ISIN: INE342T07726
CRISIL: A (Stable)
NAVI FINSERV LIMITED
Yield: 10.90%10.75% SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURE DATE OF MATURITY 31/08/2029
Issue Price
10,000.00
Face Value
10,000.00
Issue Size
1,00,00,00,000.00
Coupon Rate
10.75%
Coupon Type
Fixed
Interest Payment Frequency
MONTHLY
Allotment Date
15 Jun 2026
Maturity Date
31 Aug 2029
Next Interest Payment Date
15 Sep 2026
Bond Category
NBFC
Sector
NBFC
Bond Type
CORPORATE
Seniority
SENIOR
Security
Secured
Tax Status
Taxable
Listed
Yes
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