- (a) ON AND FROM THE DEEMED DATE OF ALLOTMENT OF THE TRANCHE 1 DEBENTURES REDEMPTION- QUARTERLY 28TH NOV, 28TH FEB, 28TH MAY, 28TH AUG EVERY YEAR
ARRANGER - KOTAK MAHINDRA BANK
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
NA
NA
NA
NA
NA
NA
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD, ICICI BANK LTD, ETCARRANGER- TRUST INVESTMENT ADVISORS PVT LTD, ICICI BANK LTD, ETCARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
LEAD MANAGERS- TRUST INVESTMENT ADVISORS PVT LTD, AXIS BANK, ARRANGERS- ICICI BANK, ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD,
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD,
ARRANGER- DEUTSCHE BANK, HDFC BANK LTD
REDEMPTION PREMIUM- RS 414060900
REDEMPTION PREMIUM- RS 248436540
REDEMPTION PREMIUM- RS 93222493.2
REDEMPTION PREMIUM- THE PRINCIPAL IS REPAYABLE IN FULL AT MATURITY OR PUT/CALL REDEMPTION PREMIUM- RS 88043465.8
NA
NA
ARRANGER- A.K.CAPITAL SERVICES LTD
ARRANGER- A.K.CAPITAL SERVICES LTD
ARRANGER- A.K.CAPITAL SERVICES LTD
ARRANGER- A.K.CAPITAL SERVICES LTD
ARRANGER- A.K.CAPITAL SERVICES LTD
ARRANGER- A.K. CAPITAL SERVICES LTD
REDEMPTION- RS 300000000 ON 20/07/17, RS 350000000 ON 20/07/18 AND RS
ARRANGER- A.K.CAPITAL SERVICES LTD
ARRANGER- A.K.CAPITAL SERVICES LTD
ARRANGER- A.K.CAPITAL SERVICES LTD
ARRANGER- A.K.CAPITAL SERVICES LTD
ARRANGER- A.K.CAPITAL SERVICES LTD
CONVERSION- THE SAME WILL BE CONVERTED FROM DEBENTURE INTO EQUITY AFTER 18/03/2025 WITH CONVERSION- THE SAME WILL BE CONVERTED FROM DEBENTURE INTO EQUITY AFTER 22/03/36 WITH
NA
NA
NA
NA
NA
NA
NA
NA
NA
CONVERSION- THE SAME WILL BE CONVERTED FROM DEBENTURE INTO EQUITY AFTER 18/03/2025 WITH CONVERSION- OPTIONALLY CONVERTIBLE FULLY INTO PREFERENCE/
CONVERSION- THE COMPULSORILY CONVERTIBLE DEBENTURES SHALL BE CONVERSION- THE COMPULSORILY CONVERTIBLE DEBENTURES SHALL BE CONVERSION- THE COMPULSORILY CONVERTIBLE DEBENTURES SHALL BE CONVERSION- THE COMPULSORILY CONVERTIBLE DEBENTURES SHALL BE CONVERSION- THE COMPULSORILY CONVERTIBLE DEBENTURES SHALL BE
ARRANGER- UNITUS CAPITAL PVT LTD
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
COUPON-14.05% COUPON RATE ON DEBENTURES MAY BE RESET BY THE DEBENTURE TRUSTEE
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
NA
NA
NA
NA
N.A.
NA
NA
NA
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
STEP UP- IN THE EVENT THE CREDIT RATING OF THE ISSUER IS DOWNGRADED THE
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
STEP UP- IN THE EVENT THE CREDIT RATING OF THE ISSUER IS DOWNGRADED THE
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
ARRANGER- JAIN SONS FINLEASE LTD
ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING
ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING
ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING ARRANGER- KOTAK MAHINDRA BANK LTD, THE HONGKONG AND SHANGHAI BANKING
NA COUPON FOR YEAR 3
NA
NA
NA
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
ARRANGER- VIVRITI CAPITAL PVT LTD
STEP UP- AT EVERY NOTCH RATING UPGRADE COUPON RATE REDUCES BY 15 BPS FOR EVERY NOTCH
ARRANGER- INDOSTAR CAPITAL LTD
ARRANGER- INDOSTAR CAPITAL LTD
ARRANGER- INDOSTAR CAPITAL LTD
ARRANGER- INDOSTAR CAPITAL LTD
ARRANGER- INDOSTAR CAPITAL LTD
ARRANGER- INDOSTAR CAPITAL LTD
REDEMPTION PREMIUM- IN ORDER TO ARRIVE AT IRR OF 22.85%, COUPON- 16% UPTO 30/06/17, COUPON- 16% UPTO 30/06/17, 18% THEREAFTER REDEMPTION PREMIUM- IN ORDER TO ARRIVE AT IRR OF 22.85%ARRANGER- INDOSTAR
CAPITAL LTD
NA
NA
NA
COUPON RATE WILL INCREASE UPWARDS BY 0.25% p.a. EFFECTIVE ON AND FROM DATE OF
LEAD MANAGER- DALMIA SECURITIES PVT LTD
ARRANGER- IIFL REALTY LTD
REDEMPTION- RS 125000000 EACH ON 30/07/17, 30/10/17, 31/01/18, 30/04/18,
ARRANGER- JM FINANCIAL CREDIT SOLUTIONS LTD
REDEMPTION- MONTHLY ON LAST DAY OF EVERY MONTH STARTING 30/04/19 TILL 31/03/21
ARRANGER- JM FINANCIAL CREDIT SOLUTIONS LTD
REDEMPTION- MONTHLY ON LAST DAY OF EVERY MONTH STARTING 30/04/19 TILL 31/03/2101/07/19 TO 30/06/20. 4. 14% FROM 01/07/20 TO SETTLEMENT DATE. REDEMPTION- RS.
ARRANGER- IIFL WEALTH MANAGEMENT LTD
REDEMPTION - RS. 18750000 EACH ON 30/06/18, 30/09/18, 31/12/18, 31/03/19,
ARRANGER- IIFL WEALTH MANAGEMENT LTD
REDEMPTION - RS. 43750000 EACH ON 30/06/18, 30/09/18, 31/12/18, 31/03/19,
ARRANGER- IIFL WEALTH MANAGEMENT LTD
REDEMPTION - RS. 6250000 EACH ON 30/06/18, 30/09/18, 31/12/18, 31/03/19,
ARRANGER- IIFL WEALTH MANAGEMENT LTD
REDEMPTION - RS. 24737500 EACH ON 30/06/18, 30/09/18, 31/12/18, 31/03/19,
ARRANGER- IIFL WEALTH MANAGEMENT LTD
REDEMPTION - RS.262500 EACH ON 30/06/18, 30/09/18, 31/12/18, 31/03/19,
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
CONVERSION- THE COMPULSORILY CONVERTIBLE DEBENTURES SHALL BE COUPON- 20% AND SHALL BE REDUCED TO 18.5% UPON SATISFACTION OF CONDITIONSREDEMPTION PREMIUM- REDEMPTION PREMIUM TO ENSURE IRR 24%
REDEMPTION PREMIUM- REDEMPTION PREMIUM TO ENSURE IRR 24%
CONVERSION- (i) FIRST AND PARTIAL REDEMPTION STARTS AFTER 24 MONTHS FROM DATE OF
PUT/CALL OPTION DATE) IF PUT/CALL OPTION IS EXERCISED. ii) 8.90% p.a. (XIRR) FROM DEEMED
COUPON- 8.6% FROM DEEMED DATE OF ALLOTMENT TILL (AND INCLUDING) 22/03/18
NA REDEMTION PREMIUM- AT PREMIUM OF SUCH AMOUNT WHICH GIVES THE HOLDER OF THE
LEAD MANAGER- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTD, LEAD MANAGER- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTD, LEAD MANAGERS- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTDLEAD MANAGERS- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTD, LEAD MANAGERS- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTD, LEAD MANAGERS- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTD, LEAD MANAGERS- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTD, LEAD MANAGERS- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTD, ARRANGER- STANDARD CHARTERED BANK
COUPON- 9% FOR FIRST 3 MONTHS, 9.25% FROM 3-8 MONTHS, 9.50% FROM 6-9 MONTHS, 9.50% FROM 9-
LEAD MANAGER- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTD, LEAD MANAGER- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTD, LEAD MANAGER- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTD,
NA
NA
NA
NA
NA
NA
LEAD MANAGER- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTD, LEAD MANAGER- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTD, LEAD MANAGER- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTD,
LEAD MANAGERS- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTD, LEAD MANAGERS- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTD,
ARRANGER- REAL GROWTH SECURITIES PVT LTD
LEAD MANAGER- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTD,
NA
NA
LEAD MANAGER- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTD, LEAD MANAGER- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTD, LEAD MANAGER- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTD, LEAD MANAGER- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTD, LEAD MANAGER- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTD, LEAD MANAGERS- EDELWEISS FINANCIAL SERVICES LTD, SREI CAPITAL MARKETS LTD,
LEAD MANAGER- AXIS BANK
LEAD MANAGER- A.K. CAPITAL SERVICES LTD, SPA CAPITAL ADVISORS LTDLEAD MANAGER- A.K. CAPITAL SERVICES LTD, SPA CAPITAL ADVISORS LTD ETCLEAD MANAGER- A.K. CAPITAL SERVICES LTD, SPA CAPITAL ADVISORS LTD ETCARRANGER - TRUST INVESTMENT ADVISORS
NA
NA
NA AA+ BWR DT- 16.05.17
NA
NA
NA
ARRANGER- REAL GROWTH SECURITIES PVT LTD
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
STEP UP/STEP DOWN- IN CASE OF DOWNGRADE/ UPGRADE IN EXTERNAL CREDIT RATING OF THE
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
LEAD MANAGER- A.K. CAPITAL SERVICES LTD, SPA CAPITAL ADVISORS LTD ETCLEAD MANAGER- A.K. CAPITAL SERVICES LTD, SPA CAPITAL ADVISORS LTD ETCLEAD MANAGER- A.K. CAPITAL SERVICES LTD, SPA CAPITAL ADVISORS LTD ETC
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
LEAD MANAGER- AXIS BANK
ARRANGER- REAL GROWTH SECURITIES PVT LTD
NA
NA
NA
NA
NA
NA
LEAD MANAGER- A.K. CAPITAL SERVICES LTD, SPA CAPITAL ADVISORS LTD ETC LEAD MANAGER- A.K. CAPITAL SERVICES LTD, SPA CAPITAL ADVISORS LTD ETCLEAD MANAGER- A.K. CAPITAL SERVICES LTD, SPA CAPITAL ADVISORS LTD ETCARRANGER-A.K. CAPITAL SERVICES LTD & DARASHAW & CO PVT LTDARRANGER - TRUST INVESTMENT ADVISORS
NA
NA
NA
ARRANGER - A.K. CAPITAL SERVICES LIMITED
ARRANGER - A.K. CAPITAL SERVICES LIMITED
Refer to issuer for further detail
ARRANGER - A.K. CAPITAL SERVICES LIMITED
ARRANGER-A.K. CAPITAL SERVICES LTD & DARASHAW & CO PVT LTD
Arranger- ICICI BANK LTD & TRUST INVESTMENT ADVISORS LTD
ARRANGER - A K CAPITAL SERVICES LIMITED
LEAD MANAGER- ICICI SECURITIES LTD, IIFL HOLDINGS LTD ETC ARRANGERS- AXIS CAPITAL LEAD MANAGERS- ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, ETC
COUPON- HOLDERS WHO FALL IN CATEGORY III ON ANY RECORD DATE SHALL RECEIVE AN
LEAD MANAGERS- ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, ETC
COUPON- HOLDERS WHO FALL IN CATEGORY III ON ANY RECORD DATE SHALL RECEIVE AN
LEAD MANAGERS- ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, ETCARRANGER - AK CAPITAL SERVICES LIMITED
ARRANGER - A K CAPITAL SERVICES LIMITED
ARRANGER - AK CAPITAL SERVICES LTD.
