Company ISIN Number Name of the Instrument
IDBI BANK LIMITED INE307A09014
IDBI BANK LIMITED INE008A08T20
IDBI BANK LIMITED INE008A08T46
IDBI BANK LIMITED INE008A08U19
IDBI BANK LIMITED INE008A08U35
INE008A08P99
INE008A08Q64
INE008A08R06
INE008A08P65
INE008A08Q23
INE008A08Q49
INE008A08P73
INE008A08Q31
6.5% Unsecured Redeemable Non Convertible Subordinated Bonds In The Nature Of Promissory Notes.
Reset Rate Unsecured Non-Convertible Tier II omni Bond. Series- IV. Date of Maturity 20/01/2026
9.40% Unsecured Non-Convertible Upper Tier II Bond. Series- V. Date of Maturity 25/03/2026
9.25% Unsecured Non-Convertible Omni Bond. Tier II Series- VI. Date of Maturity 15/03/2022
9.03% OMNI BONDS 2012-13 SERIES-I. DATE OF MATURITY 30.05.2022
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
11.10% Unsecured Non Convertible OMNI bonds PP-2008 Series IX. Date of maturity: 26.09.2013
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
11.35 % Unsecured Non Convertible OMNI bonds 2008 Series XV - RRB-I. Date of maturity: 15/12/2013
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
9.25% Unsecured Non Convertible OMNI bonds 2008-2009 Series XVIII. .Date of maturity: 26/03/2014
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
9.73% Unsecured Non Convertible OMNI bonds PP-2008 Series VII. Date of maturity: 30/04/2015
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
11.08% Unsecured Non Convertible OMNI bonds PP-2008 Series X. Date of maturity: 28.09.2015
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
11.04% Unsecured Non Convertible OMNI bonds PP-2008 Series XIII. Date of maturity: 05.10.2015
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
10.39% Unsecured Non Convertible OMNI Tier II -2008 bonds Sr.- VIII. Date of maturity: 13/10/2015
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
11.24% Unsecured Non Convertible OMNI bonds Tier II-2008 Series XI. Date of maturity: 29.09.2016
INE008A08Q07
INE008A08R89
INE008A08Q72
INE008A08S13
INE008A08S62
INE008A08S96
INE008A08T61
INE008A08T79
INE008A08T87
INE008A08T95
INE008A08U27
INE008A08Q15
INE008A08Q56
INE008A08R14
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
11% Unsecured Non Convertible OMNI bonds PP-2008 Series IX. RRB-II.Date of maturity: 26.09.2018
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
9.37% Unsecured non convertible omni bond.-2009-10 Tier II series V . Date of Maturity: 29/09/2018
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
11.30 % Unsecured Non Convertible OMNI bonds 2008 Series XV - RRB-II. Date of maturity: 15/12/2018
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
8.53% Unsecured Non Convertible OMNI bonds 2009-10 Tier II Series VII . Date of maturity: 23/11/2019
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
9.05% Unsecured Non Convertible Omni Bonds 2009-10 Tier -II Series XII. Date of Maturity: 23/03/2020
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
8.63% Unsecured Non-Convertible Tier II Bond. Series- III. Date of Maturity 29/09/2020
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
9.38% Unsecured Non-Convertible Omni Bond. tier II Series- I. Date of Maturity 04/08/2021
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
9.72% Unsecured Non-Convertible Omni Bond. Tier II Series- II. Date of Maturity 26/11/2021
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
9.70% Unsecured Non-Convertible Omni Bond. Tier II Series- III. Date of Maturity 30/11/2021
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
9.45% Unsecured Non Convertible OMNI bonds 2011-12 Tier II Series IV. Date of maturity: 13/12/2021
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
9.33% Unsecured Non Convertible IDBI Omni Bonds 2011-12 Series -V. Date of Maturity: 13/03/2022
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
11.15% Unsecured Non Convertible OMNI bonds Upper Tier II-2008 Series XII. Date of maturity: 29.09.2023
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
11.40% Unsecured Non Convertible OMNI bonds 2008 Series XIV. Date of maturity: 29.10.2023
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
Reset rate Unsecured Non Convertible OMNI bonds 2008-2009 Upper Tier II Series XIX. .Date of maturity: 31/03/2024
INE008A08R55
INE008A08R63
INE008A08R97
INE008A08S47
INE008A08S88
INE008A08Q98
INE008A08R30
INE008A08R71
INE008A08Q80
INE008A08S21
INE008A08S39
INE008A08S54
INE008A08S70
IDBI HOMEFINANCE LIMITED INE979F08029
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
Reset rate Unsecured Non Convertible OMNI bonds 2009-10 Upper Tier II Sr.- II. Date of maturity: 26/06/2024
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
Reset rate Unsecured Non Convertible OMNI bonds 2009-2010 Upper Tier II Series III. Date of maturity: 25.09.2024
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
Reset rate Unsecured Non Convertible OMNI bonds - 2009-10 Upper Tier II Sr. VI. Date of maturity: 19/11/2024
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
Reset rate Unsecured Non Convertible Omni Bonds 2009-10 Upper Tier -II Series X. Date of Maturity: 03/02/2025
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
8.57% Unsecured Non-Convertible Omni Bonds 2010-11 Tire II Series II Date of Maturity 08/07/2025
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
11.25% Unsecured Non Convertible OMNI bonds 2008-2009 Series XVII. .Date of maturity: 14/03/2029
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
9.56% Unsecured Non Convertible Omni Bond 2009-2010 Series I. Date of Maturity: 13/06/2029
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
9.67% Unsecured Non Convertible OMNI Bonds 2009-10 Series -IV. Date of Maturity: 26/09/2029
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
Reset rate Unsecured Non Convertible perpetual Omni Bonds 2008-09 Tier -I Series XVI
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
Reset rate Unsecured Non Convertible perpetual Omni Bonds 2009-10 Tier -I Series VIII
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
Reset rate Unsecured Non Convertible perpetual Omni Bonds 2009-10 Tier -I Series IX
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
Reset rate Unsecured Non Convertible perpetual Omni Bonds 2009-10 Tier -I Series XI
IDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
Reset Rate (9.15%,step up of 50bps in coupon rate) Unsecured Non Convertible perpetual Omni Bonds 2010-11 Tier -I Series I
9.25% Unsecured Redeemable Non Convertible Debentures. Date of Maturity: 08/02/2017
IDBI HOMEFINANCE LIMITED INE979F08037
IDFC LIMITED INE043D07BY1
IDFC LIMITED INE043D07CE1
IDFC LIMITED INE043D07CG6
IDFC LIMITED INE043D07CF8
IDFC LIMITED INE043D07CI2
IDFC LIMITED INE043D07CJ0
IDFC LIMITED INE043D07CH4
IDFC LIMITED INE043D07BZ8
IDFC LIMITED INE043D07CA9
IDFC LIMITED INE043D07CB7
IDFC LIMITED INE043D07CC5
IDFC LIMITED INE043D07CL6
IDFC LIMITED INE043D07CM4
10.50% Unsecured Redeemable Non Convertible Debentures. Date of Maturity: 27/03/2019
9.43% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP 19/2013. LETTER OF ALLOTMENT. DATE OF MATURITY 06/08/2014
9.4% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP 22/2013 OPTION II. LETTER OF ALLOTMENT. DATE OF MATURITY 22/08/2014
9.44% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP 23/2013 OPTION II. LETTER OF ALLOTMENT. DATE OF MATURITY 25/08/2014
9.44% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP 23/2013 OPTION I. LETTER OF ALLOTMENT. DATE OF MATURITY 29/08/2014
9.4% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP 25/2013 - OPTION I. LETTER OF ALLOTMENT. DATE OF MATURITY 18/09/2014
9.4% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP 25/2013 - OPTION II. LETTER OF ALLOTMENT. DATE OF MATURITY 25/09/2014
9.37% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP 24/2013. LETTER OF ALLOTMENT. DATE OF MATURITY 27/04/2015
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP 20/2013 OPTION I. LETTER OF ALLOTMENT. DATE OF MATURITY 03/08/2015.
9.36% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP 20/2013 OPTION II. LETTER OF ALLOTMENT. DATE OF MATURITY 03/08/2015.
9.35% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP 21/2013 OPTION II. LETTER OF ALLOTMENT. DATE OF MATURITY 06/08/2015.
9.35% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP 21/2013 OPTION I. LETTER OF ALLOTMENT. DATE OF MATURITY 10/08/2015.
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP 25/2013 - OPTION IV. LETTER OF ALLOTMENT. DATE OF MATURITY
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP 25/2013 - OPTION V. LETTER OF ALLOTMENT. DATE OF MATURITY
IDFC LIMITED INE043D07CK8
IDFC LIMITED INE043D07CQ5
IDFC LIMITED INE043D07CN2
IDFC LIMITED INE043D07CD3
IDFC LIMITED INE043D07CP7
IDFC LIMITED INE043D07CO0
INE676N07019
INE676N07027
IFCI FACTORS LIMITED INE494M08017
IFCI LIMITED INE039A09EQ1
IFCI LIMITED INE039A09EJ6
IFCI LIMITED INE039A09JA4
IFCI LIMITED INE039A09EW9
IFCI LIMITED INE039A09JB2
9.35% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP 25/2013 - OPTION III. LETTER OF ALLOTMENT. DATE OF MATURITY 17/09/2015
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP 27/2013 - OPTION II. LETTER OF ALLOTMENT. DATE OF MATURITY
9.30% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP 26/2013 - OPTION I. LETTER OF ALLOTMENT. DATE OF MATURITY 13/09/2016
9.4% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP 22/2013 OPTION I. LETTER OF ALLOTMENT. DATE OF MATURITY 22/08/2017
9.1315% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP 27/2013 - OPTION I. LETTER OF ALLOTMENT. DATE OF MATURITY 20/09/2017
9.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP 26/2013 - OPTION II. LETTER OF ALLOTMENT. DATE OF MATURITY 13/09/2019
IDL SPECIALITY CHEMICALS LIMITED
11.70% SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 09/01/2014.
IDL SPECIALITY CHEMICALS LIMITED
11.70% SECURED NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 25/01/2014.
12.50% UNSECURED NON CONVERTIBLE DEBENTURES IN THE NATURE OF PERPETUAL DEBT.
6% Unsecured Non-Convertible Regular Return Bonds-SR-17(R).
9% Unsecured Non-Convertible Regular Return Bonds-SR-OT-O3(R)
EPFO+0.5% Unsecured Non Convertible Regular Return Bond. SR 20(1E) . Date of Maturity: 25.01.2013
6% Unsecured Non-Convertible Regular Return Bonds-SR-20(R) Option I.
EPFO+0.5% Unsecured Non Convertible Regular Return Bond. SR 40(2E) . Date of Maturity: 20.03.2013
IFCI LIMITED INE039A09EX7
IFCI LIMITED INE039A09EC1
IFCI LIMITED INE039A09880
IFCI LIMITED INE039A09JC0
IFCI LIMITED INE039A09DX9
IFCI LIMITED INE039A09AO4
IFCI LIMITED INE039A09FU0
IFCI LIMITED INE039A09BW5
IFCI LIMITED INE039A09JD8
IFCI LIMITED INE039A09AV9
IFCI LIMITED INE039A09EM0
IFCI LIMITED INE039A09JW8
IFCI LIMITED INE039A09JX6
IFCI LIMITED INE039A09GJ1
6% Unsecured Non-Convertible Regular Return Bonds-SR-21(R).
6% Unsecured Non-Convertible Regular Return Bonds-SR-OT-O3(R)
Floating rate Unsecured Non-Convertible Non-SLR Regular Return Bonds-SR-45 (R1).
EPFO+0.5% Unsecured Non Convertible Regular Return Bond. SR 41(2E) . Date of Maturity: 20.05.2013
9% Unsecured Non-Convertible Regular Return Bonds-SR-OT-O2(R)
Floating rate Unsecured Non-Convertible Non-SLR Regular Return Bonds-SR-45 (R2).
9% Unsecured Non-Convertible Regular Return Bonds-SR-23(R).
6% Unsecured Non-Convertible Regular Return Bonds-FB1(R).
EPFO+0.5% Unsecured Non Convertible Regular Return Bond. SR OT-02(E) . Date of Maturity: 30.09.2013
Floating rate Unsecured Non-Convertible Non-SLR Regular Return Bonds-SR-45 (R3).
6% Unsecured Non-Convertible Regular Return Bonds-SR-11(R).
11.00% Unsecured Non Convertible Regular Return Bond. SR -ON09 . Date of Maturity: 30/11/2013
11.15% Unsecured Non Convertible Regular Return Bond. SR -ON09 . Date of Maturity: 30/11/2013
6% Unsecured Non-Convertible Regular Return Bonds-SR-39(R).
IFCI LIMITED INE039A09KE4
IFCI LIMITED INE039A09AW7
IFCI LIMITED INE039A09MX0
IFCI LIMITED INE039A09GM5
IFCI LIMITED INE039A09DY7
IFCI LIMITED INE039A09JE6
IFCI LIMITED INE039A09GN3
IFCI LIMITED INE039A09KM7
IFCI LIMITED INE039A09NC2
IFCI LIMITED INE039A09GZ7
IFCI LIMITED INE039A09KO3
IFCI LIMITED INE039A09DH2
IFCI LIMITED INE039A09KQ8
IFCI LIMITED INE039A09CG6
10.25% Unsecured Non Convertible Regular Return Bond. SR -ON09 . Date of Maturity: 31/12/2013
Floating rate Unsecured Non-Convertible Non-SLR Regular Return Bonds-SR-45 (R4).
