Home
About Us
Offerings
Collections
Blogs
FAQs
Back
LOG IN / SIGN UP
Home
/
Bonds
Close
Filter By
Sort By
Popular Collections
Clear All
Results (5)
Sort
Filter
11.65% Ugro Capital Limited 2031
non convertible debentures
Min Investment
₹99,308.49
Payment
monthly
Yield to maturity
12.44%
Coupon Rate
11.65 %
Maturity Date
Mar 15, 2031
Rating
A+
(IND)
10.75% Navi Finserv Limited 2028
non convertible debentures
Min Investment
₹1,00,676.03
Payment
monthly
Yield to maturity
10.79%
Coupon Rate
10.75 %
Maturity Date
Dec 31, 2028
Rating
A
(CRISIL)
10.15% Satin Creditcare Network 2028
non convertible debentures
Min Investment
₹1,99,577.53
Payment
monthly
Yield to maturity
10.69%
Coupon Rate
10.15 %
Maturity Date
Jul 13, 2028
Rating
A
(ICRA)
10.75% Navi Finserv Limited 2027
non convertible debentures
Min Investment
₹1,00,982.19
Payment
monthly
Yield to maturity
10.45%
Coupon Rate
10.75 %
Maturity Date
Dec 31, 2027
Rating
A
(CRISIL)
9.99% Ugro Capital Limited 2029
non convertible debentures
Min Investment
₹99,858.41
Payment
monthly
Yield to maturity
10.43%
Coupon Rate
9.99 %
Maturity Date
Jun 16, 2029
Rating
A+
(IND)