ARRANGER - A K CAPITAL SERVICES LIMITED
A.K.CAPITAL SERVICES LTD
LEAD MANAGER- ICICI SECURITIES LTD, IIFL HOLDINGS LTD ETC ARRANGERS- AXIS CAPITAL LEAD MANAGER- ICICI SECURITIES LTD, IIFL HOLDINGS LTD ETC ARRANGERS- AXIS CAPITAL
NA
NA
NA
NA
NA
LEAD MANAGER-ICICI SECURITIES LTD, TRUST INVESTMENT ADVISORS PVT LTD, A.K. CAPITAL LEAD MANAGER-ICICI SECURITIES LTD, TRUST INVESTMENT ADVISORS PVT LTD, A.K. CAPITAL
LEAD MANAGER- ICICI SECURITIES LTD, TRUST INVESTMENT ADVISORS LTD, ETCLEAD MANAGER- ICICI SECURITIES LTD, TRUST INVESTMENT ADVISORS LTD, ETCLEAD MANAGER- ICICI SECURITIES LTD, TRUST INVESTMENT ADVISORS LTD, ETCLEAD MANAGER- ICICI SECURITIES LTD, TRUST INVESTMENT ADVISORS LTD, ETCLEAD MANAGER- ICICI SECURITIES LTD, TRUST INVESTMENT ADVISORS LTD, ETC
NA
LEAD MANAGER- ICICI SECURITIES LTD, TRUST INVESTMENT ADVISORS LTD, ETCLEAD MANAGER- ICICI SECURITIES LTD, SPA CAPITAL ADVISORS TD, ETC
LEAD MANAGER- ICICI SECURITIES LTD, SPA CAPITAL ADVISORS TD, ETC
LEAD MANAGER- ICICI SECURITIES LTD, SPA CAPITAL ADVISORS TD, ETC
ARRANGER- AK CAPITAL SERVICES LTD, TRUST INVESTMENT ADVISORS LTD, ETC
LEAD MANAGERS- ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, ETCLEAD MANAGERS- ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, ETCLEAD MANAGERS- ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, ETCLEAD MANAGERS- ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, ETCLEAD MANAGERS- ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, ETC
COUPON- YEAR 1-12% p.a, YEAR 2- 11.5% p.a, YEAR 3- 11.5% p.a, YEAR 4-11.25%p.a, YEAR 5- 11.25%
LEAD MANAGERS- ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, ETC
COUPON- YEAR 1-12.5% p.a, YEAR 2- 12% p.a, YEAR 3- 11.5% p.a, YEAR 4-11.25%p.a, YEAR 5- 11.25%
ARRANGER - A. K. CAPITAL SERVICES LIMITED
NA
NA
NA
ARRANGER - A. K. CAPITAL SERVICES LIMITED
ARRANGER - A. K. CAPITAL SERVICES LIMITED
ARRANGER - A. K. CAPITAL SERVICES LIMITED
LEAD MANAGERS- ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, ETCLEAD MANAGERS- ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, ETCLEAD MANAGERS- ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, ETCLEAD MANAGERS- ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, ETCLEAD MANAGERS- ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, ETC
LEAD MANAGER- ICICI SECURITIES LTD, IIFL HOLDINGS LTD ETC ARRANGERS- AXIS CAPITAL LEAD MANAGER- ICICI SECURITIES LTD, IIFL HOLDINGS LTD ETC ARRANGERS- AXIS CAPITAL
LEAD MANAGER- ICICI SECURITIES LTD, IIFL HOLDINGS LTD ETC ARRANGERS- AXIS CAPITAL LEAD MANAGER - ICICI SECURITIES LTD., KARVY INVESTOR SERVICES LTD., ETC.LEAD MANAGER - ICICI SECURITIES LTD., KARVY INVESTOR SERVICES LTD., ETC.LEAD MANAGER - ICICI SECURITIES LTD., KARVY INVESTOR SERVICES LTD., ETC.LEAD MANAGER - ICICI SECURITIES LTD., KARVY INVESTOR SERVICES LTD., ETC.LEAD MANAGER - ICICI SECURITIES LTD., KARVY INVESTOR SERVICES LTD., ETC.LEAD MANAGER - ICICI SECURITIES LTD., KARVY INVESTOR SERVICES LTD., ETC.LEAD MANAGER-ICICI SECURITIES LTD, TRUST INVESTMENT ADVISORS PVT LTD, A.K. CAPITAL LEAD MANAGERS- ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, ETC
COUPON- HOLDERS WHO FALL IN CATEGORY III ON ANY RECORD DATE SHALL RECEIVE AN
LEAD MANAGERS- ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, ETC
COUPON- HOLDERS WHO FALL IN CATEGORY III ON ANY RECORD DATE SHALL RECEIVE AN
LEAD MANAGERS- ICICI SECURITIES LTD, A.K. CAPITAL SERVICES LTD, ETCLEAD MANAGER- ICICI SECURITIES LTD, TRUST INVESTMENT ADVISORS LTD, ETC
LEAD MANAGER- ICICI SECURITIES LTD, IIFL HOLDINGS LTD ETC ARRANGERS- AXIS CAPITAL LEAD MANAGER- ICICI SECURITIES LTD, IIFL HOLDINGS LTD ETC ARRANGERS- AXIS CAPITAL LEAD MANAGER- ICICI SECURITIES LTD, IIFL HOLDINGS LTD ETC ARRANGERS- AXIS CAPITAL
ARRANGER - A. K. CAPITAL SERVICES LIMITED
ARRANGER - A. K. CAPITAL SERVICES LIMITED
LEAD MANAGER- ICICI SECURITIES LTD, SPA CAPITAL ADVISORS TD, ETC
LEAD MANAGER- ICICI SECURITIES LTD, SPA CAPITAL ADVISORS TD, ETC
LEAD MANAGER- ICICI SECURITIES LTD, SPA CAPITAL ADVISORS TD, ETC
LEAD MANAGER- ICICI SECURITIES LTD, IIFL HOLDINGS LTD ETC ARRANGERS- AXIS CAPITAL LEAD MANAGER- ICICI SECURITIES LTD, IIFL HOLDINGS LTD ETC ARRANGERS- AXIS CAPITAL
NA
LEAD MANAGER- ICICI SECURITIES LTD, IIFL HOLDINGS LTD ETC ARRANGERS- AXIS CAPITAL Arranger- A K CAPITAL SERVICES LTD
Arranger- A K CAPITAL SERVICES LTD
ZERO COUPON DEBENTURE GIVING A YIELD OF 10.30% P.A. ON XIRR BASIS
A.K.CAPITAL SERVICES LTD
LEAD MANAGER- ICICI SECURITIES LTD, IIFL HOLDINGS LTD ETC ARRANGERS- AXIS CAPITAL LEAD MANAGER- ICICI SECURITIES LTD, IIFL HOLDINGS LTD ETC ARRANGERS- AXIS CAPITAL LEAD MANAGER- ICICI SECURITIES LTD, IIFL HOLDINGS LTD ETC ARRANGERS- AXIS CAPITAL
Arranger- TRUST INVESTMENT ADVISORS LTD
ARRANGER - AK CAPITAL SERVICES LTD
NA
NA
NA
NA
ARRANGER - A.K. CAPITAL SERVICES LTD.
ARRANGER - A K CAPITAL SERVICES LTD.
ARRANGER - AK CAPITAL SERVICES LIMITED
ARRANGER - A K CAPITAL SERVICES LIMITED
ARRANGER - A K CAPITAL SERVICES LIMITED
ARRANGER - AK CAPITAL SERVICES LTD.
ARRANGER - AK CAPITAL SERVICES LTD.
NA
NA
NA
NA
ARRANGER - A. K. CAPITAL SERVICES LIMITED
ARRANGER - A. K. CAPITAL SERVICES LIMITED
ARRANGER - A. K. CAPITAL SERVICES LIMITED
ARRANGER- AK CAPITAL SERVICES LTD, TRUST INVESTMENT ADVISORS LTD, ETC
ARRANGER- HDFC BANK LTD
REDEMPTION PREMIUM-THE PRINCIPAL AMOUNT IS REPAYABLE IN FULL AT MATURITY OR
LEADE MANAGER- KOTAK BANK
COUPON/STEP UP- 11.45% p.a. IN CASE OF DOWNGRADE IN EXTERNAL CREDIT OF
NA
NA
NA
NA
NA
COUPON/STEP UP- 11.45% p.a. IN CASE OF DOWNGRADE IN EXTERNAL CREDIT OF AGENCY(IES) (WHETHER PUBLICLY OR PRIVATELY) THE COUPON RATE WILL IMMIDIATELY...CONTACT AGENCY(IES) (WHETHER PUBLICLY OR PRIVATELY) THE COUPON RATE WILL IMMIDIATELY...CONTACT AGENCY(IES) (WHETHER PUBLICLY OR PRIVATELY) THE COUPON RATE WILL IMMIDIATELY...CONTACT
Arranger- SBI CAPITAL MARKET LTD, TRUST INVESTMENT ADVISORS PVT LTD
For further detail refer to the issuer
For further detail refer to the issuer
Debenture will be redeemable in 4 equal installments on 15/11/2010,15/02/2011 ,16/05/2011 & 16/08/20
ARRANGER- SBI CAPITAL MARKETS LTD
ARRANGER- ICICI BANK LTD, AXIS BANK LTD, ETC
ARRANGER- SBI CAPITAL SECURITIES LTD
Contact issuer for further details
Debenture will be redeemable in 31equal quarterly instalments starting from 01/07/2007 & ending on Deb.shall be convertible in to B class eq shares at Rs10 persharecontact issuer for conversiondetail
ARRANGER- SBI CAPITAL MARKETS LTD
Debenture will be redeemable in 3 installments.33.34% on 23/12/2011,33.34% on 23/12/2012 & 33.32% on
ARRANGER- SBI CAPITAL MARKETS LTD
REDEMPTION PREMIUM- REDEMPTION AT PAR
ARRANGER- SBI CAPITAL MARKETS LTD
ARRANGER- SBI CAPITAL MARKETS LTD
ARRANGER- SBI CAPITAL MARKETS LTD
ARRANGER- SBI CAPITAL MARKETS LTD
ARRANGER- SBI CAPITAL MARKETS LTD
ARRANGER- SBI CAPITAL MARKETS LTD
ARRANGER- SBI CAPITAL MARKETS LTD
Debenture will be Redeemable in 3 installments. Rs. 333333/- on 06/08/2015 ; Rs.333333 on 06/08/2016 & Rs.333334/- on 06/08/20178.88% for 1st 10 years and step up rate of 9.38% for last 5 year if call option is not exercised
ARRANGER- SBI CAPITAL MARKETS LTD
ARRANGER- SBI CAPITAL MARKETS LTD
ARRANGER- SBI CAPITAL MARKETS LTD
lEAD MANAGER STATE BANK OF PATIALA. ARRANGER - YES BANK LIMITED
ARRANGER- SBI CAPITAL MARKETS LTD
ARRANGER- SBI CAPITAL MARKETS LTD
ARRANGER- BOI MERCHANT BANKERS LTD
NA
NA
NA
NA
NA
NA
NA
NA
ARRANGER- SBI CAPITAL MARKETS LTD
ARRANGER-ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER- BOI MERCHANT BANKERS LTD
NA
NA
Sub to RBI guideline, 9.15% for first ten years, & 9.65% annual thereafter if call option is not exe
NA
NA
NA
N.A.
NA
N.A.
NA
NA
NA
NA
NA
NA
NA
Refer issuer for conversion details
CONVERSION- 1. THE CCD SHALL BE COMPULSORILY AND MANDATORILY CONVERTIBLE INTO EQUITY REDEMPTION- 300 DEBENTURES EACH ON 30/06/19 AND 30/06/20 ON LOT BASIS
NA
NA
NA
NA
REDEMPTION PREMIUM - THE DEBENTURES WOULD BE REEDEEMED WITH REDEMPTION PREMIUM ON
ARRANGER - EDELWEISS FINANCIAL SERVICES LIMITED
FROM 25TH MONTH TILL REDEMPTION OF DEBENTURES. REDEMPTION- RS.
ARRANGER - AXIS BANK LIMITED
ARRANGER - AXIS BANK LIMITED
ARRANGER - YES BANK LIMITED
ARRANGER- YES BANK LIMITED
ARRANGER - AXIS BANK LIMITED, YES BANK LIMITED, DEUTSCHE BANKARRANGER-YES BANK LTD
ARRANGER-KOTAK BANK LTD AND DEUTSCHE BANK AG
ARRANGER- AXIS BANK LTD
STEP UP- i. IN CASE OF RATING DOWNGRADE OF THE DEBENTURE FROM A TO A- THE RELEVANT
NA
NA
NA
NA 25/09/20
NA 28/09/20
NA
NA
NA
NA
NA
NA
ARRANGER- AXIS BANK LTD
STEP UP- i. IN CASE OF RATING DOWNGRADE OF THE DEBENTURE FROM A TO A- THE RELEVANT STEP UP- 0.25% FOR EVERY NOTCH OF DOWNGRADE FROM CURRENT CREDIT RATING STEP UP- 0.25% FOR EVERY NOTCH OF DOWNGRADE FROM CURRENT CREDIT RATING
ARRANGER- ICICI BANK LTD, HDFC BANK LTD
REDEMPTION PREMIUM- AT THE TIME OF PART OR FULL REDEMPTION OF THE DEBENTURES THE
CONVERSION- ONE HUNDRED 10.5% REDEEMABLE PREFERENCE SHARES OF CONVERSION- (a) EACH CCD SHALL NOT BE CONVERTED BEFORE 25 YEARS OR BEFORE THE CONVERSION- (a) EACH CCD SHALL NOT BE CONVERTED BEFORE 25 YEARS OR BEFORE THE CONVERSION- (a) EACH CCD SHALL NOT BE CONVERTED BEFORE 25 YEARS OR BEFORE THE CONVERSION- (a) EACH CCD SHALL NOT BE CONVERTED BEFORE 25 YEARS OR BEFORE THE CONVERSION- (a) EACH CCD SHALL NOT BE CONVERTED BEFORE 25 YEARS OR BEFORE THE
NA
NA
NA
NA
CONVERSION- (a) EACH CCD SHALL NOT BE CONVERTED BEFORE 25 YEARS OR BEFORE THE
YES BANK LTD, IDFC BANK LTD
YES BANK LTD, IDFC BANK LTD
REDEMPTION PREMIUM- THE PRINCIPAL AMOUNT IS REPAYABLE IN FULL AT MATURITY OR PUT/CALL REDEMPTION- MONTHLY STARTING 15/01/17 TILL 15/12/20 AND ON 22/12/20
ARRANGER- SUNIDHI SECURITIES AND FINANCE LTD
REDEMPTION PREMIUM- RS 1325676/- PER DEBENTURE
ARRANGER - DERIVIUM TRADITION SECURITIES (INDIA) PVT LTD.
ARRANGER-LKP SECURITIES LTD
ARRANGER- SUNIDHI SECURITIES & FINANCE LTD
REDEMPTION PREMIUM- RS 1293341/- PER DEBENTURE
ARRANGER-LKP SECURITIES LIMITED
ARRANGER-LKP SECURITIES LIMITED
ARRANGER-CORPBAY FINANCIAL SERVICES LLP
ARRANGER- SUNIDI SECURITIES & FINANCE LTD
REDEMPTION PREMIUM- RS 1301390/- PER DEBENTURE
ARRANGER- EDELWEISS FINANCIAL SERVICES LTD
ARRANGER - DARASHAW AND COMPANY PRIVATE LIMITED
ARRANGER- ICAP PVT LTD
REDEMPTION PREMIUM- RS 1295946/- PER DEBENTURE
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTDARRANGER- HDFC BANK LTD
REDEMPTION PREMIUM- RS 1292070/- PER DEBENTURE
ARRANGER-LKP SECURITIES LTD
ARRANGER- LKP SECURITIES LTD
REDEMPTION PREMIUM- RS 1301390/- PER DEBENTURE
ARRANGER-DERIVIUM TRADITION SECURITIES PV LTD
REDEMPTION PREMIUM-RS.1218097/- PER DEBENTURE
ARRANGER - DERIVIUM TRADITION SECURITIES (INDIA) PVT lTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
REDEMPTION PREMIUM- RS 1310050/- PER DEBENTURE
ARRANGER- CAPITALSQUARE ADVISORS PRIVATE LIMITED
ARRANGER-ICICI BANK LTD
NA
ARRANGER- ICICI BANK LTD
ARRANGER - YES BANK LIMITED
ARRANGER-DERIVIUM TRADITION SECURITIES PV LTD
REDEMPTION PREMIUM-RS. 1287317/- PER DEBENTURE
ARRANGER-DERIVIUM TRADITION SECURITIES PV LTD
REDEMPTION PREMIUM-RS. 1289401/- PER DEBENTURE
ARRANGER-DERIVIUM TRADITION SECURITIES PV LTD
REDEMPTION PREMIUM-RS.1294601/- PER DEBENTURE
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
REDEMPTION PREMIUM- RS. 1293087 PER DEBENTURE
ARRANGER- SPA SECURITIES LTD, ICICI BANK LTD
REDEMPTION PREMIUM- RS. 119138/- PER DEBENTURES.