9.00% Unsecured Non-Convertible Regular Return Bond- SR-ON-11. Letter of Allotment. Date of Maturity 31/01/2014
6% Unsecured Non-Convertible Regular Return Bonds-SR-40(R).
9% Unsecured Non-Convertible Regular Return Bonds-SR-OT-O2(R)
EPFO+0.5% Unsecured Non Convertible Regular Return Bond. SR OT-02(E) . Date of Maturity: 28.02.2013
6% Unsecured Non-Convertible Regular Return Bonds-SR-40(R).
10.00% Unsecured Non Convertible Regular Return Bond in the form of promissory note - SR-ON09. Date of Maturity : 31/03/2014
9.50% Unsecured Non Convertible Regular Return Bond in the form of promissory note - SR-ON11. letter of allotment.Date of Maturity : 31/03/2014
9% Unsecured Non-Convertible Regular Return Bonds-SR-43(R).
9.75% Unsecured Non Convertible Regular Return Bond in the form of promissory note - SR-ON10. Date of Maturity : 30/04/2014
6% Unsecured Non-Convertible Regular Return Bonds-SR-OT-O2(R).
9.75% Unsecured Non Convertible Regular Return Bond in the form of promissory note - SR-ON10. Date of Maturity : 31/05/2014
6% Unsecured Non-Convertible Regular Return Bonds-SR-OT-OO(R).
IFCI LIMITED INE039A09KS4
IFCI LIMITED INE039A09KW6
IFCI LIMITED INE039A09CT9
IFCI LIMITED INE039A09ER9
IFCI LIMITED INE039A09JF3
IFCI LIMITED INE039A09DI0
IFCI LIMITED INE039A09KZ9
IFCI LIMITED INE039A09OB2
IFCI LIMITED INE039A09OI7
IFCI LIMITED INE039A09CU7
IFCI LIMITED INE039A09LD4
IFCI LIMITED INE039A09ON7
IFCI LIMITED INE039A09EY5
IFCI LIMITED INE039A09CE1
9.75% Unsecured Non Convertible Regular Return Bond in the form of promissory note - SR-ON10. Date of Maturity : 30/06/2014
9.50% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment.SR-ON10. Date of Maturity : 31/07/2014
9% Unsecured Non-Convertible Regular Return Bonds-SR-OT-OO(R).
6% Unsecured Non-Convertible Regular Return Bonds-SR-17(R).
EPFO+0.5% Unsecured Non Convertible Regular Return Bond. SR 31(1E) . Date of Maturity: 20.11.2014
6% Unsecured Non-Convertible Regular Return Bonds-SR-OT-O2(R) & SR-17 (R).
9.00% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment.SR-ON10. Date of Maturity : 30/11/2014
10.40% Fully Unsecured Non-Convertible Regular Return Bond. Letter of Allotment. Series- ON_12. Date of Maturity 30/11/2014
10.40% Unsecured Non-Convertible Regular Return Bond. Letter of Allotment. SR-ON-12. Date of Maturity 31/12/2014
9% Unsecured Non-Convertible Regular Return Bonds-SR-OT-OO(R).
8.00% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. SR-ON10. Date of Maturity : 31/01/2015
10.20% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. SR-ON12. Date of Maturity : 31/01/2015
6% Unsecured Non-Convertible Regular Return Bonds-SR-21(R).
6% Unsecured Non-Convertible Regular Return Bonds-SR-OT-OO(R) & SR-21(R).
IFCI LIMITED INE039A09LH5
IFCI LIMITED INE039A09CZ6
IFCI LIMITED INE039A09LP8
IFCI LIMITED INE039A09DA7
IFCI LIMITED INE039A09FK1
IFCI LIMITED INE039A09FE4
IFCI LIMITED INE039A09FL9
IFCI LIMITED INE039A09MG5
IFCI LIMITED INE039A09GH5
IFCI LIMITED INE039A09JG1
IFCI LIMITED INE039A09MJ9
IFCI LIMITED INE039A09FM7
IFCI LIMITED INE039A09MK7
IFCI LIMITED INE039A09FW6
8.75% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. Series - ON10. Date of Maturity : 31/03/2015
9% Unsecured Non-Convertible Regular Return Bonds-SR-OT-O1(R).
8.90% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. Series - ON11. Date of Maturity : 31/05/2015
9% Unsecured Non-Convertible Regular Return Bonds-SR-OT-O1(R).
9% Unsecured Non-Convertible Regular Return Bonds-SR-22(R) Option III.
6% Unsecured Non-Convertible Regular Return Bonds-SR-22(R) Option I.
6% Unsecured Non-Convertible Regular Return Bonds-SR-23(R) .
8.90% Unsecured Redeemable Non-Convertible Regular Return Bond in the Nature of Promissory Notes. Letter of Allotment. Series OT-10. Date of Maturity
9% Unsecured Non-Convertible Regular Return Bonds-SR-36(R) Optiom I & IV..
EPFO+0.5% Unsecured Non Convertible Regular Return Bond. SR 36(1E) . Date of Maturity: 08.08.2015
8.90% Unsecured Non-Convertible Regular Return Bond in the form of promissory note. Letter of Allotment. Series - OT11. Date of Maturity 31/08/2015
6% Unsecured Non-Convertible Regular Return Bonds-SR-23(R)
8.90% Unsecured Non-Convertible Regular Return Bond in the form of Promissory Note. Lette of Allotment. Series - OT11. Date of Maturity 30/09/2015
6% Unsecured Non-Convertible Regular Return Bonds-SR-25(R).
IFCI LIMITED INE039A09MS0
IFCI LIMITED INE039A09JH9
IFCI LIMITED INE039A09JI7
IFCI LIMITED INE039A09NB4
IFCI LIMITED INE039A09NE8
IFCI LIMITED INE039A09GU8
IFCI LIMITED INE039A09JJ5
IFCI LIMITED INE039A09NI9
IFCI LIMITED INE039A09NH1
IFCI LIMITED INE039A09DJ8
IFCI LIMITED INE039A09DZ4
IFCI LIMITED INE039A09DK6
IFCI LIMITED INE039A09CD3
IFCI LIMITED INE039A09CC5
8.90% Unsecured Non-Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. Series- OT 11. Date of Maturity 30/11/2015
EPFO+0.5% Unsecured Non Convertible Regular Return Bond. SR 39(1E) . Date of Maturity: 20.12.2015
EPFO+0.5% Unsecured Non Convertible Regular Return Bond. SR 40(1E) . Date of Maturity: 20.03.2016
9.75% Unsecured Non Convertible Regular Return Bond in the form of promissory note - SR-ON11.letter of allotment. Date of Maturity : 31/03/2016
9.75% Unsecured Non-Convertible Regular Return Bond.Letter of Allotment Series- ON_12. Date of Maturity 30/04/2016
6% Unsecured Non-Convertible Regular Return Bonds-SR-41(R).
EPFO+0.5% Unsecured Non Convertible Regular Return Bond. SR 41(1E) . Date of Maturity: 20.05.2016
8.5% Fully Unsecured Non-Convertible Regular Return Bond- SR-41(R).Date of Maturity 20/05/2016
10.30% Unsecured Non-Convertible Regular return Bond. Letter of Allotment. SR-ON_12. Date of Maturity 31/05/2016
6% Unsecured Non-Convertible Regular Return Bonds-SR-OT-O2(R).
9% Unsecured Non-Convertible Regular Return Bonds-SR-OT-O2(R)
6% Unsecured Non-Convertible Regular Return Bonds-SR-OT-O2(R).
6% Unsecured Non-Convertible Regular Return Bonds-SR-OT-OO(R).
6% Unsecured Non-Convertible Regular Return Bonds-SR-OT-OO(R).
IFCI LIMITED INE039A09NN9
IFCI LIMITED INE039A09NQ2
IFCI LIMITED INE039A09DL4
IFCI LIMITED INE039A09LA0
IFCI LIMITED INE039A09OC0
IFCI LIMITED INE039A09DM2
IFCI LIMITED INE039A09OJ5
IFCI LIMITED INE039A09CF8
IFCI LIMITED INE039A09LE2
IFCI LIMITED INE039A09OO5
IFCI LIMITED INE039A09OQ0
IFCI LIMITED INE039A09LI3
IFCI LIMITED INE039A09OS6
IFCI LIMITED INE039A09GY0
10.30% Unsecured Non-Convertible Regular Return Bond. Letter of Allotment. SR-ON-12. Date of Maturity 31/07/2016
10.30% Unsecured Non-Convertible regular return bond. Letter of Allotment. Date of Maturity 31/08/2016
6% Unsecured Non-Convertible Regular Return Bonds-SR-OT-O2(R).
9.25% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment.SR-ON10. Date of Maturity : 30/11/2016
10.50% Fully Unsecured Non-Convertible Regular Return Bond. Letter of Allotment. Series- ON_12. Date of Maturity 30/11/2016
6% Unsecured Non-Convertible Regular Return Bonds-SR-OT-O2(R).
10.50% Unsecured Non-Convertible Regular Return Bond. Letter of Allotment. SR-ON-12. Date of Maturity 31/12/2016
6% Unsecured Non-Convertible Regular Return Bonds-SR-OT-OO(R) & OT-02(R)
8.25% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. SR-ON10. Date of Maturity : 31/01/2017
10.30% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. SR-ON12. Date of Maturity : 31/01/2017
10.20% Unsecured Non-Convertible Regular Return Bond. Letter of Allotment. Series- ON_12. Date of Maturity 28/02/2017
9.00% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. Series - ON10. Date of Maturity : 31/03/2017
10.20% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. Series - ON12. Date of Maturity : 31/03/2017
6% Unsecured Non-Convertible Regular Return Bonds-SR-43(R).
IFCI LIMITED INE039A09HA8
IFCI LIMITED INE039A09LN3
IFCI LIMITED INE039A09OY4
IFCI LIMITED INE039A09LQ6
IFCI LIMITED INE039A09EK4
IFCI LIMITED INE039A09MF7
IFCI LIMITED INE039A09PB9
IFCI LIMITED INE039A09MI1
IFCI LIMITED INE039A09ML5
IFCI LIMITED INE039A09PK0
IFCI LIMITED INE039A09MO9
IFCI LIMITED INE039A09MR2
IFCI LIMITED INE039A09MY8
IFCI LIMITED INE039A09GO1
9% Unsecured Non-Convertible Regular Return Bonds-SR-43(R).
9.00% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. Series - ON11. Date of Maturity : 30/04/2017
10.20% Unsecured Non Convertible Regular Return Bond. Letter of Allotment. Series - ON - 12 . Date of Maturity : 30/04/2017
9.15% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. Series - ON11. Date of Maturity : 31/05/2017
9% Unsecured Non-Convertible Regular Return Bonds-SR-OT-O3(R)
9.15% Unsecured Redeemable Non-Convertible Regular Return Bond in the Nature of Promissory Notes. Letter of Allotment. Series OT-10. Date of Maturity
10.25% UNSECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS SERIES - 57 A OPTION I. LETTER OF ALLOTMENT. DATE OF MATURITY 17/08/2017.
9.15% Unsecured Non-Convertible Regular Return Bond in the form of promissory note. Letter of Allotment. Series - OT11. Date of Maturity 31/08/2017
9.15% Unsecured Non-Convertible Regular Return Bond in the form of Promissory Note. Lette of Allotment. Series - OT11. Date of Maturity 30/09/2017
9.7% UNSECURED REDEEMABLE NON CONVERTIBLE BONDS SERIES 57 E. LETTER OF ALLOTMENT. DATE OF MATURITY 15/10/2017
9.15% Unsecured Non-Convertible Regular Return Bond in the form of promissory note. Letter of Allotment. Series- OT 11. Date of Maturity 31/10/2017
9.15% Unsecured Non-Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. Series- OT 11. Date of Maturity 30/11/2017
9.25% Unsecured Non-Convertible Regular Return Bond- SR-ON-11. Letter of Allotment. Date of Maturity 31/01/2018
6% Unsecured Non-Convertible Regular Return Bonds-SR-40(R).
IFCI LIMITED INE039A09NG3
IFCI LIMITED INE039A09NO7
IFCI LIMITED INE039A09NR0
IFCI LIMITED INE039A09OP2
IFCI LIMITED INE039A09EA5
IFCI LIMITED INE039A09KT2
IFCI LIMITED INE039A09KU0
IFCI LIMITED INE039A09KV8
IFCI LIMITED INE039A09LB8
IFCI LIMITED INE039A09LF9
IFCI LIMITED INE039A09LJ1
IFCI LIMITED INE039A09LO1
IFCI LIMITED INE039A09GG7
IFCI LIMITED INE039A09LR4
10.40% Unsecured Non-Convertible Regular return Bond. Letter of Allotment. SR-ON_12. Date of Maturity 31/05/2018
10.40% Unsecured Non-Convertible Regular Return Bond. Letter of Allotment. SR-ON-12. Date of Maturity 31/07/2018
10.40% Unsecured Non-Convertible regular return bond. Letter of Allotment. Date of Maturity 31/08/2018
10.40% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. SR-ON12. Date of Maturity : 31/01/2019
9% Unsecured Non-Convertible Regular Return Bonds-SR-OT-O2(R)
10.20% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment.SR-46. Date of Maturity : 20/06/2019
10.20% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment.SR-46-A. Date of Maturity : 30/06/2019
9.75% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment.SR-ON10. Date of Maturity : 31/07/2019
9.40% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment.SR-ON10. Date of Maturity : 30/11/2019
8.75% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. SR-ON10. Date of Maturity : 31/01/2020
9.15% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. Series - ON10. Date of Maturity : 31/03/2020
9.15% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. Series - ON11. Date of Maturity : 30/04/2020
6% Unsecured Non-Convertible Regular Return Bonds-SR-35(R) Option I.
