Bonds

Issue Name

NAVI FINSERV LIMITED

Buy
...
₹1,99,269.86

Minimum Investment (Rs.)

...
11.1300% p.a

Yield to Maturity (%)

...
NA

Yield to call (%)

...
18-Jul-2024

Last Interest Payment Date

...
18-Aug-2024

Next Interest Payment Date

...
18-Jun-2027

Maturity Date

...
02-Jan-2000

Call Date

...
A IND

Credit Rating

...
nan

Category

...
INE342T07494

ISIN

...
Listed CB

Bond Type

...
1,00,000.00

Face Value

...
10.5000

Coupon

...
Yes

Taxable