ARRANGER-DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
Arranger-DARASHAW & CO PVT LTD
ARRANGER-HDFC BANK LTD
NA
ARRANGER- HDFC BANK LTD
ARRANGER-A.K CAPITAL SERVICES LTD
ARRANGER- LKP SECURITIES LTD
REDEMPTION PREMIUM- RS 617834/- PER DEBENTURE
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER- SPA SECURITIES LTD
REDEMPTION PREMIUM- RS. 826208/- PER DEBENTURES.
ARRANGER- SPA SECURITIES LTD
REDEMPTION PREMIUM- RS. 828723/- PER DEBENTURES.
ARRANGER- SPA SECURITIES LTD
ARRANGER-DERIVIUM TRADITION SECURITIES PV LTD
REDEMPTION PREMIUM-RS.38729940/- PER DEBENTURE
ARRANGER- HDFC BANK LTD
NA
NA
ARRANGER- LKP SECURITIES LTD
REDEMPTION PREMIUM-RS.286139/- PER DEBENTURE
ARRANGER- LKP SECURITIES LTD, TAURUS CORPORATE ADVISORY SERVICES LTD, ETCARRANGER-DERIVIUM TRADITION SECURITIES PV LTD
ARRANGER- CAPITAL SQUARE ADVISORS PVT LTD
ARRANGER-DERIVIUM TRADITION SECURITIES PV LTD
REDEMPTION PREMIUM-RS.287600/- PER DEBENTURE
ARRANGER- AMA INVESTOR ADVISORY SERVICES PVT LTD
ARRANGER- LKP SECURITIES LTD
ARRANGER- AMA INVESTOR ADVISORY SERVICES PVT LTD
ARRANGER- HDFC BANK LTD
ARRANGER-HDFC BANK LTD
ARRANGER-HDFC BANK LTD
NA
NA
ARRANGER- ULJK FINANCIAL SERVICES PVT LTD
ARRANGER- TAURUS CORPORATE ADVISORY SERVICES LTD
REDEMPTION PREMIUM- RS 254077/- PER DEBENTURE
ARRANGER-ICAP IL INDIA PVT LTD
REDEMPTION PREMIUM-RS.346504/- PER DEBENTURE
ARRANGER- DERIVIUM TRADITIONAL SECURITIES PVT LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER - SPA SECURITIES LTD
ARRANGER- A.K. CAPITAL SERVICES LTD
ARRANGER - DARASHAW AND CO. PVT LTD
ARRANGER -AMA INVESTOR ADVISORY PVT LTD
ARRANGER -AMA INVESTOR ADVISORY SERVICES PVT LTD
ARRANGER- EDELWEISS FINANCIAL SERVICES LTD
ARRANGER- ICICI BANK
ARRANGER- ICICI BANK
NA
ARRANGER- DERIVIUM TRADITIONAL SECURITIES INDIA P LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES IND P LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES IND P LTD, LKP SECURITIES LTDARRANGER- SBI CAPITAL MARKETS LTD
ARRANGER- HDFC BANK LTD
ARRANGER - DERIVIUM TRADITION SECURITIES
ARRANGER- SPA SECURITIES LTD, TRUST INVESTMENT ADVISORS PVT LTDARRANGER- LKP SECURITIES LTD
ARRANGER- HDFC BANK LTD
ARRANGER- EDELWEISS FINANCIAL SERVICES LTD, A.K. CAPITAL SERVICES LTD
NA
NA
ARRANGER- ICICI BANK LTD
ARRANGER - DERIVIUM TRADITION SECURITIES INDIA PVT LTD, AXIS BANK LTD, LKP ARRANGER- YES BANK LTD, SPA SECURITIES LTD, ETC
ARRANGER- DERIVIUM TRADITION SECURITIES (INDIA) PVT LTD., HDFC BANK LTD. ETCARRANGER- SPA SECURITIES LTD
ARRANGER- TAURUS CORPORATE ADVISORY SERVICES LTD, LKP SECURITIES LTD
ARRANGER- EDELWEISS FINANCIAL SERVICES LTD
ARRANGER- LKP SECURITIES LTD
ARRANGER- A.K CAPITAL SERVICES LTD
ARRANGER- LKP SECURITIES LTD
ARRANGER- SPA SECURITIES LTD, DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
NA
ARRANGER- HDFC BANK LTD
ARRANGER- SBI CAPITAL MARKETS LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER- EDELWEISS FINANCIAL SERVICES LTD
ARRANGER - ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER- HDFC BANK LTD
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER- LKP SECURITIES LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER- ALTIUS FINCAP MARKETS LTD
NA
NA
ARRANGER- HDFC BANK LTD
ARRANGER- AXIS BANK LTD, ICICI BANK LTD
ARRANGER- IDFC BANK LTD
ARRANGER- TAURUS CORPORATE ADVISORY SERVICES LTD, IDFC BANK LTD
ARRANGER- AXIS BANK LTD, ICICI BANK LTD
ARRANGER- HDFC BANK LTD, LKP SECURITIES LTD, ETC
ARRANGER- ICICI BANK LIMITED, TRUST INVESTMENT ADVISORS PVT LTD ETC
ARRANGER- SBI CAPITAL MARKETS LTD
ARRANGER- HDFC BANK LTD, SPA SECURITIES LTD, ICICI BANK LTD
ARRANGER - ICICI BANK LTD
ARRANGER- HDFC BANK LIMITD
NA
NA
ARRANGER- DBS BANK LTD
NA
ARRANGER- AXIS BANK LTD
ARRANGER - ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER - IDFC BANK LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER- DERIVIUM TRADITION SECURITIES (INDIA) PRIVATE LIMITED, LKP SECURITIES LTD, HDFC
Arranger-BNK Securities Pvt Ltd,Derivium Tradition Securities Pvt Ltd
Arranger- BNK SECURITIES PVT LTD,DERIVIUM TRADITION SECURITIES PVT LTD
ARRANGER - YES BANK
ARRANGER-ICICI BANK LTD
ARRANGER- LKP SECURITIES LTD
Arranger-BNK SECURITIES PVT LTD
ARRANGER - DARASHAW AND CO PVT LTD
ARRANGER - DARASHAW AND CO PVT LTD
ARRANGER-AMA INVESTOR ADVISORY SERVICES PVT LTD
ARRANGER-AXIS BANK LTD
ARRANGER-AXIS BANK LTD
ARRANGER-ADITYA BIRLA FINANCE LTD
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LTD
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER- AXIS BANK LTD
REDEMPTION- RS 25000 EACH ON 31/05/19, 31/08/19, 30/11/19 AND 28/02/20REDEMPTION- RS 25000 EACH ON 31/07/17, 31/10/17, 31/01/18 AND 30/04/18
REDEMPTION PREMIUM- RS 7190 REDEMPTION PREMIUM PER BOND
REDEMPTION PREMIUM- RS 326278726.2
REDEMPTION PREMIUM- THE DEBENTURES SAHLL BE REDEEMABLE AT A PREMIUM OF SUCH AMT
CONVERSION- 1 CCD MAY BE CONVERTED INTO 1 EQUITY SHARE OF RS 10 EACH (INC PREMIUM OF RS CONVERSION- 1 CCDS MAY BE CONVERTED INTO 1 EUITY SHARE OF RS. 10 EACH AT A PRICE OF RS.
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
CONVERSION- 1 CCDS MAY BE CONVERTED INTO 1 EUITY SHARE OF RS. 10 EACH AT A PRICE OF RS. REDEMPTION- RS 11500 EACH ON EVERY 01 NOV, 01 FEB, 01 MAY AND 01 AUG STARTING 01/11/16 CONVERSION- THE SAME WILL BE CONVERTED FROM DEBENTURE INTO EQUITY AFTER 20/02/2025 WITH
REDEMPTION-RS. 7500000 EACH ON LAST DAY OF EVERY QUARTER STARTING FROM 30/06/18 REDEMPTION-RS. 36666667EACH ON LAST DAY OF EVERY QUARTER STARTING FROM 30/06/17 REDEMPTION PREMIUM- THE DEBENTURE SHALL BE REDEEMABLE AT A PREMIUM OF SUCH REDEMPTION PREMIUM- YIELD TO MATURITY IS 9.65% p.a
CONVERSION- OCD SHALL BECOME REDEEMABLE OR CONVERTIBLE INTO STEP UP/ STEP DOWN- IF THE RATING OF THE DEBENTURES IS DOWNGRADED BELOW A-
COUPON/ STEP UP- i. 11.15% FOR THE PERIOD BEGINING FROM THE DEEMED DATE OF
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ARRANGER-IFMR CAPITAL FINANCE LIMITED
STEP UP - IN THE EVENT OF DEFAULT AN ADDITIONAL COUPON RATE OF 2% p.a.STEP UP- IN THE EVENT THE CREDIT RATING IS DOWNGRADED TO NON-INVESTMENT GRADE STEP UP- 13.05.2018 AS PER THE COUPON RATE RESET MECHANISUM
COUPON/STEP DOWN-10% DOWNWARD RATCHET BEING A REDUCTION OF 25 BASIS
ARRANGER- IIFL REALTY LTD
REDEMPTION- RS.102222222 EACH ON 30/06/17, 30/09/17, 31/12/17, 31/03/18,
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
NA
NA
NA
NA
NA
NA
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
REDEMPTION- 25-MAR-16, 27-APR-16, 27-MAY-16, 27-JUN-16, 27-JUL-16, 26-AUG-16, 27-SEP-16, 27-
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
REDEMPTION- 01-AUG-16, 01-SEP-16, 03-OCT-16, 01-NOV-16, 01-DEC-16, 02-JAN-17, 01-FEB-17, 01-
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
REDEMPTION- MONTHLY ON 14-NOV-16, 13-DEC-16, 13-JAN-17, 13-FEB-17, 13-MAR-17, 13-APR-17, 15-
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
REDEMPTION- MONTHLY STARTING 07-APR-17 TILL 07-MAR-19
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
STEP UP- IN THE EVENT THE CREDIT RATING OF THE ISSUER IS DOWNGRADED THE COUPON/REDEMPTION PREMIUM- UPTO 24 MONTHS FROM THE DATE OF INVESTMENT HIGHER REDEMPTION- MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31/12/14 TILL 31/03/20REDEMPTION PREMIUM- THE PRINCIPAL IS REPAYABLE IN FULL AT MATURITY OR PUT/CALL REDEMPTION PREMIUM-12% PAYABLE ON 31/03/2018, 2. REDEMPTION- QUANTITY
NA
NA
NA
NA
Debenture holders shall have right to convert the debentures in to Fully paid Eq shares and/or prefe
A K CAPITAL, AXIS BANK, EDELWEISS, SBI CAPS ETC
ARRANGER- YES BANK LTD
ARRANGER- ICICI BANK LTD, AXIS BANK LTD
For further detail refer to the issuer
Redeemable in 3 annual installments on 30% on 26/12/2013; 30% on 26/12/2014 & 40% on
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ARRANGER- AXIS BANK LTD, YES BANK LTD ETC
ARRANGER- AXIS BANK LTD, ICICI BANK LTD, ETC
CONVERSION- COMPULSORY CONVERTIBLE WITHIN A PERIOD OF 20 YEARS FROM CONVERSION- COMPULSORY CONVERTIBLE WITHIN A PERIOD OF 20 YEARS FROM REDEMPTION PREMIUM- SHALL BE PAYABLE THAT WOULD RESULT IN THE PAYMENTS MADE AGAINST CONVERSION- COMPULSORY CONVERTIBLE WITHIN A PERIOD OF 20 YEARS FROM CONVERSION- COMPULSORY CONVERTIBLE WITHIN A PERIOD OF 20 YEARS FROM CONVERSION- COMPULSORY CONVERTIBLE WITHIN A PERIOD OF 20 YEARS FROM CONVERSION- COMPULSORY CONVERTIBLE WITHIN A PERIOD OF 20 YEARS FROM
NA
AXIS BANK LTD
CENTRUM CAPITAL LTD
AXIS BANK LTD
NA
NA
SBI CAPITAL MARKETS LTD
NA
NA
NA
CONVERSION- COMPULSORY CONVERTIBLE WITHIN A PERIOD OF 8 YEARS FROM
REDEMPTION 83.33 DEBENTURES ON 25/04/18 AND 25/04/19 AND 83.34 DEBENTURES ON 25/04/20REDEMPTION-QUANTITY REDEMPTION 8.33 EACH ON 04/03/19, 04/03/20 AND 04/03/21 ON PRORATA
REDEMPTION- QUANTITY REDEMPTION 83.33 DEBENTURES OF RS 10 LAKH EACH ON 06/11/19, REDEMPTION- RS. 8.33 CRORE ON 03/01/21, 03/01/22 AND RS. 8.34 CRORE ON 03/01/23REDEMPTION- QUANTITY REDEMPTION 100 EACH ON 11/04/21, 11/04/22 AND 11/04/23 ON PRO-RATA
ARRANGER- YES BANK LTD
ARRANGER-STANDARD CHARTERED BANK
ARRANGER-STANDARD CHARTERED BANK
NA
ARRANGER- YES BANK
NA
NA
NA
NA
For further detail refer to the issuer
NA
NA
NA
Arranger- M/S REAL GROWTH SECURITIES PVT LTD
Arranger- M/S. REAL GROWTH SECURITIES PVT LTD
ARRANGER- SPA CAPITAL ADVISORS LTD, REAL GROWTH SECURITIES (P) LTD
REDEMPTION- 30% AT THE END OF 8TH YEAR,30% AT THE END OF 9TH YEAR, 40% AT THE END OF 10TH
ARRANGER- AXIS BANK LTD, TRUST INVESTMENT ADVISORS PVT LTD
REDEMPTION- 30% AT THE END OF 8TH YEAR,30% AT THE END OF 9TH YEAR, 40% AT THE END OF 10TH
ARRANGER- AXIS BANK LTD, DARASHAW & CO PVT LTD ETC
REDEMPTION- RS 300000 EACH ON 18/12/22 AND 18/12/23 AND RS 400000 ON 18/12/24
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LTD, REAL GROWTH SECURITIES PVT LTD ETC
REDEMPTION- RS 300000 EACH ON 11/06/23, 11/06/24 AND RS 400000 ON 11/06/25
ARRANGER- REAL GROWTH SECURITIES PVT LTD ETC
REDEMPTION- RS 300000 EACH ON 08/02/24, 08/02/25 AND RS 400000 ON 08/02/26REDEMPTION- RS 300000 ON 24/12/24 AND 24/12/25 AND RS 400000 ON 24/12/26
NA
NA
NA
NA
NA
NA
NA
NA
ARRANGER- AXIS BANK, TRUST INVESTMENT ADVISORS PVT LTD,ALMONDZ GLOBAL ARRANGER- SPA CAPITAL ADVISORS LTD, REAL GROWTH SECURITIES PVT LTDARRANGER- SPA CAPITAL ADVISORS LTD
REDEMPTION-30% OF FV ON 09.04.2021, 30% OF FV ON 09.04.2022 AND 40% OF FV ON 09.04.2023
ARRANGER - ALMONDS GLOBAL SECURITIES LIMITED, A. K. CAPITAL SERVICES LIMITED
REDEMPTION-30% OF FV ON 29.05.2021, 30% OF FV ON 29.05.2022 AND 40% OF FV ON 29.05.2023
CONVERSION- EACH CCD SHALL BE CONVERTED INTO 5 EQUITY SHARES AT A PRICE OF RS 20 EACH
ARRANGER- KOTAK MAHINDRA BANK LTD
REDEMPTION PREMIUM- TOTAL REDEMPTION PREMIUM OF RS 112291000 ON ALL REDEMPTION PREMIUM- XIRR EQUIVALENT OF 12.9% (i.e EQUAL TO ANNUALISED XIRR OF REDEMPTION PREMIUM- THE PRINCIPAL IS REPAYABLE IN FULL AT MATURITY OR PUT/CALL REDEMPTION PREMIUM- THE PRINCIPAL IS REPAYABLE IN FULL AT MATURITY OR PUT/CALL
NA
NA
NA
AXIS BANK LTD
NA
NA
NA
NA
N.A.