9.25% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. Series - ON11. Date of Maturity : 31/05/2020
IFCI LIMITED INE039A09ME0
IFCI LIMITED INE039A09MH3
IFCI LIMITED INE039A08114
IFCI LIMITED INE039A08122
IFCI LIMITED INE039A08130
IFCI LIMITED INE039A08148
IFCI LIMITED INE039A09MM3
IFCI LIMITED INE039A09MP6
IFCI LIMITED INE039A09MQ4
IFCI LIMITED INE039A09MT8
IFCI LIMITED INE039A09MU6
IFCI LIMITED INE039A09MV4
IFCI LIMITED INE039A09MW2
IFCI LIMITED INE039A09MZ5
9.25% Unsecured Redeemable Non-Convertible Regular Return Bond in the Nature of Promissory Notes. Letter of Allotment. Series OT-10. Date of Maturity
9.25% Unsecured Non-Convertible Regular Return Bond in the form of promissory note. Letter of Allotment. Series - OT11. Date of Maturity 31/08/2020
7.85% Unsecured Non-Convertible IFCI LONG TERM INFRASTRUCTURE BONDS Series - I (Buyback/Non Cumulative) Option-I. Letter of Allotment. Date
7.85% Unsecured Non-Convertible IFCI LONG TERM INFRASTRUCTURE BONDS. Series - I (Buyback/Cumulative) Option-II. Letter of Allotment. Date of
7.95% Unsecured Non-Convertible IFCI LONG TERM INFRASTRUCTURE BONDS. Series - I (Non Cumulative) Option-III. Letter of Allotment. Date of
7.95% Unsecured Non-Convertible IFCI LONG TERM INFRASTRUCTURE BONDS. Series - I (Buy back/Cumulative) Option-IV. Letter of Allotment. Date of
9.25% Unsecured Non-Convertible Regular Return Bond in the form of Promissory Note.Lette of Allotment. Series - OT11. Date of Maturity 30/09/2020
9.25% Unsecured Non-Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. Series- OT 11. Date of Maturity 31/10/2020
9.25% Unsecured Non-Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. Series- OT 11. Date of Maturity 30/11/2020
8.00% Unsecured Non-Convertible IFCI Long Term Infrastructure Bonds Series-I (Buyback / Non Cumulative). Option-I.Letter of Allotment. Date of Maturity
8.00% Unsecured Non-Convertible IFCI Long Term Infrastructure Bonds Series-I (Buyback / Non Cumulative). Option-II.Letter of Allotment. Date of Maturity
8.25% Unsecured Non-Convertible IFCI Long Term Infrastructure Bonds Series-I (Buyback / Non Cumulative). Option-III.Letter of Allotment. Date of Maturity
8.25% Unsecured Non-Convertible IFCI Long Term Infrastructure Bonds Series-I (Buyback / Non Cumulative). Option-IV.Letter of Allotment. Date of Maturity
9.50% Unsecured Non-Convertible Regular Return Bond-SR-ON-11. Letter of Allotment. Date of Maturity 31/01/2021
IFCI LIMITED INE039A09GP8
IFCI LIMITED INE039A09NA6
IFCI LIMITED INE039A09ND0
IFCI LIMITED INE039A09NF5
IFCI LIMITED INE039A09NJ7
IFCI LIMITED INE039A09NK5
IFCI LIMITED INE039A09NP4
IFCI LIMITED INE039A09NS8
IFCI LIMITED INE039A09NT6
IFCI LIMITED INE039A09NU4
IFCI LIMITED INE039A09NV2
IFCI LIMITED INE039A09OD8
IFCI LIMITED INE039A09OK3
IFCI LIMITED INE039A09DN0
6% Unsecured Non-Convertible Regular Return Bonds-SR-40(R).
10.00% Unsecured Non Convertible Regular Return Bond in the form of promissory note - SR-ON 11. letter of allotment. Date of Maturity : 31/03/2021
10.00% Unsecured Non-Convertible Regular Return Bond.Letter of Allotment SR- ON_12. Date of Maturity 30/04/2021
10.20% Unsecured Non-Convertible Regular return Bond. Letter of Allotment. SR-ON_12. Date of Maturity 31/05/2021
10.50% Unsecured Non-Convertible Bond in the form of Promissory Note. Letter of Allotment. Series- I Option- I. Date of Maturity 01/08/2021
10.50% Unsecured Non-Convertible Bond in the form of Promissory Note. Letter of Allotment. Series- I Option- II. Date of Maturity 01/08/2021
10.55% Unsecured Non-Convertible Bond in the form of promissory Note. Letter of Allotment.Series- II. Date of Maturity 25/08/2021
10.40% Unsecured Non-Convertible regular return bond. Letter of Allotment. Date of Maturity 31/08/2021
10.60% Unsecured Subordinated, Non-Convertible Bond In the form of Promissory Note. Letter of Allotment.Series-III (Option -I) Date of Maturity 31/10/2021
10.60% Unsecured Subordinated, Non-Convertible Bond In the form of Promissory Note. Letter of Allotment.Series-III (Option -II) Date of Maturity 31/10/2021
10.50% Unsecured Subordinated, Non-Convertible Bond In the form of Promissory Note. Letter of Allotment.Series-III (Option -III) Date of Maturity 31/10/2021
10.60% Fully Unsecured Non-Convertible Regular Return Bond. Letter of Allotment. Series- ON_12. Date of Maturity 30/11/2021
10.60% Unsecured Non-Convertible Regular Return Bond. Letter of Allotment. SR-ON-12. Date of Maturity 31/12/2021
6% Unsecured Non-Convertible Regular Return Bonds-SR-OT-O2(R).
IFCI LIMITED INE039A09OF3
IFCI LIMITED INE039A09OE6
IFCI LIMITED INE039A09OL1
IFCI LIMITED INE039A09OR8
IFCI LIMITED INE039A09OT4
IFCI LIMITED INE039A09OZ1
IFCI LIMITED INE039A09PA1
IFCI LIMITED INE039A09PF0
IFCI LIMITED INE039A09OV0
IFCI LIMITED INE039A09OU2
IFCI LIMITED INE039A09LC6
IFCI LIMITED INE039A09LG7
IFCI LIMITED INE039A09LK9
IFCI LIMITED INE039A09NL3
9.09% Unsecured Non-Convertible Long term infrastructure Bond. Letter of Allotment. Series- IV, Option- II. Date of Maturity 15/02/2022
9.09% Unsecured Non-Convertible Long term infrastructure Bond. Letter of Allotment. Series- IV, Option- I. Date of Maturity 15/02/2022
10.50% Unsecured Non-Convertible Bond. Letter of Allotment. Series- IV, Option- I. Date of Maturity 28/02/2022
10.25% Unsecured Non-Convertible Regular Return Bond. Letter of Allotment. Series- ON_12. Date of Maturity 28/02/2022
10.25% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. Series - ON12. Date of Maturity : 31/03/2022
10.25% UNSECURED NON CONVERTIBLE BOND SERIES 56 OPTION I.LETTER OF ALLOTMENT.DATE OF MATURITY 26/06/2022
10.15% UNSECURED NON CONVERTIBLE BONDS 56 OPTION II.LETTER OF ALLOTMENT.DATE OF MATURITY 26/06/2022
9.95% UNSECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS SERIES 57C OPTION I. LETTER OF ALLOTMENT. DATE OF MATURITY 08/10/2022
8.5% Unsecured Non Convertible LONG TERM INFRASTRUCTURE BONDS. Letter of Allotment. Series - V Option - II . Date of Maturity : 31/03/2024
8.5% Unsecured Non Convertible LONG TERM INFRASTRUCTURE BONDS. Letter of Allotment. Series - V Option - I . Date of Maturity : 31/03/2024
9.75% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment.SR-ON47. Date of Maturity : 25/01/2025
9.55% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. Series - 48. Date of Maturity : 05/03/2025
9.55% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. Series - 49. Date of Maturity : 13/04/2025
10.75% Unsecured Non-Convertible Bond in the form of Promissory Note. Letter of Allotment. Series- I Option- III. Date of Maturity 01/08/2026
IFCI LIMITED INE039A09NM1
IFCI LIMITED INE039A09NW0
IFCI LIMITED INE039A09OG1
IFCI LIMITED INE039A09OH9
IFCI LIMITED INE039A09OM9
IFCI LIMITED INE039A09OW8
IFCI LIMITED INE039A09OX6
IFCI LIMITED INE039A09PJ2
IFCI LIMITED INE039A09PI4
IFCI LIMITED INE039A09LL7
IFCI LIMITED INE039A09LM5
IFCI LIMITED INE039A09MC4
IFCI LIMITED INE039A09MD2
IFCI LIMITED INE039A09MN1
10.75% Unsecured Non-Convertible Bond in the form of Promissory Note. Letter of Allotment. Series- I Option- IV. Date of Maturity 01/08/2026
10.75% Unsecured Subordinated, Non-Convertible Bond In the form of Promissory Note. Letter of Allotment.Series-III (Option -IV) Date of Maturity 31/10/2026
9.16% Unsecured Non-Convertible Long term infrastructure Bond. Letter of Allotment. Series- IV, Option- III. Date of Maturity 15/02/2027
9.16% Unsecured Non-Convertible Long term infrastructure Bond. Letter of Allotment. Series- IV, Option- IV. Date of Maturity 15/02/2027
10.70% Unsecured Non-Convertible Bond. Letter of Allotment. Series- IV, Option- II. Date of Maturity 28/02/2027
8.72% Unsecured Non Convertible LONG TERM INFRASTRUCTURE BONDS. Letter of Allotment. Series - V Option - III . Date of Maturity : 31/03/2027
8.72% Unsecured Non Convertible LONG TERM INFRASTRUCTURE BONDS. Letter of Allotment. Series - V Option - IV . Date of Maturity : 31/03/2027
10.1% UNSECURED REDEEMABLE NON CONVERTIBLE BONDS SERIES 57D. LETTER OF ALLOTMENT. DATE OF MATURITY 08/10/2027
10.12% UNSECURED REDEEMABLE NON CONVERTIBLE TAXABLE BONDS SERIES 57C (OP-II). LETTER OF ALLOTMENT. DATE OF MATURITY 08/10/2027
9.70% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. Series - 50. Date of Maturity : 04/05/2030
9.70% Unsecured Non Convertible Regular Return Bond in the form of Promissory Note. Letter of Allotment. Series - 51. Date of Maturity : 18/05/2030
9.75% Unsecured Non-Convertible Taxable bond in the nature of promissory note. Letter of Allotment. Series-53 Date of Maturity 13/07/2030
9.75% Unsecured Redeemable Non-Convertible Taxable Bond in the Nature of Promissory Notes. Letter of Allotment. Series 54. Date of Maturity 16/07/2030
9.98% Unsecured Non-Convertible Regular Return Bond in the Nature of Promissory note. Letter of Allotment. Series- 55. Date of Maturity 29/10/2030
IFCI LIMITED INE039A09MB6
IFCI LIMITED INE039A09MA8
IFCI LIMITED INE039A09PL8
IFCI LIMITED INE039A09LZ7
IFCI LIMITED INE039A09LY0
IFCI LIMITED INE039A09LX2
IFCI LIMITED INE039A09LW4
IFCI LIMITED INE039A09LV6
IFCI LIMITED INE039A09PD5
IFCI LIMITED INE039A09LU8
IFCI LIMITED INE039A09LT0
IFCI LIMITED INE039A09LS2
IFCI Limited INE039A07686
IFCI Limited INE039A07728
Unsecured Non-Convertible Taxable Bond Non SLR in the nature of Deep Discount Bond, in the form of Promissory note,Part- J Series 52 Letter of allotment.
Unsecured Non-Convertible Taxable Bond Non SLR in the nature of Deep Discount Bond, in the form of Promissory note,Part- I Series 52 Letter of allotment.
9.98% UNSECURED REDEEMABLE NON CONVERTIBLE BONDS.SERIES V(d). LETTER OF ALLOTMENT. DATE OF MATURITY 15/10/2032
Unsecured Non-Convertible Taxable Bond Non SLR in the nature of Deep Discount Bond, in the form of Promissory note,Part- H Series 52 Letter of allotment.
Unsecured Non-Convertible Taxable Bond Non SLR in the nature of Deep Discount Bond, in the form of Promissory note,Part- G Series 52 Letter of allotment.
Unsecured Non-Convertible Taxable Bond Non SLR in the nature of Deep Discount Bond, in the form of Promissory note,Part- F Series 52 Letter of allotment.
Unsecured Non-Convertible Taxable Bond Non SLR in the nature of Deep Discount Bond, in the form of Promissory note,Part- E Series 52 Letter of allotment.
Unsecured Non-Convertible Taxable Bond Non SLR in the nature of Deep Discount Bond, in the form of Promissory note,Part- D Series 52 Letter of allotment.
9.98% UNSECURED REDEEMABLE NON CONVERTIBLE BONDS SERIES V (a/b). LETTER OF ALLOTMENT. DATE OF MATURITY 18/09/2037
Unsecured Non-Convertible Taxable Bond Non SLR in the nature of Deep Discount Bond, in the form of Promissory note,Part- C Series 52 Letter of allotment.
Unsecured Non-Convertible Taxable Bond Non SLR in the nature of Deep Discount Bond, in the form of Promissory note,Part- B Series 52 Letter of allotment.
Unsecured Non-Convertible Taxable Bond Non SLR in the nature of Deep Discount Bond, in the form of Promissory note,Part- A Series 52 Letter of allotment.
12% IFCI SLR Bonds 2011 -Series 60
13% IFCI SLR Bonds 2008 -Series 64
IFCI LTD. INE039A09286
IFCI LTD. INE039A09070
IFCI LTD. INE039A09930
IFCI LTD. INE039A09BG8
IFCI LTD. INE039A09518
IFCI LTD. INE039A09BK0
IFCI LTD. INE039A09344
IFCI LTD. INE039A09BQ7
IFCI LTD. INE039A09237
IFCI LTD. INE039A09401
IFCI LTD. INE039A09468
IFCI LTD. INE039A09534
IFCI LTD. INE039A09617
IFCI LTD. INE039A09666
9% Fully Unsecured Non-convertible Regular Return Bond - SR-20(R). Option I.
6.29% IFCI SLR Bonds. Series 49(R).
6% Fully Unsecured Non-convertible Regular Return Bond- SR-33(R). Option IV.
9% Fully Unsecured Non-convertible Regular Return Bond- SR-40(R). Option II.
6% Fully Unsecured Non-convertible Regular Return Bond- SR-27(R). Option II.
9% Fully Unsecured Non-convertible Regular Return Bond- SR-41(R). Option II.
6% Fully Unsecured Non-convertible Regular Return Bond - SR-22(R). Option II.
9% Fully Unsecured Non-convertible Regular Return Bond- SR-42(R). Option II.
Reset rate IFCI SLR Bonds. Series 65(R).
6% Fully Unsecured Non-convertible Regular Return Bond- SR-24(R). Option II.
6% Fully Unsecured Non-convertible Regular Return Bond- SR-26(R). Option II.
9% Fully Unsecured Non-convertible Regular Return Bond- SR-28(R). Option I.
9% Fully Unsecured Non-convertible Regular Return Bond- SR-29(R). Option I.
9% Fully Unsecured Non-convertible Regular Return Bond- SR-30(R). Option I.
IFCI LTD. INE039A09716
IFCI LTD. INE039A09773
IFCI LTD. INE039A09260
IFCI LTD. INE039A09799
IFCI LTD. INE039A09856
IFCI LTD. INE039A09328
IFCI LTD. INE039A09757
IFCI LTD. INE039A09872
IFCI LTD. INE039A09955
IFCI LTD. INE039A09989
IFCI LTD. INE039A09AK2
IFCI LTD. INE039A09AR7
IFCI LTD. INE039A09AY3
IFCI LTD. INE039A09BC7
9% Fully Unsecured Non-convertible Regular Return Bond- SR-31(R). Option I.
6% Fully Unsecured Non-convertible Regular Return Bond- SR-31(R). Option III.
6% Fully Unsecured Non-convertible Regular Return Bond - SR-18(R)
9% Fully Unsecured Non-convertible Regular Return Bond- SR-32(R). Option I.
6% Fully Unsecured Non-convertible Regular Return Bond- SR-32(R). Option III.
6% Fully Unsecured Non-convertible Regular Return Bond - SR-20(R). Option II.
6% Fully Unsecured Non-convertible Regular Return Bond- SR-33(R). Option III
9% Fully Unsecured Non-convertible Regular Return Bond- SR-33(R). Option I.
9% Fully Unsecured Non-convertible Regular Return Bond- SR-34(R). Option I.
9% Fully Unsecured Non-convertible Regular Return Bond- SR-35(R). Option I.
9% Fully Unsecured Non-convertible Regular Return Bond- SR-37(R). Option I & Option III.
9% Fully Unsecured Non-convertible Regular Return Bond- SR-38(R). Option I.
9% Fully Unsecured Non-convertible Regular Return Bond- SR-39(R). Option I.
6% Fully Unsecured Non-convertible Regular Return Bond- SR-39(R). Option II.
IFCI LTD. INE039A09377
IFCI LTD. INE039A09435
IFCI LTD. INE039A09BE3
IFCI LTD. INE039A09492
IFCI LTD. INE039A09BI4
IFCI LTD. INE039A09575
IFCI LTD. INE039A09BO2
IFCI LTD. INE039A09013
IFCI LTD. INE039A09914
IFCI LTD. INE039A09203
IFCI LTD. INE039A09211
IFCI LTD. INE039A09294
IFCI LTD. INE039A09229
IFCI LTD. INE039A09BL8
6% Fully Unsecured Non-convertible Regular Return Bond- SR-24(R). Option I.
6% Fully Unsecured Non-convertible Regular Return Bond- SR-26(R). Option I.
9% Fully Unsecured Non-convertible Regular Return Bond- SR-40(R). Option I.
6% Fully Unsecured Non-convertible Regular Return Bond- SR-27(R). Option I.
9% Fully Unsecured Non-convertible Regular Return Bond- SR-41(R). Option I.
6% Fully Unsecured Non-convertible Regular Return Bond- SR-28(R). Option II.
9% Fully Unsecured Non-convertible Regular Return Bond- SR-42(R). Option I.
Unsecured Redeemeable Non Convertible Gift Bonds in the nature of Promissory Notes. Date of Maturity: 06/09/2016
6% Fully Unsecured Non-convertible Regular Return Bond- SR-33(R). Option II.
Reset rate IFCI SLR Bonds. Series 62(R).
Reset rate IFCI SLR Bonds. Series 63(R).
6% Fully Unsecured Non-convertible Regular Return Bond - SR-20(R). Option I.
Reset rate IFCI SLR Bonds. Series 64(R).
6% Fully Unsecured Non-convertible Regular Return Bond- SR-41(R). Option II.
IFCI LTD. INE039A09088
IFCI LTD. INE039A09096
IFCI LTD. INE039A09104
IFCI LTD. INE039A09112
IFCI LTD. INE039A09542
IFCI LTD. INE039A09120
IFCI LTD. INE039A09724
IFCI LTD. INE039A09138
IFCI LTD. INE039A09146
IFCI LTD. INE039A09AL0
IFCI LTD. INE039A09153
IFCI LTD. INE039A09AZ0
IFCI LTD. INE039A09161
IFCI LTD. INE039A09179
Reset Rate IFCI SLR Bonds. Series 50(R).
REset Rate IFCI SLR Bonds. Series 51(R).
Reset Rate IFCI SLR Bonds. Series 52(R).
Reset Rate IFCI SLR Bonds. Series 53(R).
6% Fully Unsecured Non-convertible Regular Return Bond- SR-28(R). Option I.
Reset rate IFCI SLR Bonds. Series 54(R).
6% Fully Unsecured Non-convertible Regular Return Bond- SR-31(R). Option I.
Rset Rate IFCI SLR Bonds. Series 55(R).
Reset rate IFCI SLR Bonds. Series 56(R).
6% Fully Unsecured Non-convertible Regular Return Bond- SR-37(R). Option I.
Reset rate IFCI SLR Bonds . Series 57(R).
6% Fully Unsecured Non-convertible Regular Return Bond- SR-39(R). Option I.
Reset rate IFCI SLR Bonds. Series 58(R).
Reset rate IFCI SLR Bonds. Series 59(R).
IFCI LTD. INE039A09187
IFCI LTD. INE039A09195
IFCI LTD. INE039A09BU9
INE727M09042
INE727M09034
INE727M09059
INE727M09018
INE727M09026
INE727M09067
INE850M07012
INE850M07020
INE121H07869
INE121H07877
INE121H08016
Reset rate IFCI SLR Bonds. Series 60(R).
Reset rate IFCI SLR Bonds. Series 61(R).
Zero coupon BondsZCD
IFCI VENTURE CAPITAL FUNDS LIMITED
10.25% Secured Redeemable Non Convertible Bonds in the nature of Promissory Notes (Issue II). Date of Maturity: 27/06/2013
IFCI VENTURE CAPITAL FUNDS LIMITED
10.75% Secured Redeemable Non convertible Taxable Bonds in the nature of promissory note.Series -III IDate of maturity: 24/01/2015
IFCI VENTURE CAPITAL FUNDS LIMITED
10.25% Unsecured Redeemable Non convertible Taxable Bonds in the nature of promissory note.Date of maturity: 16/10/2017
IFCI VENTURE CAPITAL FUNDS LIMITED
10.75% Secured Redeemable Non convertible Taxable Bonds in the nature of promissory note.Series -I Date of maturity: 24/01/2022
IFCI VENTURE CAPITAL FUNDS LIMITED
10.75% Secured Redeemable Non convertible Taxable Bonds in the nature of promissory note.Series -II Date of maturity: 24/01/2022
IFCI VENTURE CAPITAL FUNDS LIMITED
10.25% Unsecured Redeemable Non convertible Taxable Bonds in the nature of promissory note.Date of maturity: 16/10/2022
IFMR CAPITAL FINANCE PRIVATE LIMITED
12.35% secured non convertible debenture. Date of Maturity 30/06/2015.
IFMR CAPITAL FINANCE PRIVATE LIMITED
12.35% Secured Redeemable Non Convertible Debentures. Date of Maturity: 30.12.2015
IL & FS FINANCIAL SERVICES LIMITED
9.75% Secured Redeemable Non Convertible Debentures. Series 2012-II. Letter of Allotment. Date of Maturity: 13.08.2017
IL & FS FINANCIAL SERVICES LIMITED
9.75% Secured Redeemable Non Convertible Debentures. Series 2012-III. Letter of Allotment. Date of Maturity: 03.09.2017
IL & FS FINANCIAL SERVICES LIMITED (FORMERLY IL & FS FINVEST LIMITED)
10.30% Tier II subordinated debt in the nature of Unsecured Non-convertible Debenture. Series- I Date of Maturity 28/12/2021
INE121H08024
INE121H08032
INE938L08015
INE433M08015
INE433M08023
INE433M08031
ILSS 1 TRUST 2011 INE102L15039
ILSS 2 TRUST 2011 INE186L15016
ILSS 3 TRUST 2011 INE270L15018
ILSS 4 TRUST 2011 INE442L15013
ILSS 4 TRUST 2011 INE442L15021
ILSS 5 TRUST 2011 INE572L15017
ILSS 5 TRUST 2011 INE572L15025
ILSS 8 TRUST 2010 INE985K15013
IL & FS FINANCIAL SERVICES LIMITED (FORMERLY IL & FS FINVEST LIMITED)
10.30% Tier II subordinated debt in the nature of Unsecured Non-Convertible Debenture. Series- II. Date of Maturity 22/03/2022
IL & FS FINANCIAL SERVICES LIMITED (FORMERLY IL & FS FINVEST LIMITED)
10.15% Unsecured Redeemable Non Convertible Tier II Subordinated Debt in the nature of Debenture. Series- I. Date of Maturity 29/06/2022
IL&FS ENERGY DEVELOPMENT COMPANY LIMITED
1% UNSECURED FULLY CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 29/03/2021.
IL&FS TAMIL NADU POWER COMPANY LIMITED
ZERO COUPON UNSECURED FULLY COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF MATURITY 05.06.2013
IL&FS TAMIL NADU POWER COMPANY LIMITED
ZERO COUPON UNSECURED FULLY COMPULSORILY CONVERTIBLE DEBENTURES. DATE OF MATURITY 10.05.2014
IL&FS TAMIL NADU POWER COMPANY LIMITED
UNSECURED FULLY CONVERTIBLE DEBENTURES . DATE OF MATURITY 27/09/2014.
Pass through certificates. Series A3. (Trustee: IDBI Trusteeship Services Ltd, Receivables : Loan receivables of Reliance Consumer Finance)
Pass through certificates. Series A (Trustee: IDBI Trusteeship Services Ltd, Receivables : Loan receivables of Kotak Mahindra Prime Limited)
Pass through certificates. Series A11 (Trustee: IDBI Trusteeship Services Ltd, Receivables : Loan receivables of Reliance Consumer Finance)
Pass through certificates. Series A1 (Trustee: IDBI Trusteeship Services Ltd, Receivables : Loan receivables of Reliance Home Finance Pvt Ltd
Pass through certificates. Series A2 (Trustee: IDBI Trusteeship Services Ltd, Receivables : Loan receivables of Reliance Home Finance Pvt Ltd
Pass through certificates. Series A (Trustee: IDBI Trusteeship Services Ltd, Receivables : Loan receivables of Kotak Mahindra Prime Limited)
Pass through certificates. Series IO (Trustee: IDBI Trusteeship Services Ltd, Receivables : Loan receivables of Kotak Mahindra Prime Limited)
Pass through certificates. Series A (Trustee: IDBI Trusteeship Services Ltd, Receivables : Loan receivables of Shriram Transport Finance Co Limited)
INE065B07010
INE603K07019
INDIA INFOLINE FINANCE LIMITED INE866I07313
INDIA INFOLINE FINANCE LIMITED INE866I07347
INDIA INFOLINE FINANCE LIMITED INE866I07305
INDIA INFOLINE FINANCE LIMITED INE866I07339
INDIA INFOLINE FINANCE LIMITED INE866I08139
INDIA INFOLINE FINANCE LIMITED INE866I07321
INDIA INFOLINE FINANCE LIMITED INE866I08097
INDIA INFOLINE FINANCE LIMITED INE866I08105
INDIA INFOLINE FINANCE LIMITED INE866I08121
INDIA INFOLINE FINANCE LIMITED INE866I08162
INE866I07073
INE866I07099
IMP POWERS LIMITED (FORMERLY IMP POWER LTD, EARLIER INDUSTRIAL METERS LTD
4% Secured Redeemable Non Convertible Bonds.Final date of Redemption : 01/01/2016
IND-BARATH POWER INFRA LIMITED
12.50% Secured Redeemable Non Convertible Debenture.Letter of Allotment. Date of Maturity: 04/10/2014
Zero Coupon Secured Rated,Non-Convertible Debenture.Date of Maturity 16/04/2013
SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 15/10/2014.