ARRANGER- CAPRI GLOBAL CAPITAL LTD
REDEMPTION PREMIUM- YIELD OF 16% OR AS PER REDEMPTION FORMULA AGREED BETWEEN THE REDEMPTION PREMIUM-THE PRINCIPAL AMOUNT IS REPAYABLE IN FULL AT MATURITY OR REDEMPTION- THE OPTION TO MAKE AN OFFER TO THE ISSUER TO THE REDEEM REDEMPTION PREMIUM- COUPON ALONG WITH REDEMPTION PREMIUM IS SUCH THAT IRR OF 23%
ARRANGER - DERIVIUM TRADITION SECURITIES (INDIA) PVT LTD.
ARRANGER- SPA CAPITAL ADVISORS LIMITED
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ARRANGER - TRUST INVESTMENT ADVISORS PRIVATE LIMITED AND ICICI BANK LTD.
ARRANGER- HDFC BANK LTD
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ARRANGER - DERIVIUM TRADITION SECURITIES (INDIA) PVT LTD.
ARRANGER - SPA CAPITAL ADVISORS LIMITED, DERIVIUM TRADITION SECURITIES (I) PVT LTD
NA
NA
ARRANGER- CITI BANK N.A
ARRANGER- CITI BANK N.A
NA
NA
ARRANGER-IDFC LTD
NA
NA
ARRANGER - KARVY STOCK BROKING LTD.
ARRANGER-ING VYSYA BANK LTD
ARRANGER-HDFC BANK LTD
ARRANGER - INDUSIND BANK
ARRANGER - ICICI BANK
NA
NA
NA
NA
ARRANGER- YES BANK LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
COUPON- 8.8% FOR THE 1 YEAR THEREAFTER ON THE BASIS OF LAST STEP UP RATE WHICH WILL BE
ARRANGER- LKP SECURITIES LTD
ARRANGER- LKP SECURITIES LTD
ARRANGER - L. K.P SECURITIES LTD, DARASHAW AND CO PVT LTD, BARCLAYS BANK
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER- SPA SECURITIES LTD, HDFC BANK LTD
ARRANGER- HDFC BANK LTD
NA
NA
NA
NA
NA
NA
NA
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER- LKP SECURITIES LTD
ARRANGER- A.K. CAPITAL SERVICES LTD
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER- LKP SECURITIES LTD
NA
NA
NA
NA
NA
ARRANGER- ICIC BANK LTD
ARRANGER-AXIS BANK LTD
ARRANGER- TAURUS CORPORATE ADVISORY SERVICES LTD
ARRANGER- AXIS BANK LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD, ICICI SECURITIES PRIMARY ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER- AXIS BANK LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER- YES BANK LTD
NA
ARRANGER- YES BANK LTD
NA
NA
ARRANGER- YES BANK LTD
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER- SPA SECURITIES LTD
CONVERSION- CONVERTIBLE AT THE END OF 5 YEARS
ARRANGER- TAURUS CORPORATE ADVISORY SERVICES LTD
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER- SPA SECUTRITIES LTD, TAURUS CORPORATE ADVISORY SERVICES LTD ETCARRANGER- LKP SECURITIES LTD
ARRANGER- LKP SECURITIES LTD
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ARRANGER- BARCLAYS BANK PLC
ARRANGER- HDFC BANK LIMITED
ARRANGER- TRUST INVESTMENT ADVISORS LTD
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ARRANGER- AXIS BANK LTD, ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER- TIPSONS CONSULTANCY SERVICES PVT LTD
STEP UP-NOT EXCEEDING 100 BPS ONCE DURING THE LIFE OF THE INSTRUMENT AFTER 10 STEP UP -NOT EXCEEDING 100 BPS ONCE DURING THE LIFE OF THE INSTRUMENT AFTER 10 YEARS FROM THE DATE OF ALLOTMENT IF STEP UP -100 BPS ONCE DURING THE LIFE OF THE INSTRUMENT AFTER 10 YEARS FROM THE DATE OF STEP UP -100 BPS ONCE DURING THE LIFE OF THE INSTRUMENT AFTER 10 YEARS FROM THE DATE OF STEP UP -100 BPS ONCE DURING THE LIFE OF THE INSTRUMENT AFTER 10 YEARS FROM THE DATE OF STEP UP -100 BPS ONCE DURING THE LIFE OF THE INSTRUMENT AFTER 10 YEARS FROM THE DATE OF STEP UP -100 BPS ONCE DURING THE LIFE OF THE INSTRUMENT AFTER 10 YEARS FROM THE DATE OF
ARRANGER- KOTAK MAHINDRA BANK LTD
STEP UP -100 BPS ONCE DURING THE LIFE OF THE INSTRUMENT AFTER 10 YEARS FROM THE DATE OF
CALL IS NOT EXERCISED
NA
NA
NA
NA
NA
NA
NA
NA
NA
ARRANGER- DARASHAW & COMPANY PVT LTD
STEP UP- 100 BPS ONCE DURING THE LIFE OF THE INSTRUMENT AFTER 10 YEARS FROM THE DATE OF
ARRANGER- DARASHAW & COMPANY PVT LTD
STEP UP- 100 BPS ONCE DURING THE LIFE OF THE INSTRUMENT AFTER 10 YEARS FROM THE DATE OF
ARRANGER - ICICI SECURITIES PRIMARY DEALERSHIP LIMITED
STEP UP-100 BPS ONCE DURING THE LIFE OF THE INSTRUMENT AFTER 10 YEARS FROM THE DATE OF
ARRANGER- DARASHAW & CO PVT LTD
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ARRANGER- HDFC BANK LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ARRANGER - TRUST INVESTMENTS ADVISORS PVT LTD
AA+ CRISIL DT- 27/07/15
NA
NA
NA
AA+ CRISIL DT- 27/07/15
NA
NA
NA
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER- LKP SECURITIES LTD
ARRANGER- HDFC BANK LTD
ARRANGER- LKP SECURITIES LTD
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ARRANGER- LKP SECURITIES LTD, DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTDARRANGER- AK CAPITAL SERVICES LTD, DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER- ICICI BANK LTD
ARRANGER- ICICI BANK LTD
NA
NA
NA
NA
NA
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER- SPA SECURITIES LTD
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER - TATA SECURITIES LIMITED
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
NA
NA
NA
NA
NA
NA
NA
NA
NA
COUPON- 7.6% & THEN RESET RATE AS PER RESET DATE, COUPON RESET PROCESS INTEREST RESET
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER-A.K. CAPITAL SERVICES LTD
ARRANGER- HDFC BANK LTD
NA
NA
Arranger- BNK CAPITAL
NA
ARRANGER- DARASHAW AND COMPANY PVT LTD
Arranger- DARASHAW & COMPANY PVT LTD
Arranger- DARASHAW & COMPANY PVT LTD
Debenture will be redeemable in 6 installments starting from 31/05/2013 till 30/08/2014
Arranger- DARASHAW & COMPANY PVT LTD
Arranger- DARASHAW & COMPANY PVT LTD, SPA MERCHANT BANKERS LTDArranger- DARASHAW & COMPANY PVT LTD
ARRANGER - TATA CAPITAL FINANCIAL SERVICES LIMITED
ARRANGER - TATA SECURITIES LIMITED
ARRANGER - TATA SECURITIES LIMITED
NA
NA
NA
NA
NA
NA
NA
ARRANGER - TATA SECURITIES LIMITED
ARRANGER - DARASHAW & COMPANY PVT. LTD
ARRANGER - DARASHAW AND COMPANY PVT LTD
ARRANGER-TRUST INVESTMENT ADVISORS PVT LTD & DARASHAW & COMPANY PVT LTDARRANGER - YES BANK LIMITED
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ARRANGER- CITI BANK NA
NA
NA
ARRANGER- AXIS BANK LTD, ICIC SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER- HSBC BANK LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER- A.K CAPITAL SERVICES LTD
Refer issuer for further detail
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LTD
8.50% p.a. upto 28/08/2019 & thereafter 9.00% p.a.upto 28/08/2024 (if call option is not exercised)Refer issuer for further detail
1 year INMBK + 189 bps (1year INMBK will be reset at the end of each year, 7.06% is for 1st year)Debentures will be redeemable in 3 installments.20% on 16/11/2013,40% on 16/11/2014 & 40% on 16/11/2
NA
NA
NA
NA
NA
ARRANGER - ICICI SECURITIES PRIMARY DEALERSHIP LIMITED
NA
NA
NA
NA
ARRANGER- AXIS BANK LTD
ARRANGER- AXIS BANK LTD
ARRANGER- A.K. CAPITAL SERVICES PVT LTD
ARRANGER- HDFC BANK LTD
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER-TIPSONS CONSULTANCY SERVICES PVT LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
Debenture is issued at a premium of Rs.90/- per debenture.Contact issuer for conversion details.
NA
NA
NA
NA
NA
ARRANGER- ICICI BANK LTD
ARRANGER - EDELWEISS FINANCIAL SERVICES LTD
LEAD MANAGER- HSBC CAPITAL FINANCING
STEP UP- FOR EVERY NOTCH DOWNGRADE IN THE RATING OF THE DEBENTURES BY OR FOR
LEAD MANAGER- HSBC CAPITAL FINANCING
STEP UP- FOR EVERY NOTCH DOWNGRADE IN THE RATING OF THE DEBENTURES BY OR FOR REDEMPTION PREMIUM- REDEEMABLE AT PARCOUPON-IN THE EVENT OF CREDIT RATING OF THE INSTRUMENT IS REVISED TO A+ BY CARE OR LOWER REDEMPTION PREMIUM- REDEEMABLE AT PAR
REDEMPTION PREMIUM- REDEEMABLE AT PREMIUM ALONG WITH INTEREST OF 8.5% COMPOUNDED REDEMPTION PREMIUM- REDEEMABLE AT PARCOUPON-IN THE EVENT OF CREDIT RATING OF THE INSTRUMENT IS REVISED TO A+ BY CARE OR LOWER REDEMPTION PREMIUM-REDEEMABLE AT PAR
ARRANGER- KOTAK MAHINDRA BANK LTD
7.75% PER ANNUM FOR THE RESIDUAL PERIOD
LEAD MANAGER- THE HONGKONG AND SHANGHAI BANKING CORPORATION LTD
STEP UP- a.STEP UP OF 3% IF CALL OPTION IS NOT EXCERCISED AT THE END OF 3 YEARS FROM THE
ARRANGER- HDFC BANK LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD, SPA SECURITIES LTD
NA
NA
NA
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD, A.K. CAPITAL ARRANGER- CITIGROUP GLOBAL MARKETS INDIA PVT LTD
ARRANGER- TRUST INVESTMENT ADVISOR PVT LTD
ARRANGER- TAURUS CORPORATE ADVISORY SERVICES LTD
ARRANGER- HDFC BANK LTD
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER- A.K CAPITAL SERVICES LTD
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER-CITIGROUP GLOBAL MARKETS INDIA PVT LTD
ARRANGER- AXIS BANK LTD
ARRANGER- ICICI BANK LTD
NA
NA
ARRANGER-TAURUS CORPORATE ADVISORY SERVICES LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD
ARRANGER- SPA SECURITIES LTD
ARRANGER- BOB CAPITAL MARKETS LTD
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD, TAURUS CORPORATE ADVISORY
ARRANGER- ALTIUS FINCAP MARKETS LTD, DERIVIUM TRADITIONAL SECURITIES INDIA PVT ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTDARRANGER- CITIGROUP GLOBAL MARKET INDIA PVT LTD
ARRANGER- THE RATNAKAR BANK LTD, ALTIUS FINCAP MARKETS LTD
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD, ALTIUS FINCAP MARKETS LTDARRANGER- SPA SECURITIES LTD
ARRANGER- TRUST INVESTMENT ADVISORS PVT LRD, A.K. CAPITAL SERVICES LTDARRANGER- SPA SECURITIES LTD
ARRANGER- SBI CAPITAL MARKETS LTD
ARRANGER- SPA SECURITIES LTD
ARRANGER- TAURUS CORPORATE ADVISORY SERVICES LTD
ARRANGER- SPA CAPITAL ADVISORS LTD
ARRANGER- LKP SECURITIES LTD
ARRANGER- LKP SECURITIES LTD
ARRANGER- A.K. CAPITAL SERVICES LTD, SPA SECURITIES LTD
ARRANGER- SBI CAPITAL MARKETS LTD
ARRANGER- SPA SECURITIES LTD
NA
NA
ARRANGER- YES BANK LTD
ARRANGER-HDFC BANK LTD
ARRANGER-HDFC BANK LTD
ARRANGER-HDFC BANK LTD
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER- DERIVIUM TRADITIONAL SECURITIES (INDIA) PVT LTD, LKP SECURITIES LTDARRANGER-SPA SECURITIES LTD
ARRANGER-A.K CAPIITAL SERVICES LTD
ARRANGER- AXIS BANK LTD
ARRANGER- TAURUS CORPORATE ADVISORY SERVICES LTD
ARRANGER- EDELWEISS SECURITIES LTD
N.A.
NA
ARRANGER-HDFC BANK LTD
ARRANGER- ICICI BANK LTD
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
COUPON/STEP UP- 11.10% p.a. THE STEP UP SHALL BE 50BPS IN EFFECT THE COUPON RATE ON THE
ARRANGER-INVESTERIA WEALTH SOLUTIONS PVT LTD
NA
NA
NA
NA
ARRANGER- HSBC LTD
ARRANGER- DARASHAW AND CO. PVT LTD
11.33% p.a. THE STEP UP SHALL BE 50 BPS. IN EFFECT THE COUPON RATE SHALL BE STEPPED 11.03% p.a. THE STEP UP SHALL BE 50 BPS. IN EFFECT THE COUPON RATE SHALL BE STEPPED
ARRANGER- CITIGROUP GLOBAL MARKETS INDIA PVT LTD
ARRANGER- CITIGROUP GLOBAL MARKETS INDIA PVT LTD
ARRANGER- YES BANK LTD
DEUTSCHE BANK AG
ARRANGER- ICICI BANK LTD
ARRANGER- ICICI BANK LTD
ARRANGER- YES BANK LTD
ARRANGER- KOTAK MAHINDRA BANK LTD
ARRANGER-DEUTSCHE BANK
ARRANGER-DEUTSCHE BANK
ARRANGER- IDFC BANK LTD
STEP UP- THE COUPON/ INTEREST SHALL BE INCREASED BY 0.25% PER ANNUM FOR EVERY NOTCH
ARRANGER- AXIS BANK LTD
ARRANGER- HDFC BANK LTD
ARRANGER- KOTAK MAHINDRA BANK LTD
ARRANGER-AXIS BNAK LTD
ARRANGER- DEUTSCHE BANK
HDFC BANK LIMITED
ARRANGER- YES BANK LTD
ARRANGER - HSBC LIMITED
100% (Rs.1000) to be redeemed on 01/03/2017 plus a premium of Rs.1000.
ARRANGER- THE HONGKONG AND SHANGHAI BANKING CORPORATION LTDARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER- IDFC BANK LTD
ARRANGER- HDFC BANK LTD
COUPON-6 MONTHMCLR OF HDFC BANK LTD PLUS SPREAD OF 0.14%. IF IS 0.14% ABOVE 6 MONTH
ARRANGER- INDUSIND BANK LTD
REDEMPTION- RS 1416525000 EACH ON 23/01/23, 22/01/24 AND RS. 1416950000 ON
ARRANGER- YES BANK LTD
ARRANGER- YES BANK LTD
ARRANGER- HDFC BANK LTD
COUPON-6 MONTHMCLR OF HDFC BANK LTD PLUS SPREAD OF 0.14%. IF IS 0.14% ABOVE 6 MONTH STEP UP- THE COUPON RATE SHALL STAND TO BE INCREASED BY 25 BPS IF THE RATING FALLS TO A+
KOTAK MAHINDRA BANK LTD
STEP UP/ STEP DOWN- IF THE LONG TERM RATING OF THE COMPANY IS DOWNGRADED AT ANY STEP UP- THE COUPON RATE SHALL STAND TO BE INCREASED BY 25 BPS IF THE RATING FALLS TO A+
KOTAK MAHINDRA BANK LTD
STEP/STEP DOWN- IF THE LONG TERM RATING OF THE COMPANY IS DOWNGRADED AT ANY
KOTAK MAHINDRA BANK LTD
REDEMPTION PREMIUM- AT THE TIME OF REDEMPTION OF THE DEBENTURES A
KOTAK MAHINDRA BANK LTD
REDEMPTION PREMIUM- AT THE TIME OF REDEMPTION OF THE DEBENTURES A
KOTAK MAHINDRA BANK LTD
REDEMPTION PREMIUM- AT THE TIME OF REDEMPTION OF THE DEBENTURES A
ARRANGER- AXIS BANK LTD
ARRANGER- AXIS BANK LTD
ARRANGER- AXIS BANK LTD
ARRANGER- STANDARD CHARTERED BANK
ARRANGER-ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER-IDFC LTD
ARRAGNER- CREDIT SUISSE SECURITIES (INDIA) PVT LTD
ARRANGER-ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER-ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRAGNER- CREDIT SUISSE SECURITIES (INDIA) PVT LTD
ARRANGER- HONGKONG SHANGHAI BANKING CORPORATION LTD
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER- SBI CAPITAL MARKETS LTD
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LIMITED
ARRAGNER- CREDIT SUISSE SECURITIES (INDIA) PVT LTD
ARRAGNER- CITIGROUP GLOBAL MARKETS INDIA PVT LTD
ARRAGNER- CITIGROUP GLOBAL MARKETS INDIA PVT LTD
NA
NA
NA
NA
NA
ARRAGNER- CITIGROUP GLOBAL MARKETS INDIA PVT LTD
ARRAGNER- CITIGROUP GLOBAL MARKETS INDIA PVT LTD
ARRANGER - ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRAGNER- CREDIT SUISSE SECURITIES (INDIA) PVT LTD
KOTAK MAHINDRA BANK
NA
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRAGNER- SBI CAPITAL MARKETS LTD
ARRAGNER- ICICI SECURITES PRIMARY DEALERSHIP LTD
ARRAGNER- ICICI SECURITES PRIMARY DEALERSHIP LTD
ARRANGER - ICICI SECURITIES PRIMARY DEALERSHIP LIMITED
ARRANGER - ICICI SECURITIES PRIMARY DEALERSHIP LIMITED
ARRANGER - THE HONGKONG AND SHANGHAI BANKING CORPORATION LIMITED
ARRANGER - ICICI SECURITIES PRIMARY DEALERSHIP LIMITED
ARRANGER - HONGKONG AND SHANGHAI BANKING CORPORATION LIMITED
ARRANGER - ICICI SECURITIES PRIMARY DEALERSHIP LTD.
ARRANGER- IDFC LTD
NA
NA
ARRANGER - THE HONGKONG AND SHANGHAI BANKING CORPORATION LIMITEDARRANGER-ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER-ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER- HONGKONG SHANGHAI BANKING CORPORATION LTD
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LIMITED
ARRANGER - ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LTD
Refer Issuer for further details
ARRANGER-YES BAK LTD
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRAGNER- CREDIT SUISSE SECURITIES (INDIA) PVT LTD
ARRANGER - ICICI BANK LTD, ICICI SECURITIES PRIMARY DEALERSHIP LTD
Arranger- JP MORGAN SECURITIES INDIA PVT LTD, ICICI BANK LTD
Debenture will be redeemable in 25 installments starting from 31/01/2011 till 31/01/2012.
Arranger- CITIGROUP GLOBAL MARKETS INDIA PVT LTD
JOINT LEAD ARRANGERS STANDARD CHARTERED BANK (SCB) AND YES BANK (YBL)ARRANGER - YES BANK LIMITED
ARRANGER - YES BANK LIMITED
STEP UP-UPON OCCURRENCE OF THE CREDIT RATING EVENT, THE COUPON RATE SHALL INCREASE BY 2.25% p.a.
ARRANGER-YES BAK LTD
YES BANK LIMITED
NA
NA
NA
NA
NA
NA
STEP UP-UPON OCCURRENCE OF THE CREDIT RATING EVENT, THE COUPON RATE SHALL INCREASE BY 2.25% p.a. ARRANGER- SPA
SECURITIES LTD, HDFC BANK LTD, ETC
STEP UP-UPON OCCURRENCE OF THE CREDIT RATING EVENT, THE COUPON RATE SHALL INCREASE BY 2.25% p.a.
ARRANGER- HSBC CAPITAL FINANCING
REDEMPTION PREMIUM- EACH PRINCPAL PAYMENT TO BE REDEEMED AT 4.38% PREMIUM TO REDEMPTION PREMIUM- EACH PRINCPAL PAYMENT TO BE REDEEMED AT 10.54% PREMIUM TO REDEMPTION PREMIUM- EACH PRINCPAL PAYMENT TO BE REDEEMED AT 10.54% PREMIUM TO
ARRANGER - IDFC LIMITED
REDEMPTION PREMIUM-THE PRINCIPAL AMOUNT IS REPAYABLE IN FULL AT MATURITY OR
ARRANGER- KOTAK MAHINDRA BANK LTD
STEP UP- COUPON RATE SHALL INCREASE BY 25 BPS FOR EVERY DOWNGRADE IN CREDIT
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD, AXIS BANK, ETC
Refer issuer for details regarding non creation of security
8.96% for 1st 10 years and step up rate of 9.46% for last 5 year if call option is not exercised
ARRANGER- THE HONGKONG AND SHANGHAI BANKING CORPORATION LTD
STEP UP- 0.25% INCREASE IN COUPON RATE IF RATING STEPS DOWN BY 3 NOTCHES
Lead Manager to the issue- ELARA CAPITAL (INDIA) PVT LTD
Contact issuer for conversion details
ARRANGER- YES BANK LTD
ARRANGER- YES BANK LTD
Arranger- Barclays Bank PLC & Trust Investment Advisors ltd
Arranger- BARCLYAS BANK PLC, TRUST INVESTMENT ADVISORS (P) LTD
Arranger- BARCLYAS BANK PLC & TRUST INVESTMENT ADVISORS (P) LTD
Contact Issuer for further details.
ARRANGER- INDUSIND BANK LTD
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER- INDUSIND BANK LTD
ARRANGER- TRUST INVESTMENT ADVISORS (P) LTD
ARRANGER- TRUST INVESTMENT ADVISORS (P) LTD
Arranger- HSBC
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER- HDFC BANK LTD
REDEMPTION- QUARTERLY ON 28 MAY, 28 AUG, 28 NOV AND 28 FEB STARTING 28/02/18 TILL
ARRANGER- AXIS BANK LTD, KOTAK MAHINDRA BANK LTD
ARRANGER- AXIS BANK LTD, YES BANK LTD
Debenture will be redeemable in 12 equal quarterly installments starting from 18/11/2009 till 18/08/
Arranger- AK CAPITAL SERVICES LTD
Arranger- A K CAPITAL SERVICES LTD
ARRANGER- A K CAPITAL SERVICES LTD
ARANGER- A.K. CAPITAL SERVICES LTD
NA
ARANGER- A.K. CAPITAL SERVICES LTD
ARRANGER SPA MERCHANT BANKERS LIMITED
REAL GROWTH SECURITIES PVT LTD.
REDEMPTION - 25% OF FV ON 20/06/2020, 20/06/2021, 20/06/2022, 20/06/2023
STEP UP- COUPON RATE WILL BE INCREASED BY 0.25% FOR EVERY ON NOTCH DOWNGRADE Contact issuer for conversion details
ARRANGER- KOTAK MAHINDRA BANK LTD
ARRANGER- AXIS BANK LTD, ICICI SECURITIES PRIMARY DEALERSHIP LTD, ETC
REDEMPTION- 30% ON 07/03/22 AND 07/03/23 AND 40% ON 07/03/24
ARRANGER - YES BANK LIMITED, AXIS BANK LTD, ETC
ARRANGER- YES BANK LTD, DBS BANK LTD, ETC
ARRANGER - YES BANK LIMITED, AXIS BANK LTD, ETC
Premium on Redemption- 9,12,787 per Debenture.