11.5% Secured Non-Convertible Debenture. Date of Maturity 30/01/2015
11.5% Secured Non-Convertible Debenture. Date of Maturity 02/03/2017
12.75% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. OPTION I. DATE OF MATURITY 20/09/2018
Zero Coupon Secured Rated,Non-Convertible Debenture.Date of Maturity 20/02/2019
12.00% Unsecured Non Convertible Debentures.Date of Maturity: 27/02/2019
12% Unsecured Non-Convertible Debenture. Date of Maturity 28/03/2019
12.15% Unsecured Redeemable Non-Convertible Debenture. Date of Maturity 30/08/2022
12.2% UNSECURED REDEEMABLE SUBORDINATED TAXABLE NON CONVERTIBLE DEBENTURES. DATE OF MATURITY 14/10/2022
INDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
Index Linked Secured Non Convertible Debentures.Series : I-005.Date of Maturity: 29/03/2013
INDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
Index Linked Secured Non Convertible Debentures.Series : I-007.Date of Maturity: 30/03/2013
INE866I07107
INE866I07156
INE866I07123
INE866I07081
INE866I07115
INE866I07024
INE866I07032
INE866I07040
INE866I07172
INE866I07271
INE866I07206
INE866I07248
INE866I07255
INE866I07263
INDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
Index Linked Secured Non Convertible Debentures.Series : I-008.Date of Maturity: 30/03/2013
INDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
Index Linked Secured Non Convertible Debentures.Series : I-010.Date of Maturity: 19/04/2013
INDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
8.00%Secured Non Convertible Debentures.Series : 3.Date of Maturity: 20/04/2013
INDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
Index Linked Secured Non Convertible Debentures.Series : I-006.Date of Maturity: 29/04/2013
INDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
Index Linked Secured Non Convertible Debentures.Series : I-009.Date of Maturity: 01/05/2013
INDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
Index Linked Secured Non Convertible Debentures.Date of Maturity: 05/05/2013
INDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
Index Linked (Minimum Coupon = 24%) Secured Non Convertible Debentures.Series : I-002.Date of Maturity: 05/05/2013
INDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
Index Linked Secured Non Convertible Debentures.Series : I-003.Date of Maturity: 09/05/2013
INDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
Index Linked Secured Non Convertible Debentures.Series : I-012.Date of Maturity: 29/07/2013
INDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
Index Linked Principal Protected Secured Non-Convertible Debenture.Series - I-017.Date of Maturity 13/05/2014
INDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
11.70% Secured Non-Convertible Debenture. Option- I. Date of Maturity18/08/2014
INDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
Index Linked Principal Protected Secured Non-Convertible Debenture.Series- I-014.Date of Maturity 11/10/2014
INDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
Index Linked Principal Protected Secured Non-Convertible Debenture.Series - I-015.Date of Maturity 11/10/2014
INDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
Index Linked Principal Protected Secured Non-Convertible Debenture.Series - I-016.Date of Maturity 13/10/2014
INE866I07289
INE866I07297
INE866I07214
INE866I07222
INE866I07230
INE787H09038
INE787H09046
INE787H08014
INE787H08030
INE787H09012
INE787H09020
INE787H09053
INE787H09061
INE787H09079
INDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
Index Linked Secured Non-Convertible Debenture. Series - I-18 Date of Maturity 18/10/2014
INDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
Index Linked Secured Non-Convertible Debenture. Series - I-19 Date of Maturity 18/10/2014
INDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
Secured Non-Convertible Debenture. Option- II. Date of Maturity 18/12/2014
INDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
11.70% Secured Non-Convertible Debenture. Option- III Category I & II. Date of Maturity18/08/2016
INDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
11.90% Secured Non-Convertible Debenture. Option- III Category III. Date of Maturity 18/08/2016
INDIA INFRASTRUCTURE FINANCE COMPANY LIMITED
6.85% Unsecured Redeemable Tax free Non Convertible Bonds in the form of promissory note. Date of Maturity: 22/01/2014
INDIA INFRASTRUCTURE FINANCE COMPANY LIMITED
6.85% Unsecured Redeemable Tax free Non Convertible Bonds in the form of promissory note. Date of Maturity: 20/03/2014
INDIA INFRASTRUCTURE FINANCE COMPANY LIMITED
8.70 % Unsecured Redeemable Taxable Non convertible bonds. Letter of allotment. Date of Maturity: 02/09/2016
INDIA INFRASTRUCTURE FINANCE COMPANY LIMITED
8.82% Unsecured Redeemable Taxable Non Convertible Bonds. Letter of Allotment. Date of Maturity: 19/12/2022
INDIA INFRASTRUCTURE FINANCE COMPANY LIMITED
9.35% Unsecured Redeemable Taxable Non Convertible Bonds in the form of promissory note. Letter of Allotment. Date of Maturity: 13/11/2023
INDIA INFRASTRUCTURE FINANCE COMPANY LIMITED
8.68% Unsecured Redeemable Taxable Non Convertible Bonds in the form of promissory note. Letter of Allotment. Date of Maturity: 18/12/2023
INDIA INFRASTRUCTURE FINANCE COMPANY LIMITED
8.10% Unsecured Redeemable Taxable Non Convertible Bonds in the form of promissory note. Date of Maturity: 08/04/2024
INDIA INFRASTRUCTURE FINANCE COMPANY LIMITED
7.90% Unsecured Redeemable Taxable Non Convertible Bonds in the form of promissory note. Date of Maturity: 28/04/2024
INDIA INFRASTRUCTURE FINANCE COMPANY LIMITED
8.12% Unsecured Redeemable Non Convertible IIFCL 2024 Taxable Bonds in the form of promissory note. Date of Maturity: 12/08/2024
INE787H09087
INE787H09095
INE787H07057
INE787H07065
INE795K15073
INE795K15081
INE795K15099
INE795K15107
INE795K15115
INE795K15123
INE795K15131
INE795K15149
INE795K15156
INE795K15164
INDIA INFRASTRUCTURE FINANCE COMPANY LIMITED
8.12% Unsecured Redeemable Non Convertible IIFCL Series VIII 2024 Taxable Bonds in the form of promissory note. Date of Maturity: 24/08/2024
INDIA INFRASTRUCTURE FINANCE COMPANY LIMITED
8.55% Unsecured Redeemable Non Convertible IIFCL Series IX 2024 Taxable Bonds in the form of promissory note. Date of Maturity: 26/10/2024
INDIA INFRASTRUCTURE FINANCE COMPANY LIMITED
9.41% SECURED REDEEMABLE TAXABLE NON CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. SERIES X-A. LETTER OF ALLOTMENT. DATE OF
INDIA INFRASTRUCTURE FINANCE COMPANY LIMITED
9.36% SECURED REDEEMABLE TAXABLE NON CONVERTIBLE BONDS IN THE NATURE OF DEBENTURES. SERIES X-B. LETTER OF ALLOTMENT. DATE OF
INDIA STRUCTURED ASSET TRUST SERIES-XII
Series-A7.Pass through certificates. (Trustee: IDBI Trusteeship Services Ltd, Receivables: Loan Receivable of Indian Railways Finance
INDIA STRUCTURED ASSET TRUST SERIES-XII
Series-A8.Pass through certificates. (Trustee: IDBI Trusteeship Services Ltd, Receivables: Loan Receivable of Indian Railways Finance
INDIA STRUCTURED ASSET TRUST SERIES-XII
Series-A9.Pass through certificates. (Trustee: IDBI Trusteeship Services Ltd, Receivables: Loan Receivable of Indian Railways Finance
INDIA STRUCTURED ASSET TRUST SERIES-XII
Series-A10.Pass through certificates. (Trustee: IDBI Trusteeship Services Ltd, Receivables: Loan Receivable of Indian Railways Finance
INDIA STRUCTURED ASSET TRUST SERIES-XII
Series-A11.Pass through certificates. (Trustee: IDBI Trusteeship Services Ltd, Receivables: Loan Receivable of Indian Railways Finance
INDIA STRUCTURED ASSET TRUST SERIES-XII
Series-A12.Pass through certificates. (Trustee: IDBI Trusteeship Services Ltd, Receivables: Loan Receivable of Indian Railways Finance
INDIA STRUCTURED ASSET TRUST SERIES-XII
Series-A13.Pass through certificates. (Trustee: IDBI Trusteeship Services Ltd, Receivables: Loan Receivable of Indian Railways Finance
INDIA STRUCTURED ASSET TRUST SERIES-XII
Series-A14.Pass through certificates. (Trustee: IDBI Trusteeship Services Ltd, Receivables: Loan Receivable of Indian Railways Finance
INDIA STRUCTURED ASSET TRUST SERIES-XII
Series-A15.Pass through certificates. (Trustee: IDBI Trusteeship Services Ltd, Receivables: Loan Receivable of Indian Railways Finance
INDIA STRUCTURED ASSET TRUST SERIES-XII
Series-A16.Pass through certificates. (Trustee: IDBI Trusteeship Services Ltd, Receivables: Loan Receivable of Indian Railways Finance
INE795K15172
INE795K15180
INE795K15198
INE795K15206
INE795K15214
INE795K15222
INE795K15230
INE795K15248
INE795K15255
INE894F07170
INE894F07261
INE894F07600
INE894F07626
INE894F07188
INDIA STRUCTURED ASSET TRUST SERIES-XII
Series-A17.Pass through certificates. (Trustee: IDBI Trusteeship Services Ltd, Receivables: Loan Receivable of Indian Railways Finance
INDIA STRUCTURED ASSET TRUST SERIES-XII
Series-A18.Pass through certificates. (Trustee: IDBI Trusteeship Services Ltd, Receivables: Loan Receivable of Indian Railways Finance
INDIA STRUCTURED ASSET TRUST SERIES-XII
Series-A19.Pass through certificates. (Trustee: IDBI Trusteeship Services Ltd, Receivables: Loan Receivable of Indian Railways Finance
INDIA STRUCTURED ASSET TRUST SERIES-XII
Series-A20.Pass through certificates. (Trustee: IDBI Trusteeship Services Ltd, Receivables: Loan Receivable of Indian Railways Finance
INDIA STRUCTURED ASSET TRUST SERIES-XII
Series-A21.Pass through certificates. (Trustee: IDBI Trusteeship Services Ltd, Receivables: Loan Receivable of Indian Railways Finance
INDIA STRUCTURED ASSET TRUST SERIES-XII
Series-A22.Pass through certificates. (Trustee: IDBI Trusteeship Services Ltd, Receivables: Loan Receivable of Indian Railways Finance
INDIA STRUCTURED ASSET TRUST SERIES-XII
Series-A23.Pass through certificates. (Trustee: IDBI Trusteeship Services Ltd, Receivables: Loan Receivable of Indian Railways Finance
INDIA STRUCTURED ASSET TRUST SERIES-XII
Series-A24.Pass through certificates. (Trustee: IDBI Trusteeship Services Ltd, Receivables: Loan Receivable of Indian Railways Finance
INDIA STRUCTURED ASSET TRUST SERIES-XII
Series-A25.Pass through certificates. (Trustee: IDBI Trusteeship Services Ltd, Receivables: Loan Receivable of Indian Railways Finance
INDIABULLS FINANCIAL SERVICES LTD
10.10% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 31/12/2012.
INDIABULLS FINANCIAL SERVICES LTD
10.70% Secured Redeemable Non Convertible Debenture. Letter of Allotment.Date of Maturity : 19/07/2013
INDIABULLS FINANCIAL SERVICES LTD
10% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 26/09/2013
INDIABULLS FINANCIAL SERVICES LTD
10.25% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 07/10/2013.
INDIABULLS FINANCIAL SERVICES LTD
10% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 07/02/2014
INE894F07618
INE894F07576
INE894F08111
INE894F07485
INE894F07089
INE894F07469
INE894F07113
INE894F07329
INE894F07337
INE894F07287
INE894F07121
INE894F07345
INE894F07378
INE894F07444
INDIABULLS FINANCIAL SERVICES LTD
10.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 26/09/2014
INDIABULLS FINANCIAL SERVICES LTD
10.65% Secured Redeemable Non Convertible Debentures. Letter of Allotment. Date of Maturity 16/07/2015
INDIABULLS FINANCIAL SERVICES LTD
10.65% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 30/06/2027.
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
10.60% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 14/02/2013
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
9.00% Secured Redeemable Non Convertible Debenture. Date of Maturity : 31/03/2013
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 16/04/2013
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
0% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 05/07/2013
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 13/05/2013
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 12/06/2013
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
10.80% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 08/08/2013.