STANDARD CHARTERED BANK
ARRANGER- KOTAK MAHINDRA BANK LTD
COUPON- BENCHMARK- STATE BANK OF INDIA BASE RATE (CURRENTLY 9.3% p.a) SPREAD 11 BPS
NA
NA
NA
NA
NA
ARRANGER - YES BANK LIMITED
Arranger- STANDARD CHARTERED BANK, YES BANK LTD
REDEMPTION- RS 250000 EACH ON 15/06/18 AND 14/12/18
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
REDEMPTION- RS 5000 EACH ON 07/05/19 AND 05/11/19
NA
NA
NA
NA
NA
KOTAK MAHINDRA BANK
KOTAK MAHINDRA BANK
KOTAK MAHINDRA BANK
NA
NA
NA
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
CONVERSION- THE FCCD WOULD CONVERT INTO EQUITY SHARES AT THE PREDETERMINED RATIO ON CONVERSION- THE FCCD WOULD CONVERT INTO EQUITY SHARES AT THE PREDETERMINED RATIO ON CONVERSION- THE FCCD WOULD CONVERT INTO EQUITY SHARES AT THE PREDETERMINED RATIO ON CONVERSION- THE FCCD WOULD CONVERT INTO EQUITY SHARES AT THE PREDETERMINED RATIO ON
ARRANGER - PIONEER INVESTCORP LIMITED
STEP UP-0.025% INCREASE IN YIELD FOR EACH DOWNGRADE IN THE CREDIT RATING OF THE STEP UP-0.025% INCREASE IN YIELD FOR EACH DOWNGRADE IN THE CREDIT RATING OF THE STEP UP-0.025% INCREASE IN YIELD FOR EACH DOWNGRADE IN THE CREDIT RATING OF THE
CONVERSION- REDEEMABLE/CONVERTIBLE AT THE OPTION OF THE SECURITY HOLDER
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
CONVERSION- CONVERTIBLE ON 07/12/34
REDEMPTION- RS 2222.22/- EACH QUARTERLY ON EVERY 31 DEC, 31 MAR, 30 JUN AND REDEMPTION- RS 2222.22/- EACH QUARTERLY ON EVERY 31 DEC, 31 MAR, 30 JUN AND REDEMPTION- RS 2222.22/- EACH QUARTERLY ON EVERY 31 DEC, 31 MAR, 30 JUN AND REDEMPTION- RS 2222.22/- EACH QUARTERLY ON EVERY 31 DEC, 31 MAR, 30 JUN AND
REDEMPTION- RS 2222.22/- EACH QUARTERLY ON EVERY 31 DEC, 31 MAR, 30 JUN AND REDEMPTION- RS 2222.22/- EACH QUARTERLY ON EVERY 31 DEC, 31 MAR, 30 JUN AND REDEMPTION- RS 2222.22/- EACH QUARTERLY ON EVERY 31 DEC, 31 MAR, 30 JUN AND REDEMPTION- RS 2222.22/- EACH QUARTERLY ON EVERY 31 DEC, 31 MAR, 30 JUN AND REDEMPTION- RS 2222.22/- EACH QUARTERLY ON EVERY 31 DEC, 31 MAR, 30 JUN AND REDEMPTION- RS 2222.22/- EACH QUARTERLY ON EVERY 31 DEC, 31 MAR, 30 JUN AND REDEMPTION- RS 2222.22/- EACH QUARTERLY ON EVERY 31 DEC, 31 MAR, 30 JUN AND
NA
NA
NA
NA
NA
NA
NA
NA
NA
REDEMPTION- RS 2222.22/- EACH QUARTERLY ON EVERY 31 DEC, 31 MAR, 30 JUN AND 30 SEP STARTING REDEMPTION- RS 2222.22/- EACH QUARTERLY ON EVERY 31 DEC, 31 MAR, 30 JUN AND REDEMPTION- RS 2222.22/- EACH QUARTERLY ON EVERY 31 DEC, 31 MAR, 30 JUN AND 30 SEP STARTING REDEMPTION- RS 2222.22/- EACH QUARTERLY ON EVERY 31 DEC, 31 MAR, 30 JUN AND 30 SEP STARTING REDEMPTION- RS 2222.22/- EACH QUARTERLY ON EVERY 31 DEC, 31 MAR, 30 JUN AND 30 SEP STARTING
ARRANGER- AXIS BANK LTD
REDEMPTION PREMIUM- THE DEBENTURE SHALL BE REDEEMABLE AT A PREMIUM OF SUCH CONVERSION- COMPULSORILY CONVERTIBLE DEBENTURE SHALL BE CONVERTED CONVERSION- EACH CCD SHALL BE CONVERTIBLE INTO 1 EQUITY SHARE OF RS.10/- EACH AT A CONVERSION- EACH CCD SHALL BE CONVERTIBLE INTO 100 EQUITY SHARE OF RS.10/- EACH AT PAR IN CONVERSION- EACH CCD SHALL BE CONVERTIBLE INTO 100 EQUITY SHARE OF RS.10/- EACH AT PAR IN
ARRANGER- KOTAK MAHINDRA BANK LTD
STEP UP- COUPON ON THE NCD SHALL BE INCREASED BY 0.25% P.A. FOR EACH DOWNGRADE IN THE CREDIT RATING OF THE ISSUER ARRANGER- KOTAK
MAHINDRA BANK LTDSTEP UP- COUPON ON THE NCD SHALL BE INCREASED BY 0.25% P.A. FOR EACH DOWNGRADE IN THE CREDIT RATING OF THE ISSUER ARRANGER- HDFC BANK
LTDREDEMPTION- RS 912000000 EACH ON 26/03/18 AND 25/03/19 AND RS 576000000 ON 24/03/20
ARRANGER- BNP PARIBAS
NA
NA
NA
NA
NA
NA
ARRANGER- KOTAK MAHINDRA BANK LTD
STEP UP- COUPON ON THE NCD SHALL BE INCREASED BY 0.25% P.A. FOR EACH DOWNGRADE IN THE CREDIT RATING OF THE ISSUER ARRANGER- HDFC BANK
LTD
REDEMPTION- RS. 1000000000 EACH ON 13/12/18, 13/12/19 AND RS. 1500000000 EACH ON
ARRANGER- IDFC BANK LTD
ARRANGER- IDFC BANK LTD
ARRANGER - KOTAK MAHINDRA BANK LTD, IDFC LTD.
REDEMPTION DATES 26/09/2020 , 26/09/2021, 26/09/2022 WILL BE REDEEMED IN
ARRANGER- IDFC BANK LTD
CONVERSION- THE OCD HOLDER HAS THE OPTION TO CONVERT THE OCDS INTO EQUITY SHARES AT REDEMPTION- 15TH OF VERY MONTH STARTING FROM 15-OCT-18 TILL 15-OCT-22
NA
NA
Arranger- A K CAPITAL SERVICES LTD, REAL GROWTH SECURITIES PVT LTDArranger- A K CAPITAL SERVICES LTD
Arranger- REAL GROWTH SECURITIES PVT LTD
Contact issuer for further details
ARRANGER - REAL GROWTH SECURITIES PVT LTD, TIP SONS CONSULTANCY SERVICES ARRANGER - AK CAPITAL SERVICES LIMITED
ARRANGER - AK CAPITAL SERVICES LIMITED
ARRANGER - REAL GROWTH SECURITIES PVT LTD
ARRANGER - AK CAPITAL SERVICES LIMITED
NA
NA
NA
NA
ARRANGER - AK CAPITAL SERVICES LIMITED
ARRANFER- STANDARD CHARTERED BANK
ARRANGER- STANDARD CHARTERED BANK
ARRANGER- DEUTSCHE BANK AG
ARRANGER- STANDARD CHARTERED BANK
ARRANGER- STANDARD CHARTERED BANK
ARRANGER- STANDARD CHARTERED BANK
ARRANGER- STANDARD CHARTERED BANK
ARRANGER- STANDARD CHARTERED BANK
NA
NA
NA
ARRANGER- STANDARD CHARTERED BANK
ARRANGER- STANDARD CHARTERED BANK
ARRANGER- ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER- HDFC BANK LTD
REDEMPTION- 250000 DEBENTURES EACH ON 30/09/18, 31/12/18, 31/03/19 AND 30/06/19CONVERSION- IN THE EVENT OF DEFAULT INVESTOR CAN EXCERCISE OPTION OF CONVERSION
REDEMPTION PREMIUM- TO BE REDEEM AT PREMIUM
Refer issuer for further detail
Final redemption amount is Rs.1005574.25
ARRANGER- YES BANK LTD
NA
NA
NA
ARRANGER- AXIS CAPITAL LIMITED
REDEMPTION- ON LAST DAY OF EVERY MONTH STARTING 30-SEP-16 TILL 30-SEP-24 AND ON 15-
ARRANGER- SAMSARA FINANCE PVT LTD
REDEMPTION PREMIUM- 9% PER ANNUM PAYABLE AT THE TIME OF REDEMPTION INCLUDING
ARRANGER- SAMSARA FINANCE PVT LTD
REDEMPTION PREMIUM- 2% PER ANNUM PAYABLE AT THE TIME OF REDEMPTION INCLUDING
ARRANGER- SAMSARA FINANCE PVT LTD
LEAD MANAGER- TRIDHAATU MUMBAI SRUCTURES PVT LTD
LEAD MANAGER- TRIDHAATU MUMBAI SRUCTURES PVT LTD
LEAD MANAGER- TRIDHAATU REALTY & INFRA PVT LTD
LEAD MANAGER- TRIDHAATU REALTY & INFRA PVT LTD
COUPON- 16% p.a TILL 30/09/18 18% p.a FROM 01/10/18 TILL REDEMPTION
LEAD MANAGER- TRIDHAATU REALTY & INFRA PVT LTD
YES BANK LTD
NA
NA
NA
NA
NA
ARRANGER- ICICI BANK LTD
ARRANGER- STANDARD CHARTERED BANK
STEP UP- THE COUPON RATE SHALL STAND INCREASED BY 0.25% IF THE RATING OF THE
ARRANGER- KOTAK MAHINDRA BANK LTD
COUPON- a) FOR THE PERIOD BETWEEN THE DEEMED DATE OF ALLOTMENT AND MARCH
REDEMPTION PREMIUM- 15% PER ANNUM ON THE AGGREGATE OF OUTSTANDING PRINCIPAL REDEMPTION PREMIUM- THE PREMIUM SHALL BE THE AGGREGATE OF THE AMOUNTS EQUIVALENT TO
ARRANGER-YES BANK LIMITED
ARRANGER- KOTAK MAHINDRA BANK LTD
Arranger- A K CAPITAL SERVICES LTD
Arranger- A K CAPITAL SERVICES LTD
NA
NA
NA
Arranger- A K CAPITAL SERVICES LTD
ARRANGER - ICICI BANK LTD
REDEMPTION - WITHIN 5 YEARS FROM DEEMED DATE OF ALLOTMENT.
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD, AXIS BANK LTD
REDEMPTION- RS 250000 EACH ON 15/05/20, 14/08/20, 13/11/20 AND 15/02/21
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD, AXIS BANK LTD
REDEMPTION- RS 250000 EACH ON 14/05/21, 16/08/21, 15/11/21, 15/02/22
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD, AXIS BANK LTD
REDEMPTION- RS 250000 EACH ON 13/05/22, 16/08/22, 15/11/22, 15/02/23
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD, AXIS BANK LTD
REDEMPTION- RS 250000 EACH ON 15/05/23, 16/08/23, 15/11/23, 15/02/24
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD, AXIS BANK LTD
REDEMPTION- RS 250000 EACH ON 15/05/24, 16/08/24, 15/11/24, 14/02/25
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD, AXIS BANK LTD
REDEMPTION- RS 250000 EACH ON 15/05/25, 14/08/25, 14/11/25, 13/02/26
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD, AXIS BANK LTD
REDEMPTION- RS 250000 EACH ON 15/05/26, 14/08/26, 13/11/26, 15/02/27
ARRANGER - TRUST INVESTMENT ADVISORS PVT LTD
REDEMPTION- QUANTITY REDEMPTION TO BE REDEEMED IN 20 EQUAL INSTALLMENTS OF 5% OF
NA
NA
NA
NA
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
REDEMPTION-5% EACH ON 28/03/22, 28/09/22, 28/03/23, 28/09/23, 28/03/24, 27/09/24,
ICICI BANK LTD, AXIS BANK LTD, HDFC BANK LTD ETC.
NA
ARRANGER- HSBC
NA
NA
NA
NA
NA
DBS BANK LTD
ARRANGER- HDFC BANK
ARRANGER- KOTAK MAHINDRA BANK LTD
REDEMPTION- QUANTITY REDEMPTION 150 UNITS ON 26/12/16 AND 250 UNITS ON 26/12/17 ON PRO RATA
COUPON -12.75% FIXED FOR 3 YEARS AND WILL BE RESET AFTER 3 YRS (CONTACT ISSUER FOR
CONVERSION- THE SAME WILL BE CONVERTED FROM DEBENTURE INTO EQUITY AFTER 20/02/2025 WITH
ARRANGER- YES BANK LTD
ARRANGER- HDFC BANK, DBS BANK LTD
ARRANGER- IDFC BANK LTD
YES BANK LTD
NA
NA
NA
NA
NA
NA
ARRANGER - HDFC BANK LTD
ARRANGER - ICICI BANK LTD
ARRANGER- KOTAK MAHINDRA BANK LTD
REDEMPTON- QTRLY ON 30 APR, 31 JUL, 31 OCT AND 31 JAN STARTING 30/04/15 TILL 31/10/24 & ON CONVERSION- EACH OCD SHALL BE CONVERTIBLE INTO EQUITY SHARE ON OR BEFORE THE TERM OF OCD REDEMPTION- MONTHLY ON 30TH OR LAST DAY OF EVERY MONTH STARTING 30/03/19 TILL 29/02/24 REDEMPTION- RS 55000000 EACH ON 31/05/16, 31/08/16, 30/11/16, 28/02/17, 31/05/17, 31/08/17, REDEMPTION- RS. 55555.55 EACH ON LAST DAY OF EVERY MONTH STARTING FROM 31-CONVERSION- CONVERTIBLE ON THE OCCURENCES OF DEFAULT BY COMPANY
NA
NA
NA
NA
Refer issuer for conversion details
COUPON- SUBJECT TO RBI GUIDELINES IN THIS REGARDS, INTEREST WILL BE PAID AT THE CUT OFF
Refer issuer for further details.