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 10/08/2013
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
10.80% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 08/09/2013
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
10.50% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 09/09/2013
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 09/12/2013
INE894F07311
INE894F07493
INE894F07477
INE894F07428
INE894F07568
INE894F07279
INE894F07352
INE894F07022
INE894F07394
INE894F07402
INE894F07410
INE894F07436
INE894F07501
INE894F07527
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
10.80% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 10/02/2014
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
10.60% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 13/02/2014
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 14/03/2014
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
11.20% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 15/04/2014
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
11.2% Secured Redeemable Non Convertible Debentures. Letter of Allotment. Date of Maturity 28/06/2014
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
10.70% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 08/07/2014
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
10.80% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 22/08/2014
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
10.75% Secured Redeemable Non Convertible Debenture. Letter of Allotment. Date of Maturity : 22/09/2014
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
10.85% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 31/10/2014
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
4.65% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 18/11/2014
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 25/11/2014
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 18/12/2014
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
10.60% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 13/02/2015
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 02/03/2015
INE894F07154
INE894F08020
INE894F08046
INE894F07360
INE894F08038
INE894F08053
INE894F07519
INE894F08061
INE894F08079
INE894F07550
INE894F07543
INE894F08087
INE894F08103
INE894F07451
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
10.00% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 27/08/2015
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
11.60% Unsecured Non-Convertible Subordinated Debt in the nature of Debenture. Letter of Allotment. Date of Maturity 31/05/2017
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
11.60% Unsecured Non-Convertible Subordinated Debt in the nature of Debenture. Letter of Allotment. Date of Maturity 22/06/2017
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
10.65% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 07/09/2021
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
11.85% Unsecured Non-Convertible Subordinated Debt in the nature of Debenture. Letter of Allotment. Date of Maturity 31/01/2022
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
11.85% Unsecured Non-Convertible Subordinated Debt in the nature of Debenture. Letter of Allotment. Date of Maturity 22/02/2022
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
10.15% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 27/02/2022
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
11.00% Unsecured Non-Convertible Subordinated Debt in the nature of Debenture.Date of Maturity 30/03/2022
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
10.65% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 05/06/2022.
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
10.7% Secured Redeemable Non Convertible Debentures. Letter of Allotment. Date of Maturity 28/06/2022
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
10.7% Secured Redeemable Non Convertible Debenture. Letter of Allotment. Date of Maturity 06/07/2022
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
10.65% UNSECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 05/06/2027.
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
10.25% Unsecured Redeemable Non Convertible Subordinated Debt in the nature of Debentures. Letter of Allotment. Date of Maturity 28/06/2027
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 18/12/2014
INE894F08095
INE148I07126
INE148I07092
INE148I07134
INE148I07068
INE148I07084
INE148I07118
INE148I08017
INE148I07076
INE148I07100
INE148I08025
INE069I07017
INE069I07025
INE069I07033
INDIABULLS FINANCIAL SERVICES LTD(INDIABULLS FINANCIAL SERVICES PVT LTD.)
10.6% UNSECURED NON CONVERTIBLE SUBORDINATED PERPETUAL DEBT IN THE NATURE OF DEBENTURE. LETTER OF ALLOTMENT.
INDIABULLS HOUSING FINANCE LIMITED
10.15% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 19/06/2013
INDIABULLS HOUSING FINANCE LIMITED
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 16/10/2013
INDIABULLS HOUSING FINANCE LIMITED
10.60% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. LETTER OF ALLOTMENT. DATE OF MATURITY 10/10/2014.
INDIABULLS HOUSING FINANCE LIMITED
9.50% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 21/11/2014
INDIABULLS HOUSING FINANCE LIMITED
9.50% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 01/12/2014
INDIABULLS HOUSING FINANCE LIMITED
10.50% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 30/04/2017
INDIABULLS HOUSING FINANCE LIMITED
10.50% Unsecured Non-Convertible Debenture. Letter of Allotment.Date of Maturity 26/03/2018
INDIABULLS HOUSING FINANCE LIMITED
10.70% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 22/11/2021
INDIABULLS HOUSING FINANCE LIMITED
10.75% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 03/04/2022
INDIABULLS HOUSING FINANCE LIMITED
10.30% Unsecured Non-Convertible subordinated debt in the nature of Debenture. Letter of Allotment.Date of Maturity 09/10/2022
INDIABULLS REAL ESTATE LIMITED
11.75% Secured Redeemable Non Convertible Debentures.Letter of Allotment.Date of Maturity: 10/12/2013
INDIABULLS REAL ESTATE LIMITED
12.00% Secured Redeemable Non Convertible Debentures.Letter of Allotment.Date of Maturity: 13/12/2013
INDIABULLS REAL ESTATE LIMITED
12.25% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 18/02/2014
INE069I07041
INE069I07058
INDIAN BANK INE562A09022
INDIAN BANK INE562A09030
INDIAN BANK INE562A09048
INE242A07181
INE242A07215
INE242A07231
INE242A07249
INE242A07207
INDIAN OVERSEAS BANK INE565A08019
INDIAN OVERSEAS BANK INE565A09066
INDIAN OVERSEAS BANK INE565A09074
INDIAN OVERSEAS BANK INE565A09082
INDIABULLS REAL ESTATE LIMITED
12.25% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 21/02/2014
INDIABULLS REAL ESTATE LIMITED
12.25% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 22/02/2014
6.25% Unsecured Redeemable Non-Convertible suboridnated bonds in the form of promissory notes. Series I. Option II.
8.53% Unsecured Redeemable Non-Convertible Lower Tier II bonds in the form of promissory notes.Date of Maturity : 28/06/2020
Reset rate Unsecured Non-convertible Upper Tier II Bond in the form of Promissory Note. Date of Maturity 16/07/2025
INDIAN OIL CORPORATION LIMITED
7.40 % Secured Non Convertible Redeemable Bonds . Series VII. Option B. Letter of allotment. Date of Maturity: 15.09.2015
INDIAN OIL CORPORATION LIMITED
10.70% Secured Non Convertible Redeemable Bonds in the nature of Debentures . Series IX. Letter of allotment. Date of Maturity: 11.12.2016
INDIAN OIL CORPORATION LIMITED
9.28% Secured Non Convertible Redeemable Bonds in the nature of Debentures . Series XI. Letter of allotment. Date of Maturity: 21.12.2016
INDIAN OIL CORPORATION LIMITED
9.35% Secured Non Convertible Redeemable Bonds in the nature of Debentures . Series XII. Letter of allotment. Date of Maturity: 30.04.2017
INDIAN OIL CORPORATION LIMITED
11.00 % Secured Non Convertible Redeemable Bonds in the nature of Debentures . Series VIII-B. Letter of allotment. Date of Maturity: 10.09.2018
6.00% Unsecured Redeemable Non-Convertible Subordinated Bonds - Series V . Letter Of Allotment.
6.40% Unsecured Non Convertible Subordinated Bonds in the form of Promissory Notes, Series VI.
7.25% Unsecured Non Converible Subordinated Bond In the form of Promissory note . Date of Maturity : 08.04.2015
7.40% Unsecured Non Convertible Subordinated Bond In the form of Promissory note . Date of Maturity : 16.12.2015
INDIAN OVERSEAS BANK INE565A09108
INDIAN OVERSEAS BANK INE565A09090
INDIAN OVERSEAS BANK INE565A09132
INDIAN OVERSEAS BANK INE565A09165
INDIAN OVERSEAS BANK INE565A09181
INDIAN OVERSEAS BANK INE565A09215
INDIAN OVERSEAS BANK INE565A09140
INDIAN OVERSEAS BANK INE565A09173
INDIAN OVERSEAS BANK INE565A09199
INDIAN OVERSEAS BANK INE565A09223
INDIAN OVERSEAS BANK INE565A09207
INDIAN OVERSEAS BANK INE565A09157
INDIAN OVERSEAS BANK INE565A09116
INDIAN OVERSEAS BANK INE565A09124
8.00% Unsecured Redeemable Non Convertible Subordinated Bond In the form of Promissory note . Date of Maturity : 13.03.2016
7.70% Unsecured Non Convertible Subordinated Bond In the form of Promissory note . Date of Maturity : 09.04.2016
9.10% Unsecured Redeemable Non Convertible Subordinated Bond In the form of Promissory note . Date of Maturity : 26/07/2016
10.85% Unsecured Redeemable Non Convertible Subordinated Bond In the form of Promissory note .Date of Maturity : 22/08/2018
8.48% Unsecured Redeemable Non Convertible Subordinated Bond In the form of Promissory note .Date of Maturity : 24/08/2019
8.95% Unsecured Non-Convertible Subordinated Lower Tier II Bond. Date of Maturity 31/12/2020
9.24% Unsecured Redeemable Non Convertible Subordinated (Upper Tier II) Bond In the form of Promissory note .Series 1. Date of Maturity : 05/09/2021
11.05% Unsecured Redeemable Non Convertible Subordinated upper tier II Bond In the form of Promissory note .Date of Maturity : 17/09/2023
Reset rate Unsecured Redeemable Non Convertible Subordinated Upper Tier II Bond In the form of Promissory note .Date of Maturity :
9.00% Unsecured Non-Convertible Subordinated Upper Tier II Bond. Date of Maturity 10/01/2026
Reset rate Unsecured Non convertible Subordinated perpetual bonds in form of promissory notes.
9.20% Unsecured Non convertible Subordinated perpetual bonds in form of promissory notes. Series III.
9.30% Unsecured Non convertible Subordinated perpetual bonds in form of promissory notes. Series 1
9.15% Unsecured Non convertible Subordinated perpetual bonds in form of promissory notes. Series II
INE006A07099
INE006A07073
INE006A07081
INE006A07123
INE006A07107
INE053F09FM7
INE053F09CP7
INE053F07454
INE053F09AF2
INE053F09GC6
INE053F09AL0
INE053F09AV9
INE053F09EU3
INE053F07124
INDIAN PETROCHEMICALS CORPORATION LIMITED
Zero Coupon Secured Redeemable Non Convertible debentures-Series -V.Date of Maturity:31/12/2012
INDIAN PETROCHEMICALS CORPORATION LIMITED
Zero Coupon Secured Redeemable NonConvertible debentures-Series -I.Date of Maturity:01/01/2013
INDIAN PETROCHEMICALS CORPORATION LIMITED
Zero Coupon Secured Redeemable Non Convertible debentures-Series -II.Date of Maturity:30/06/2013
INDIAN PETROCHEMICALS CORPORATION LIMITED
Zero Coupon Secured Redeemable Non Convertible debentures-Series -IV.Final Date of Redemption:31/03/2015
INDIAN PETROCHEMICALS CORPORATION LIMITED
Zero Coupon Secured Redeemable Non Convertible debentures-Series -VI.Date of Maturity:06/05/2015
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.75% Secured Non Convertible Bonds in the form of Promissory Notes.Series 59 A. Letter of Allotment. Date of Maturity: 07-01-2013
INDIAN RAILWAY FINANCE CORPORATION LIMITED
5.99% Secured Redeemeable Bonds of Promissory Notes. Series 47 STRPP I. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
10.00% Taxable Bonds, 12CC Series , Date of final Redemption: 31.03.2013
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.98% Secured Redeemeable Bonds of Promissory Notes. Serie 44. STRPP JJ. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.20% Secured Non Convertible Bonds in the form of Promissory Notes.Series :65th 'D' . Letter of Allotment. Date of Maturity: 27/04/2013
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.10% Secured Redeemeable Bonds of Promissory Notes. Serie 45. STRPP E. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.39% Secured Redeemeable Bonds of Promissory Notes. Serie 45. STRPP JJ. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.86% Secured Taxable Non-convertible Redeemable Railway Bonds in the form of Promissory Notes, Series 55-F . Letter of Allotment. Date of Maturity