NA
NA
NA
NA
NA
NA
NA
NA
9.15% for 1st 10 years and step up rate of 9.65% for last 5 year if call option is not exercisedDebenture will be redeemable in 4 equal installments on 15/09/2010,15/12/2010 ,15/03/2011 & 15/06/20
ARRANGER- A.K. CAPITAL SERVICES LTD
REDEMPTION- RS 888888.89 ON 31/03/17, RS 777777.78 ON 30/06/17, RS 666666.67 ON 30/09/17, RS 555555.56 ON 31/12/17, RS 444444.44 ON CONVERSION- EACH DEBENTURE SHALL BE CONVERTED INTO ONE EQUITY SHARE, THE CONVERSION- EACH DEBENTURE SHALL BE CONVERTED INTO ONE EQUITY SHARE, THE REDEMPTION- MONTHLY ON LAST DAY OF EVERY MONTH STARTING 30/03/19 TILL 29/02/24CONVERSION- EACH DEBENTURE SHALL BE CONVERTED INTO ONE EQUITY SHARE, THE CONVERSION- EACH DEBENTURE SHALL BE CONVERTED INTO ONE EQUITY SHARE, THE CONVERSION- EACH DEBENTURE SHALL BE CONVERTED INTO ONE EQUITY SHARE, THE
NA
NA
ARRANGER - YES BANK LIMITED
ARRANGER - AXIS BANK LTD, ICICI BANK LTD, ICICI SECURITIES PRIMARY DEALERSHIP ARRANGER- AXIS BANK LTD, TRUST INVESTMENT ADVISORS LTD
ARRANGER - YES BANK LIMITED
Lock in peroid 5 year/(non transferable and non pledgable during lock in period).Contact issuer for Lock in peroid 5 year/(non transferable and non pledgable during lock in period).Contact issuer for
ARRANGER - YES BANK LIMITED
Lock in peroid 5 year/(non transferable and non pledgable during lock in period).Contact issuer for
ARRANGER- DEUTSCHE BANK AG, KIM ENG SECURITIES INDIA PVT LTD
REDEMPTION PREMIUM- 32.72% OF THE FACE VALUE OF BONDS IF OPTION IS NOT
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ARRANGER- DEUTSCHE BANK AG, KIM ENG SECURITIES INDIA PVT LTD
REDEMPTION PREMIUM- 32.72% OF THE FACE VALUE OF BONDS IF OPTION IS NOT REDEMPTION PREMIUM- TO BE CALCULATED @10.2% IRR ACCRUED REDEMPTION PREMIUM IS REDEMPTION PREMIUM- TO BE CALCULATED @10.3% IRR ACCRUED REDEMPTION PREMIUM AT REDEMPTION PREMIUM- TO BE CALCULATED @10.2% IRR ACCRUED REDEMPTION PREMIUM IS REDEMPTION PREMIUM- TO BE CALCULATED @10.3% IRR ACCRUED REDEMPTION PREMIUM AT REDEMPTION PREMIUM- TO BE CALCULATED @10.3% IRR ACCRUED REDEMPTION PREMIUM AT
ARRANGER- CAPRI GLOBAL CAPITAL LTD
REDEMPTION PREMIUM- YIELD OF 16% OR AS PER REDEMPTION FORMULA AGREED BETWEEN THE CONVERSION- EACH COMPULSORY CONVERTIBLE DEBENTURES (CCD) SHALL CONVERSION- EACH COMPULSORY CONVERTIBLE DEBENTURES (CCD) SHALL CONVERSION- EACH COMPULSORY CONVERTIBLE DEBENTURES (CCD) SHALL CONVERSION- EACH COMPULSORY CONVERTIBLE DEBENTURES (CCD) SHALL CONVERSION- EACH COMPULSORY CONVERTIBLE DEBENTURES (CCD) SHALL CONVERSION- EACH COMPULSORY CONVERTIBLE DEBENTURES (CCD) SHALL
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
CONVERSION- EACH COMPULSORY CONVERTIBLE DEBENTURES (CCD) SHALL CONVERSION- EACH COMPULSORILY CONVERTIBLE DEBENTURE OF RS 10/- EACH SHALL BE CONVERSION- EACH COMPULSORILY CONVERTIBLE DEBENTURE OF RS 10/- EACH SHALL BE
ARRANGER- SMC CAPITALS LTD
REDEMPTION PREMIUM- THE DIFFERENTIAL AMOUNT BETWEEN (A) THE IRR AND (B) THE INTEREST
REDEMPTION- RS 100000 EACH ON 28 SEP, 28 DEC, 28 MAR AND 28 JUN STARTING 28-SEP-17 TILL
ARRANGER-IFMR CAPITAL FINANCE PVT LTD
REDEMPTION-A.25% OF OUTSTANDING PRINCIPAL AMOUNT ON 1ST REDEMPTION DATE B.
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA AND ON 29-APR-19
COUPON- 13.80% p.a. IT CAN BE MAXIMUM UP TO SBI BASE RATE + 5%
COUPON- 13.3%, THE RATE WILL RESET AFTER 36 MONTHS FROM THE DATE OF ALLOTMENT
COUPON- 13.9% THE BASE RATE IS VARIABLE AND IT CAN BE MAXIMUM UP TO SBI BASE RATE PLUS
REDEMPTION -RS. 5 CR EACH O N 31/01/21, 31/01/22, 31/01/23 AND 31/01/24CONVERSION- THE DEBENTURES SHALL AUTOMATICALLY AND COMPULSORILY GET CONVERSION- THE DEBENTURES SHALL AUTOMATICALLY AND COMPULSORILY GET
REDEMPTION- RS 6000 EACH ON 01/05/16, 01/08/16 RS 11000 EACH ON 01/11/16, 01/02/17,
NA
NA
NA
NA
NA
ARRANGER- HDFC BANK
ARRANGER- HDFC BANK
ARRANGER- HDFC BANK
ARRANGER- RBL BANK LTD
REDEMPTION- QUARTERLY ON EVERY 11 MAR , 11 JUN, 11 AUG AND 11 DEC STARTING 11-MAR-REDEMPTION- MONTHLY ON LAST DAY OF EVERY MONTH STARTING 31/10/19 TILL 03/09/20CONVERSION- IF OPTION TO REDEEM IS NOT EXCERCISED DURING THE CCD CONVERSION PERIOD CONVERSION- EACH DEBENTURE IS CONVERTIBLE INTO EQUITY SHARES AT THE END OF REDEMPTION- 1000 UNITS EACH ON 29/06/17, 29/09/17, 30/12/17, 30/03/18 AND 29/06/18 STEP UP- 25 BPS STEP UP FOR EVERY NOTCH DOWNGRADE IN CREDIT RATINGSTEP UP- 25 BPS STEP UP FOR EVERY NOTCH DOWNGRADE IN CREDIT RATINGSTEP UP- 25 BPS STEP UP FOR EVERY NOTCH DOWNGRADE IN CREDIT RATING
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER- KOTAK MAHINDRA BANK LTD
STEP UP- COUPON RATE SHALL INCREASE BY 25 BPS FOR EVERY DOWNGRADE IN CREDIT REDEMPTION- 10% ON 30/06/19, 25% ON 30/06/20, 30% ON 30/06/21 AND 35% ON
ING VYSYA BANK LIMITED
14/12/2015 - 333,333 14/12/2016 - 333,333 14/12/2017 - 333,333
ING VYSYA BANK LIMITED
Debenture will be redeemable in 3 installments 27/12/2015-33.33%,27/12/2016-33.33% & 27/12/2017-33.34%
ING VYSYA BANK LTD
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA THE PURCHASER
NA
REEMPTION - 23/04/2016 - 333,333, 23/04/2017 - 333,333 AND 23/04/2018 - 333,333
REDEMPTION- RS. 41666.67 EACH ON LAST DAY OF EVERY MONTH STARTING 31-MAR-19 TILL REDEMPTION PREMIUM- 14% PER ANNUM CALCULATED FROM THE DATE OF ISSUE OF THE STEP UP- IN THE EVENT OF THE CREDIT RATING OF THE ISSUER IS DOWNGRADED BELOW
STEP DOWN- TIME BASED STEP DOWN FROM 15.5% TO 15% FROM 01/01/20COUPON- INTEREST SHALL ACCRUE AT THE RATE OF 15.5% COMPOUNDED MONTHLY FROM THE STEP DOWN- TIME BASED STEP DOWN FROM 15.5% TO 15% FROM 01/01/20COUPON- INTEREST SHALL ACCRUE AT THE RATE OF 15.5% COMPOUNDED MONTHLY FROM THE
REDEMPTION- MONTHLY ON LAST OF EVERY MONTH STARTING 31/12/18 TILL 31/12/22REDEMPTION- MONTHLY ON LAST OF EVERY MONTH STARTING 31/12/18 TILL 31/12/22
CONVERSION- a) SUBJECT TO PRIOR APPROVAL FROM LENDER, THE DEBENTURE SUBSCRIBER SHALL HAVE
CONVERSION- CONVERSION AT PAR AT THE OPTION OF THE PURCHASER AT ANY TIME
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
CONVERSION- 20 YEARS FROM THE DATE OF ISSUE, UNLESS CONVERTED OR REDEEMED EARLIER AS
ARRANGER- CENTRUM WEALTH MANAGEMENT LTD
REDEMPTION- RS-33333 EACH ON 06/04/19, 06/07/19 AND rs. 33334 ON 06/10/19
ARRANGER- SBI CAPITAL MARKETS LTD
STEP UP- FOR EACH NOTCH OF RATING DOWNGRADE i.e RATING BEING ONE NOTCH
REDEMPTION- ON 31/08/17, 30/11/17, 28/02/18, 31/05/18, 31/08/18, 30/11/18, REDEMPTION- ON 31/03/2017, 31/05/2017, 31/08/17, 30/11/17, 28/02/18, 31/05/18,
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
REDEMPTION- ON 31/03/2017, 31/05/2017, 31/05/18, 30/11/18, 28/02/19, 31/05/20 COUPON-UPON OCCURRENCE OF A RATING EVENT IN RELATION TO THE SERIES A DEBENTURES THE SENIOR COUPON RATE COUPON-UPON OCCURRENCE OF A RATING EVENT IN RELATION TO THE SERIES B DEBENTURES THE SENIOR COUPON RATE COUPON-UPON OCCURRENCE OF A RATING EVENT IN RELATION TO THE SERIES C DEBENTURES THE SENIOR COUPON RATE COUPON-UPON OCCURRENCE OF A RATING EVENT IN RELATION TO THE SERIES D DEBENTURES THE SENIOR COUPON RATE COUPON-UPON OCCURRENCE OF A RATING EVENT IN RELATION TO THE SERIES D COUPON-UPON OCCURRENCE OF A RATING EVENT IN RELATION TO THE SERIES D CONVERSION- COMPULSORILY CONVERTIBLE DEBENTURE (CCD) SHALL BE CONVERSION- COMPULSORILY CONVERTIBLE DEBENTURE (CCD) SHALL BE CONVERSION- COMPULSORILY CONVERTIBLE DEBENTURE (CCD) SHALL BE CONVERSION- COMPULSORILY CONVERTIBLE DEBENTURE (CCD) SHALL BE CONVERSION- COMPULSORILY CONVERTIBLE DEBENTURE (CCD) SHALL BE
NA
NA
AND 30/04/21
NA
NA
NA
INGA CAPITAL PVT LTD
COUPON- 16% PER ANNUM COMPOUNDED MONTHLY AND PAYABLE QUARTERLY TILL SEP 30
ARRANGER- EDELWEISS FINANCIAL SERVICES LIMITED
REDEMPTION- RS 256250000 EACH ON 31/10/16, 31/01/17, 30/04/17, 31/07/17, 31/10/17, 31/01/18,
ARRANGER- PIRAMAL FUND MANAGEMENT PVT LTD
REDEMPTION - RS 266666666.67 ON 30 SEP, 31 DEC, 31 MAR AND 30 JUN EVERY YEAR STARTING
ARRANGER- KKR INDIA ASSET FINACNE PVT LTD
REDEMPTION PREMIUM- WILL BE SUCH THAT OVERALL IRR ON NCD SHALL BE 19% STEP UP/COUPON- FROM DATE FIRST DRAWDOWN UNTIL 31/03/18- ZERO COUPON, FROM 01/04/18 STEP UP/COUPON- FROM DATE FIRST DRAWDOWN UNTIL 31/03/18- ZERO COUPON, FROM 01/04/18
ARRANGER- TRUST GROUP, AXIS BANK
NA
NA
NA
NA
NA
NA
NA
ARRANGER-TRUST INVESTMENT ADVISORS PVT LTD, ICICI SECURITIES PRIMARY ARRANGER-ICICI BANK, AXIS BANK ETC
ARRANGER-ICICI BANK, AXIS BANK ETC
ARRANGER-ICICI SECURITIES PRIMARY DEALERSHIP LTD
ARRANGER-ICICI SECURITIES PRIMARY DEALERSHIP LTD, AXIS BANK ETC
REDEMPTION PREMIUM- PREMIUM SO AS TO GET IRR OF 21% p.a REDEMPTION- RS CONVERSION- THE INVESTOR RESERVE THE RIGHT TO CONVERT PARTLY OR FULL THE REDEMPTION- QUARTERLY ON 01 APR 01 JUL, 01 OCT AND 01 JAN STARTING 01/04/17 TILL
REDEMPTION- 33% ON 14/02/20 AND 13/02/21 AND 34% ON 15/02/22STEP UP- THE COUPON WILL BE INCREASED BY 0.25% FOR EVERY NOTCH DOWNGRADE IN THE
ARRANGER- HDFC BANK LTD
COUPON- 10.6% (SBI BASE RATE PLUS 60 BPS PRESENTLY 10.6% PER ANNUM INTEREST
NA
NA
NA
NA
ARRANGER- HONKONG AND SHANGHAI BANKING CORPORATION LTD
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
ARRANGER- UNITUS CAPITAL PVT LTD
REDEMPTION PREMIUM- REDEMPTION AT PAR
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
STEP UP- IN THE EVENT THE CREDIT RATING OF THE ISSUER IS DOWNGRADED FROM
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
REDEMPTION PREMIUM- THE ISSUER SHALL PAY THE DEBENTURE HOLDERS PREMIUM WHICH SHALL
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
REDEMPTION PREMIUM- THE ISSUER SHALL PAY THE DEBENTURE HOLDERS PREMIUM WHICH SHALL
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
ARRANGER- CENTRUM WEALTH MANAGEMENT LTD
REDEMPTION- RS. 25000 EACH ON 14/01/19, 12/04/19, 12/07/19 AND 14/10/19COUPON- RATE OF INTEREST SHALL BE MINIMUM 1% LESS THAN FROM THE APPLICABLE
NA
C
NA
NA
NA
NA
NA
NA
NA
NA
NA
REDEMPTION PREMIUM- 12% COUPON PER ANNUM ON THE AGGREGATE AMOUNT OF OUTSTANDING
ARRANGER- NISUS FINANCE AND INVESTMENT MANAGERS LLP
REDEMPTION- ON 30/09/16, 31/03/17, 30/09/17 AND 31/03/18
REDEMPTION PREMIUM- 0.75%
ARRANGER - UNITUS CAPITAL
REDEMPTION- ON 10TH OF MARCH, JUNE, SEPTEMBER AND DECEMBER EVERY YEAR REDEMPTION PREMIUM- 1.26%
REDEMPTION-OPTION I-RS. 96750000 ON 13/05/2017, RS. 290220975 ON 13/11/2017, RS.29025 ON
REDEMPTION PREMIUM- OF 0.167% OF THE FACE VALYE PER DEBENTURE PAYABLE ON THE REDEMPTION PREMIUM- 2.01%
COUPON- 5% PER ANNUM COUPON FOR FIRST 6 YEARS AND 14% COUPON FROM YEAR 7 TO 12COUPON/STEP UP- 14.25% AND 16% PER ANNUM FROM 01/07/2020REDEMPTION PREMIUM- AS MAY BE DETERMINED BY THE BOARD BASED ON THE PREVAILING INTEREST
NA
ARRANGER- HSBC
NA
ARRANGER-YES BANK LTD
ARRANGER-YES BAK LTD
ARRANGER-YES BAK LTD
ARRANGER-YES BAK LTD
ARRANGER-YES BAK LTD
ARRANGER-ICICI BANK LTD
COUPON/STEP UP- 14.25%, 16% PER ANNUM FROM 01/07/20REDEMPTION PREMIUM- AS MAY BE DETERMINED BY THE BOARD BASED ON THE PREVAILING INTEREST
ARRANGER- THE HONGKONG AND SHANGHAI BANKING CORPORATION LTD, ARRANGER- THE HONGKONG AND SHANGHAI BANKING CORPORATION LTD, ARRANGER- THE HONGKONG AND SHANGHAI BANKING CORPORATION LTD, ARRANGER- BARCLAYS BANK PLC
ARRANGER-YES BAK LTD
ARRANGER-YES BAK LTD
ARRANGER-ICICI BANK LTD
N.A.
ARRANGER - HDFC BANK
NA
NA
NA
NA
NA
NA
NA
NA
REDEMPTION- RS 12500 EACH ON EVERY 31 DEC, 31 MAR, 30 JUN AND 30 SEP STARTING 31/12/16 REDEMPTION PREMIUM- THE PRINCIPAL IS REPAYABLE IN FULL AT MATURITY OR PUT/CALL REDEMPTION PREMIUM- THE PRINCIPAL IS REPAYABLE IN FULL AT MATURITY OR PUT/CALL
REDEMPTION PREMIUM- RS 1354734.7 PER DEBENTURE (REDEMPTION PREMIUM TO BE
REDEMPTION- RS 100000 EACH ON 22/06/17, 22/09/17 RS 133333 EACH ON 22/12/17, 22/03/18 REDEMPTION- RS 80000 EACH ON 10/04/17 AND 10/07/17 AND RS 120000 EACH ON 10/10/17,
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
COUPON- 9% p.a FROM 1ST MONTH TO 12TH MONTH. 9.25% FROM 13TH MONTH TO 36TH MONTH,
CONVERSION-THE CCDS SHALL BE CONVERTIBLE IN TO EQUITY SHARES ON 01/08/2025, THE SERIES B COUPON- FROM DISBURSEMENT DATE TILL 30/09/18-7%. FROM 01/10/18 TO 30/09/19-8% CONVERSION- 500000 COMPULSORILY CONVERTIBLE DEBENTURES OF FACE CONVERSION- THE NUMBER OF EQUITY SHARES TO BE ISSUED UPON CONVERSION OF
CONVERSION- THE DEBENTURE HOLDER SHALL HAVE AN OPTION TO EXCERCISE AT ANY CONVERSION- DEBENTURES SHALL BE COMPULSORILY CONVERTIBLE
NA
NA
NA
NA
NA
NA
NA
NA
REDEMPTION RS 832000 EACH ON LAST DAY OF EVERY MONTH SATRTING 30/04/19 TILL 29/02/20 CONVERSION- THE DEBENTURES ARE COMPULSORILY CONVERTIBLE INTO 8% COUPON- 9.5% PAYABLE FOR FIRST 6 MONTHS FROM THE DATE OF INVESTMENT 11.5%
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
STEP UP/ STEP DOWN- IN CASE OF A RATING DOWNGRADE OF THE DEBENTURE OF THE
ARRANGER- TRUST INVESTMENT ADVISORS PVT LTD
STEP UP/ STEP DOWN- IN CASE OF A RATING DOWNGRADE OF THE DEBENTURE OF THE
ARRANGER - ALTIUS FINSERV PRIVATE LIMITED
Refer issuer for further details.
CONVERSION- THE DEBENTURES ARE COMPULSORILY CONVERTIBLE IN TO CONVERSION- THE DEBENTURES ARE COMPULSORILY CONVERTIBLE IN TO CONVERSION- THE DEBENTURES ARE COMPULSORILY CONVERTIBLE IN TO COUPON- 14% ON CUMULATIVE BASIS FOR THE FIRST INTEREST PERIOD WHICH IS UNTIL APPLICATION BY THE FCCD HOLDERS, INTO APPROPRIATE NO OF EQ SHARES OF RS.10/- EACH
ARRANGER- ICICI BANK LTD, ICICI SECURITIES PRIMARY DEALERSHIP LTD
NA
NA
NA
NA
COUPON- INTEREST ON FACE VALUE OF DEBENTURES SHALL BE PAID TO THE INVESTOR AS CONVERSION- THE DEBENTURES ARE COMPULSORILY CONVERTIBLE INTO 8% CONVERSION- THE DEBENTURES ARE COMPULSORILY CONVERTIBLE INTO 8%
Arranger- A K CAPITAL , SPA MERCHANT, REAL GROWTH , ALMONDZ 7 TRUSTARRANGER - A. K. CAPITAL, SPA MERCHANT, REAL GROWTH, ALMONDZ & ARRANGER - SPA MERCHANT, REAL GROWTH ALMONDZ & TRUST
Refer issurer for further Detail
ARRANGER- DARA SHAW AND CO. PVT LTD, TAURUS FINSEC PVT LTD, ETCARRANGER- DARA SHAW AND CO. PVT LTD, TAURUS CORPORATE ADVISORY SERVICES LTD
REDEMPTION- RS 293190000 ON 24/02/22, RS 293190000 ON 24/02/23 AND RS 390920000 ON 24/02/24
ARRANGER- SPA CAPITAL ADVISORS LTD, ALMONDZ GLOBAL SECURITIES LTD ETC
REDEMPTION- RS 75180000 ON 24/02/24, RS 75180000 ON 24/02/25 AND RS 100240000 ON
Bond will be redeemable in 10 equal annual installments starting from 16/10/2010 till 16/10/2019Debenture will be redeem in 18 equal monthly installment where 1st of such installment start form 26/01/2013,1 to 17th
NA
NA
NA
NA
NA
REDEMPTION-QUARTERLY ON 31 JAN, 31 APR, 31 JUL AND 31 OCT EVERY YEAR STARTING REDEMPTION-QUARTERLY ON 31 JAN, 31 APR, 31 JUL AND 31 OCT EVERY YEAR STARTING REDEMPTION-QUARTERLY ON 31 JAN, 31 APR, 31 JUL AND 31 OCT EVERY YEAR STARTING
ARRANGER- INDOSTAR CAPITAL LTD
ARRANGER- INDOSTAR CAPITAL LTD
ARRANGER- INDOSTAR CAPITAL LTD
ARRANGER- INDOSTAR CAPITAL LTD
ARRANGER- INDOSTAR CAPITAL LTD
ARRANGER- INDOSTAR CAPITAL LTD
ARRANGER- INDOSTAR CAPITAL LTD
COUPON/ STEP UP- 6% PER ANNUM FROM THE DEEMED DATE OF ALLOTMENT UPTO
ARRANGER- L&T FINCORP LTD
REDEMPTION - FACE VALUE REDEMPTION ON 02/06/16, 30/06/16, 31/07/16 AND 31/08/16 STEP/STEP
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ARRANGER- L&T FINCORP LTD
REDEMPTION- FACE VALUE REDEMPTION ON 02/06/16, 30/06/16, 31/07/16 AND 31/08/2016COUPON-SBI BASE RATE PLUS 500 BASIS POINTS
COUPON-SBI BASE RATE PLUS 500 BASIS POINTS
CONVERSION- CCD SHALL BE CONVERTED BY THE COMPANY INTO EQUITY SHARES OF THE COMPANY
CONVERSION- CCD WILL CONVERT INTO EQUITY SHARES AT THE END OF 36 MONTHS FROM THE DATE CONVERSION- CCD WILL BE COMPULSORILY CONVERTIBLE INTO EQUITY SHARES AT THE END OF 36 CONVERSION- CCD WILL BE COMPULSORILY CONVERTIBLE INTO EQUITY SHARES AT THE END OF 36 CONVERSION- CCD WILL BE COMPULSORILY CONVERTIBLE INTO EQUITY SHARES AT THE END OF 36 CONVERSION- CCD WILL BE COMPULSORILY CONVERTIBLE INTO EQUITY SHARES AT THE END OF 36 CONVERSION- CCD WILL BE COMPULSORILY CONVERTIBLE INTO EQUITY SHARES AT THE END OF 36
ARRANGER- AXIS CAPITAL LTD
REDEMPTION- RS 400000000 EACH ON 18/03/18 AND 18/03/19
ARRANGER- KOTAK MAHINDRA BANK LTD
COUPON- 8.31% PAYABLE QUARTERLY WITH A PROVISION FOR INTEREST RATE RESET ON EACH
NA
NA
NA
NA
NA
NA
NA
COUPON- 8.36% PAYABLE QUARTERLY WITH A PROVISION FOR INTEREST RATE RESET ON EACH COUPON- 8.35% PAYABLE QUARTERLY WITH A PROVISION FOR INTEREST RATE RESET ON EACH
ARRANGER- THE RATNAKAR BANK LTD
ARRANGER- THE RATNAKAR BANK LTD
CONVERSION- 1 DATE OF CONVERSION- 21/11/26 2. CONVERSION RATIO- ONE DEBENTURE WILL BE COUPON- 9% FOR FIRST 2 YEARS. 12% FROM 3RD TO 5TH YEAR AND 14% FROM 6TH YEAR ONWARDS TILL
8.80% ( If call is not exercised at the end of 10th year form the deemed date of allotment,there wil
For further detail refer to the issuer
NA
NA
NA
NA
ARRANGER- YES BANK LTD
ARRANGER- YES BANK LTD
ARRANGER- YES BANK
ARRANGER- YES BANK
Debenture will be Redeemable in 40 equal installments starting from 30/06/2012 to 31/03/2022.Contact issuer for
ARRANGER- YES BANK LTD
ARRANGER- YES BANK
ARRANGER- YES BANK
ARRANGER- YES BANK
ARRANGER- YES BANK
NA
NA
ARRANGER- YES BANK LTD
NA
NA
ARRANGER- ICICI BANK LTD, SBI CAPITAL MARKETS LTD, ETC
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
NA
ARRANGER- YES BANK LTD, YES SECURITIES LTD
NA
NA
NA
NA
NA
ARRANGER- ICICI BANK LTD
REDEMPTION PREMIUM-REDEEMED AT PREMIUM OF 15% p.a.
STEP UP- IN THE EVENT OF THE CREDIT RATING OF THE ISSUER IS DOWNGRADED BELOW
ARRANGER- CAPRI GLOBAL CAPITAL LTD
REDEMPTION PREMIUM- YIELD OF 16% OR AS PER REDEMPTION FORMULA AGREED BETWEEN THE
ARRANGER- CAPRI GLOBAL CAPITAL LTD
REDEMPTION PREMIUM- YIELD OF 16% OR AS PER REDEMPTION FORMULA AGREED BETWEEN THE REDEMPTION PREMIUM- AT PREMIUM OF SUCH AMOUNT WHICH GIVES THE HLER OF THE
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
REDEMPTION- MONTHLY 01-AUG-16, 01-SEP-16, 03-OCT-16, 01-NOV-16, 01-DEC-16, 02-JAN-17, 01-
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
REDEMPTION- MONTHLY ON 14-NOV-16, 13-DEC-16, 13-JAN-17, 13-FEB-17, 13-MAR-17, 13-APR-17, 15-
ARRANGER- IFMR CAPITAL FINANCE PVT LTD
REDEMPTION- MONTHLY ON 07-APR-17, 08-MAY-17, 07-JUN-17, 07-JUL-17, 07-AUG-17, 07-SEP-17, 09-STEP UP- IN THE EVENT THE CREDIT RATING OF THE ISSUER IS DOWNGRADED FROM BBB-
ARRANGER- CENTRUM WEALTH MANAGEMENT LTD
REDEMPTION- FACE VALUE REDEMPTION VARIBALE DATES DEPENDING ON THE
REDEMPTION PREMIUM-THE PRINCIPAL AMOUNT IS REPAYABLE IN FULL AT MATURITY OR PUT/CALL
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