INDIAN RAILWAY FINANCE CORPORATION LIMITED
12.90% Taxable Bonds, 15th N Series , Date of Maturity: 22.06.2013
INE053F09DV3
INE053F07256
INE053F09BL8
INE053F09BP9
INE053F09CA9
INE053F09435
INE053F09DC3
INE053F09DH2
INE053F09690
INE053F09FQ8
INE053F09FT2
INE053F09CQ5
INE053F09FW6
INE053F07447
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8 year GOI Reuter's INBMK minus 10Bps Secured Bonds in the form of Promissory Notes. Letter of Allotment. Series 49th 'H'. Date of Maturity: 22/06/2013
INDIAN RAILWAY FINANCE CORPORATION LIMITED
12.80% Taxable Bonds, 16th N Series , Date of Maturity:15.07.2013
INDIAN RAILWAY FINANCE CORPORATION LIMITED
5.99% Secured Redeemeable Bonds of Promissory Notes. Series 46 STRPP JJJ. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.20% Secured Redeemeable Bonds of Promissory Notes. Series 46 STRPP DD. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.25% Secured Redeemeable Bonds of Promissory Notes. Series 46 STRPP J. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.00% Taxable Bonds in the form of Promissory Notes, Series 42 K. Date of Maturity :29/08/2013. Letter of Allotment
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.85% Taxable Non-cumulative Non-convertible Bonds in the form of Promissory Notes, Series 48 G. Letter of Allotment
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.85% Taxable Non-cumulative Non-convertible Bonds in the form of Promissory Notes, Series 48 DD. Letter of Allotment
INDIAN RAILWAY FINANCE CORPORATION LIMITED
7.63% Secured Redeemeable Bonds of Promissory Notes. Serie 43. STRPP KK. Letter of Allotment. Date of Maturity:29-10-2013
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.40% Secured Non Convertible Bonds in the form of Promissory Notes.Series 62. Letter of Allotment. Date of Maturity: 26/12/2013
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.46% Secured Non Convertible Bonds in the form of Promissory Notes.Series 63. Letter of Allotment. Date of Maturity: 15/01/2014
INDIAN RAILWAY FINANCE CORPORATION LIMITED
5.99% Secured Redeemeable Bonds of Promissory Notes. Series 47 STRPP J. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.49% Secured Non Convertible Bonds in the form of Promissory Notes.Series 64. Letter of Allotment. Date of Maturity: 30/03/2014
INDIAN RAILWAY FINANCE CORPORATION LIMITED
10.00% Taxable Bonds, 13AA Series , Date of final Redemption: 31.03.2014
INE053F09FX4
INE053F09GD4
INE053F09AW7
INE053F09EV1
INE053F07132
INE053F09DW1
INE053F07264
INE053F09CB7
INE053F09443
INE053F09DD1
INE053F09DI0
INE053F09708
INE053F07272
INE053F09GS2
INDIAN RAILWAY FINANCE CORPORATION LIMITED
7.45% Secured Non Convertible Bonds in the form of Promissory Notes.Series 65. Letter of Allotment. Date of Maturity: 27/04/2014
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.20% Secured Non Convertible Bonds in the form of Promissory Notes.Series :65th 'E' . Letter of Allotment. Date of Maturity: 27/04/2014
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.39% Secured Redeemeable Bonds of Promissory Notes. Serie 45. STRPP KK. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.86% Secured Taxable Non-convertible Redeemable Railway Bonds in the form of Promissory Notes, Series 55-G . Letter of Allotment. Date of Maturity
INDIAN RAILWAY FINANCE CORPORATION LIMITED
12.90% Taxable Bonds, 15th O Series , Date of Maturity: 22.06.2014
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9 year GOI Reuter's INBMK minus 10Bps Secured Bonds in the form of Promissory Notes. Letter of Allotment. Series 49th 'I'. Date of Maturity: 22/06/2014
INDIAN RAILWAY FINANCE CORPORATION LIMITED
12.80% Taxable Bonds, 16th O Series , Date of Maturity:15.07.2014
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.25% Secured Redeemeable Bonds of Promissory Notes. Series 46 STRPP K. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.00% Taxable Bonds in the form of Promissory Notes, Series 42 L. Date of Maturity :29/08/2014. Letter of Allotment
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.85% Taxable Non-cumulative Non-convertible Bonds in the form of Promissory Notes, Series 48 H. Letter of Allotment
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.85% Taxable Non-cumulative Non-convertible Bonds in the form of Promissory Notes, Series 48 EE. Letter of Allotment
INDIAN RAILWAY FINANCE CORPORATION LIMITED
7.63% Secured Redeemeable Bonds of Promissory Notes. Serie 43. STRPP LL. Letter of Allotment. Date of Maturity:29-10-2014
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.00% Taxfree Bonds, 17th Series , Date of Maturity:28.02.2015
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.00% Secured Non Convertible Tax free Bonds in the form of Promissory Notes. 68th Series. Letter of Allotment. Date of Maturity: 08/03/2015
INE053F09CR3
INE053F09GE2
INE053F09GW4
INE053F09AX5
INE053F09EW9
INE053F09DX9
INE053F07322
INE053F09CC5
INE053F09450
INE053F09DJ8
INE053F09716
INE053F09HJ9
INE053F09CS1
INE053F09GF9
INDIAN RAILWAY FINANCE CORPORATION LIMITED
5.99% Secured Redeemeable Bonds of Promissory Notes. Series 47 STRPP K. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.20% Secured Non Convertible Bonds in the form of Promissory Notes.Series :65th 'F' . Letter of Allotment. Date of Maturity: 27/04/2015
INDIAN RAILWAY FINANCE CORPORATION LIMITED
7.845% Secured Non Convertible Taxable Bonds in the form of Promissory Notes. 70th Series. Letter of Allotment. Date of Maturity: 04/05/2015
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.39% Secured Redeemeable Bonds of Promissory Notes. Serie 45. STRPP LL. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.86% Secured Taxable Non-convertible Redeemable Railway Bonds in the form of Promissory Notes, Series 55-H . Letter of Allotment. Date of Maturity
INDIAN RAILWAY FINANCE CORPORATION LIMITED
10 year GOI Reuter's INBMK minus 10Bps Secured Bonds in the form of Promissory Notes. Letter of Allotment. Series 49th 'J'. Date of Maturity: 22/06/2015
INDIAN RAILWAY FINANCE CORPORATION LIMITED
11.50% Taxable Bonds, 22nd Series , Date of final redemption:28.07.2015
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.25% Secured Redeemeable Bonds of Promissory Notes. Series 46 STRPP L. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.00% Taxable Bonds in the form of Promissory Notes, Series 42 M. Date of Maturity :29/08/2015. Letter of Allotment
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.85% Taxable Non-cumulative Non-convertible Bonds in the form of Promissory Notes, Series 48 FF. Letter of Allotment
INDIAN RAILWAY FINANCE CORPORATION LIMITED
7.63% Secured Redeemeable Bonds of Promissory Notes. Serie 43. STRPP MM. Letter of Allotment. Date of Maturity:29-10-2015
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.05% Secured, Tax-Free, Non-Cumulative, Non-Convertible Railway Bond. Series- 73rd. Letter of Allotment. Date of Maturity 20/12/2015
INDIAN RAILWAY FINANCE CORPORATION LIMITED
5.99% Secured Redeemeable Bonds of Promissory Notes. Series 47 STRPP L. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.20% Secured Non Convertible Bonds in the form of Promissory Notes.Series :65th 'G' . Letter of Allotment. Date of Maturity: 27/04/2016
INE053F09AY3
INE053F09EG2
INE053F09EX7
INE053F09DY7
INE053F09CD3
INE053F09468
INE053F09DK6
INE053F09724
INE053F09EJ6
INE053F09GT0
INE053F09CT9
INE053F09GG7
INE053F09AZ0
INE053F09EM0
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.39% Secured Redeemeable Bonds of Promissory Notes. Serie 45. STRPP MM. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.41% Taxable Non-cumulative Non-convertible Redeemable Railway Bonds in the form of Promissory Notes, Series 52 A. Letter of Allotment. Date of
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.86% Secured Taxable Non-convertible Redeemable Railway Bonds in the form of Promissory Notes, Series 55-I . Letter of Allotment. Date of Maturity
INDIAN RAILWAY FINANCE CORPORATION LIMITED
11 year GOI Reuter's INBMK minus 10Bps Secured Bonds in the form of Promissory Notes. Letter of Allotment. Series 49th 'K'. Date of Maturity: 22/06/2016
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.25% Secured Redeemeable Bonds of Promissory Notes. Series 46 STRPP M. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.00% Taxable Bonds in the form of Promissory Notes, Series 42 N. Date of Maturity :29/08/2016. Letter of Allotment
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.85% Taxable Non-cumulative Non-convertible Bonds in the form of Promissory Notes, Series 48 GG. Letter of Allotment
INDIAN RAILWAY FINANCE CORPORATION LIMITED
7.63% Secured Redeemeable Bonds of Promissory Notes. Serie 43. STRPP NN. Letter of Allotment. Date of Maturity:29-10-2016
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.57% Secured Taxable Non-convertible Redeemable Railway Bonds in the form of Promissory Notes, Series 53-A. Letter of Allotment. Date of Maturity
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.30% Secured Non Convertible Tax free Bonds in the form of Promissory Notes. 68th 'A' Series. Letter of Allotment. Date of Maturity: 08/03/2017
INDIAN RAILWAY FINANCE CORPORATION LIMITED
5.99% Secured Redeemeable Bonds of Promissory Notes. Series 47 STRPP M. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.20% Secured Non Convertible Bonds in the form of Promissory Notes.Series :65th 'H' . Letter of Allotment. Date of Maturity: 27/04/2017
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.39% Secured Redeemeable Bonds of Promissory Notes. Serie 45. STRPP NN. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.81% Secured Taxable Non-convertible Redeemable Railway Bonds in the form of Promissory Notes, Series 54. Letter of Allotment. Date of Maturity
INE053F09EY5
INE053F09DZ4
INE053F09CE1
INE053F09476
INE053F09DL4
INE053F09732
INE053F09HK7
INE053F09CU7
INE053F09GH5
INE053F09BA1
INE053F09FN5
INE053F09EZ2
INE053F09EA5
INE053F09BQ7
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.86% Secured Taxable Non-convertible Redeemable Railway Bonds in the form of Promissory Notes, Series 55-J . Letter of Allotment. Date of Maturity
INDIAN RAILWAY FINANCE CORPORATION LIMITED
12 year GOI Reuter's INBMK minus 10Bps Secured Bonds in the form of Promissory Notes. Letter of Allotment. Series 49th 'L'. Date of Maturity: 22/06/2017
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.25% Secured Redeemeable Bonds of Promissory Notes. Series 46 STRPP N. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.00% Taxable Bonds in the form of Promissory Notes, Series 42 O. Date of Maturity :29/08/2017. Letter of Allotment
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.85% Taxable Non-cumulative Non-convertible Bonds in the form of Promissory Notes, Series 48 HH. Letter of Allotment
INDIAN RAILWAY FINANCE CORPORATION LIMITED
7.63% Secured Redeemeable Bonds of Promissory Notes. Serie 43. STRPP OO. Letter of Allotment. Date of Maturity:29-10-2017
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.32% Secured, Tax-Free, Non-Cumulative, Non-Convertible Railway Bond. Series - 73rd 'A'. Letter of Allotment. Date of Maturity 20/12/2017
INDIAN RAILWAY FINANCE CORPORATION LIMITED
5.99% Secured Redeemeable Bonds of Promissory Notes. Series 47 STRPP N. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.20% Secured Non Convertible Bonds in the form of Promissory Notes.Series :65th 'I' . Letter of Allotment. Date of Maturity: 27/04/2018
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.39% Secured Redeemeable Bonds of Promissory Notes. Serie 45. STRPP OO. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.43% Secured Non Convertible Bonds in the form of Promissory Notes.Series 60. Letter of Allotment. Date of Maturity: 23/05/2018
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.86% Secured Taxable Non-convertible Redeemable Railway Bonds in the form of Promissory Notes, Series 55-K . Letter of Allotment. Date of Maturity
INDIAN RAILWAY FINANCE CORPORATION LIMITED
13 year GOI Reuter's INBMK minus 10Bps Secured Bonds in the form of Promissory Notes. Letter of Allotment. Series 49th 'M'. Date of Maturity: 22/06/2018
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.20% Secured Redeemeable Bonds of Promissory Notes. Series 46 STRPP EE. Letter of Allotment.
INE053F09CF8
INE053F09FO3
INE053F09DM2
INE053F09FR6
INE053F09FU0
INE053F09CV5
INE053F09FY2
INE053F09GI3
INE053F09FA2
INE053F09GO1
INE053F09EB3
INE053F09DN0
INE053F09GP8
INE053F09GU8
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.25% Secured Redeemeable Bonds of Promissory Notes. Series 46 STRPP O. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
10.60% Secured Non Convertible Bonds in the form of Promissory Notes.Series 61. Letter of Allotment. Date of Maturity: 11/09/2018
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.85% Taxable Non-cumulative Non-convertible Bonds in the form of Promissory Notes, Series 48 II. Letter of Allotment
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.45% Secured Non Convertible Bonds in the form of Promissory Notes.Series 62 'A'. Letter of Allotment. Date of Maturity: 26/12/2018
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.55% Secured Non Convertible Bonds in the form of Promissory Notes.Series 63 'A'. Letter of Allotment. Date of Maturity: 15/01/2019
INDIAN RAILWAY FINANCE CORPORATION LIMITED
5.99% Secured Redeemeable Bonds of Promissory Notes. Series 47 STRPP O. Letter of Allotment.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.19% Secured Non Convertible Bonds in the form of Promissory Notes.Series 65 'AA' . Letter of Allotment. Date of Maturity: 27/04/2019
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.20% Secured Non Convertible Bonds in the form of Promissory Notes.Series :65th 'J' . Letter of Allotment. Date of Maturity: 27/04/2019
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.86% Secured Taxable Non-convertible Redeemable Railway Bonds in the form of Promissory Notes, Series 55-L . Letter of Allotment. Date of Maturity
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.60% Secured Non Convertible Bonds in the form of Promissory Notes.Series :66th . Letter of Allotment. Date of Maturity: 11/06/2019
INDIAN RAILWAY FINANCE CORPORATION LIMITED
14 year GOI Reuter's INBMK minus 10Bps Secured Bonds in the form of Promissory Notes. Letter of Allotment. Series 49th 'N'. Date of Maturity: 22/06/2019
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.85% Taxable Non-cumulative Non-convertible Bonds in the form of Promissory Notes, Series 48 JJ. Letter of Allotment
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.55% Secured Non Convertible Bonds in the form of Promissory Notes.Series :67h . Letter of Allotment. Date of Maturity: 03/02/2020
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.70% Secured Non Convertible Tax free Bonds in the form of Promissory Notes. 68th 'B' Series. Letter of Allotment. Date of Maturity: 08/03/2020
INE053F09GJ1
INE053F09FB0
INE053F09EC1
INE053F09HI1
INE053F09HL5
INE053F09EF4
INE053F09GK9
INE053F09HO9
INE053F09EH0
INE053F09HR2
INE053F09FC8
INE053F09HS0
INE053F09HT8
INE053F09EK4
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.20% Secured Non Convertible Bonds in the form of Promissory Notes.Series :65th 'K' . Letter of Allotment. Date of Maturity: 27/04/2020
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.86% Secured Taxable Non-convertible Redeemable Railway Bonds in the form of Promissory Notes, Series 55-M . Letter of Allotment. Date of Maturity
INDIAN RAILWAY FINANCE CORPORATION LIMITED
15 year GOI Reuter's INBMK minus 10Bps Secured Bonds in the form of Promissory Notes. Letter of Allotment. Series 49th 'O'. Date of Maturity: 22/06/2020
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.50% Secured Non Convertible Taxable Bonds in the form of Promissory Notes. 72nd Series. Letter of Allotment. Date of Maturity: 22/06/2020
INDIAN RAILWAY FINANCE CORPORATION LIMITED
6.72% Secured, Tax-Free, Non-Cumulative, Non-Convertible Railway Bond. Series - 73rd 'B'. Letter of Allotment. Date of Maturity 20/12/2020
INDIAN RAILWAY FINANCE CORPORATION LIMITED
7.74% Secured Taxable Non cumulative Non convertible Bonds in nature of promissory notes. Series 51. Letter of allotment. Date of Maturity: 22.12.2020
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.20% Secured Non Convertible Bonds in the form of Promissory Notes.Series :65th 'L' . Letter of Allotment. Date of Maturity: 27/04/2021
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.27% Secured Non-Convertible Non Cumulative Taxable Bonds.Letter of Alloment. Series- 76. Date of Maturity 10/05/2021.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.64% Taxable Non-cumulative Non-convertible Redeemable Railway Bonds in the form of Promissory Notes, Series 52 B. Letter of Allotment. Date of
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.57% Secured Non-Convertible Non Cumulative Taxable Bonds.Letter of Alloment. Series- 77. Date of Maturity 31/05/2021
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.86% Secured Taxable Non-convertible Redeemable Railway Bonds in the form of Promissory Notes, Series 55-N . Letter of Allotment. Date of Maturity
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.41% Secured Non-Convertible, Non-Cumulative, Taxable Bond. Letter of Allotment. Series- 78. Date of Maturity 28/07/2021
INDIAN RAILWAY FINANCE CORPORATION LIMITED
7.55% Secured Non Convertible Tax Free Non Cumulative Bond.Latter of Allotment. Series - 79 , Date of Maturity :08/11/2021
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.68% Secured Taxable Non-convertible Redeemable Railway Bonds in the form of Promissory Notes, Series 53-B. Letter of Allotment. Date of Maturity
INE053F07520
INE053F09GL7
INE053F09EN8
INE053F09FD6
INE053F09FI5
INE053F09FK1
INE053F09GM5
INE053F09FP0
INE053F09FS4
INE053F09FV8
INE053F09GN3
INE053F09GQ6
INE053F09GV6
INE053F09HM3
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.00% (for categories I & II and 0.15% additional interest for category III) Tax Free Non Cumulative Non Convertible Redeemable Bonds. Letter of
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.20% Secured Non Convertible Bonds in the form of Promissory Notes.Series :65th 'M' . Letter of Allotment. Date of Maturity: 27/04/2022
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.95% Secured Taxable Non-convertible Redeemable Railway Bonds in the form of Promissory Notes, Series 54-A . Letter of Allotment. Date of Maturity
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.86% Secured Taxable Non-convertible Redeemable Railway Bonds in the form of Promissory Notes, Series 55-O . Letter of Allotment. Date of Maturity
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.66% Secured Taxable Non-convertible Redeemable Railway Bonds in the form of Promissory Notes, Series 57. Letter of Allotment. Date of Maturity
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.20% Secured Non Convertible Bonds in the form of Promissory Notes.Series 58 A. Letter of Allotment. Date of Maturity: 29-10-2022
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.20% Secured Non Convertible Bonds in the form of Promissory Notes.Series :65th 'N' . Letter of Allotment. Date of Maturity: 27/04/2023
INDIAN RAILWAY FINANCE CORPORATION LIMITED
10.70% Secured Non Convertible Bonds in the form of Promissory Notes.Series 61-A. Letter of Allotment. Date of Maturity: 11/09/2023
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.50% Secured Non Convertible Bonds in the form of Promissory Notes.Series 62 ' B '. Letter of Allotment. Date of Maturity: 26/12/2023
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.65% Secured Non Convertible Bonds in the form of Promissory Notes.Series 63 'B'. Letter of Allotment. Date of Maturity: 15/01/2024
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.20% Secured Non Convertible Bonds in the form of Promissory Notes.Series :65th 'O' . Letter of Allotment. Date of Maturity: 27/04/2024
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.65% Secured Non Convertible Bonds in the form of Promissory Notes.Series :67th 'A'. Letter of Allotment. Date of Maturity: 03/02/2025
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.95% Secured Non Convertible Taxable Bonds in the form of Promissory Notes. 69th Series. Letter of Allotment. Date of Maturity: 10/03/2025
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.09% Secured,Taxable,Non-Cumulative,Non-Convertible Bond in the form of Promissory Note. Letter of Allotment. Series-74 Date of Maturity 29/03/2026
INE053F09HN1
INE053F09HP6
INE053F09HU6
INE053F09EL2
INE053F07538
INE053F09EO6
INE053F09GR4
INE053F09GX2
INE053F09GY0
INE053F09HQ4
INE053F09HD2
INE053F09GZ7
INE053F09HE0
INE053F09HA8
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.09% Secured Non-Convertible Non Cumulative Taxable Bonds.Letter of Alloment. Series- 75. Date of Maturity 31/03/2026.
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.33% Secured Non-Convertible Non Cumulative Taxable Bonds.Letter of Alloment. Series- 76-A. Date of Maturity 10/05/2026
INDIAN RAILWAY FINANCE CORPORATION LIMITED
7.77% Secured Non Convertible Tax Free Non Cumulative Bond.Latter of Allotment. Series - 79 A , Date of Maturity :08/11/2026
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.75% Secured Taxable Non-convertible Redeemable Railway Bonds in the form of Promissory Notes, Series 53-C. Letter of Allotment. Date of Maturity
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.10% (for categories I & II and 0.20% additional interest for category III) Tax Free Non Cumulative Non Convertible Redeemable Bonds Letter of
INDIAN RAILWAY FINANCE CORPORATION LIMITED
10.04% Secured Taxable Non-convertible Redeemable Railway Bonds in the form of Promissory Notes, Series 54-B . Letter of Allotment. Date of Maturity
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.80% Secured Non Convertible Bonds in the form of Promissory Notes.Series :67th 'B'. Letter of Allotment. Date of Maturity: 03/02/2030
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.79% Secured Non Convertible Taxable Bonds in the form of Promissory Notes. 70th 'AA' Series. Letter of Allotment. Date of Maturity: 04/05/2030
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.72% Secured Non Convertible Taxable Bonds in the form of Promissory Notes. 70th 'A' Series. Letter of Allotment. Date of Maturity: 04/05/2031
INDIAN RAILWAY FINANCE CORPORATION LIMITED
9.47% Secured Non-Convertible Non Cumulative Taxable Bonds.Letter of Alloment. Series- 76-B. Date of Maturity 10/05/2031
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.83% Secured Non Convertible Taxable Bonds in the form of Promissory Notes. 71st 'A' Series. Letter of Allotment. Date of Maturity: 14/05/2031
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.72% Secured Non Convertible Taxable Bonds in the form of Promissory Notes. 70th 'B' Series. Letter of Allotment. Date of Maturity: 04/05/2032
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.83% Secured Non Convertible Taxable Bonds in the form of Promissory Notes. 71st 'B' Series. Letter of Allotment. Date of Maturity: 14/05/2032
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.72% Secured Non Convertible Taxable Bonds in the form of Promissory Notes. 70th 'C' Series. Letter of Allotment. Date of Maturity: 04/05/2033
INE053F09HF7
INE053F09HB6
INE053F09HG5
INE053F09HC4
INE053F09HH3
INE202E07013
INE202E07021
INE202E07039
INE202E07047
INE202E07054
INE202E07070
INE202E07062
INE569N08014
INE896L07033
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.83% Secured Non Convertible Taxable Bonds in the form of Promissory Notes. 71st 'C' Series. Letter of Allotment. Date of Maturity: 14/05/2033
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.72% Secured Non Convertible Taxable Bonds in the form of Promissory Notes. 70th 'D' Series. Letter of Allotment. Date of Maturity: 04/05/2034
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.83% Secured Non Convertible Taxable Bonds in the form of Promissory Notes. 71st 'D' Series. Letter of Allotment. Date of Maturity: 14/05/2034
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.72% Secured Non Convertible Taxable Bonds in the form of Promissory Notes. 70th 'E' Series. Letter of Allotment. Date of Maturity: 04/05/2035
INDIAN RAILWAY FINANCE CORPORATION LIMITED
8.83% Secured Non Convertible Taxable Bonds in the form of Promissory Notes. 71st 'E' Series. Letter of Allotment. Date of Maturity: 14/05/2035
INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED
6.00% Secured Tax Free Bonds (Series X) in the nature of Debentures. Date of Maturity -17/01/2013
INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED
5.50% Secured Tax Free Bonds (Series XI) in the nature of Debentures.
INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED
9.60% Secured Non Convertible Bonds in the nature of Debentures. (Series I) Date of Maturity : 24/02/2019
INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED
8.85% Secured Non Convertible Taxable Bonds (Series II) in the nature of Debentures.Date of Maturity : 14/01/2020
INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED
8.87% Secured Non-Convertible Taxable Bond in the nature of Debenture. Series -III Sub Series A. Date of Maturity 24/09/2020
INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED
9.49% SECURED NON-CONVERTIBLE TAXABLE BOND IN THE NATURE OF DEBENTURE. SERIES - IV. DATE OF MATURITY 04/06/2022
INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITED
9.02% Secured Non-Convertible Taxable Bond in the nature of Debenture. Series - III Sub Series B. Date of Maturity 24/09/2025
INDIGOLD TRADE AND SERVICES LIMITED
Zero Coupon Unsecured Redeemable Non Convertible Debenture. Letter of Allotment. Date of Maturity 25/07/2013
INDOSTAR CAPITAL FINANCE PRIVATE LIMITED
11.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. LETTER OF ALLOTMENT. DATE OF MATURITY 16.02.2015
INE896L07041
INE896L07017
INE896L07025
INE915B07016
INDUSIND BANK LIMITED INE095A09148
INDUSIND BANK LIMITED INE095A09049
INDUSIND BANK LIMITED INE095A09064
INDUSIND BANK LIMITED INE095A09155
INDUSIND BANK LIMITED INE095A09080
INDUSIND BANK LIMITED INE095A09163
INDUSIND BANK LIMITED INE095A09098
INDUSIND BANK LIMITED INE095A09106
INDUSIND BANK LIMITED INE095A09114
INDUSIND BANK LIMITED INE095A09122
INDOSTAR CAPITAL FINANCE PRIVATE LIMITED
11.85% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURE. LETTER OF ALLOTMENT. DATE OF MATURITY 12/03/2015
INDOSTAR CAPITAL FINANCE PRIVATE LIMITED
12.25% Secured Redeemable non Convertible Debentures. Letter of Allotment. Series A. Date of Maturity: 23.05.2016
INDOSTAR CAPITAL FINANCE PRIVATE LIMITED
12.25% Secured Redeemable non Convertible Debentures. Letter of Allotment. Series B. Date of Maturity: 23.05.2016
IND-SWIFT LABORATORIES LIMITED
14.00% Secured Non Convertible Debenture. Date of Maturity : 20/05/2013
10.35% Unsecured Redeemable Non convertible Subordinated Tier II Bonds in form of Promissory notes. Letter of allotment. Date of Maturity: 29/04/2013
7.00% Unsecured Redeemable Subordinated Bonds in the form of Promissory Notes. Option II. Letter of Allotment.
8.50% Unsecured Non convertible redeemable subordinated bonds in form of Promissory note . Option II . Letter of allotment. Date of Maturity: 30.06.2014
10.50% Unsecured Non convertible redeemable subordinated Lower Tier II bonds in form of Promissory note . Letter of allotment. Date of Maturity:
8.40% Unsecured Redeemable Non convertible Subordinated Bonds in form of Promissory notes. Letter of allotment. Date of Maturity: 30/05/2015
9.50% Unsecured Non convertible redeemable subordinated Tier II bonds in form of Promissory note . Letter of allotment. Date of Maturity: 30.06.2015
(9.60% For first 10yr & 10 % from 11yrs to Redemption ) Unsecured Redeemable Non convertible Subordinated Bonds upper Tier II Bonds in form of Promissory
200bps over 10yrs G-sec (INBMK) Unsecured Redeemable Non convertible Subordinated Bonds upper Tier II Bonds in form of Promissory notes. Letter of
10.25% Unsecured Redeemable Non convertible Subordinated Bonds upper Tier II Bonds in form of Promissory notes. Letter of allotment. Date of Maturity:
9.75% Unsecured Redeemable Non convertible Subordinated upper Tier II Bonds in form of Promissory notes. Letter of allotment. Date of Maturity:
INE008A08ZR1
INE008A08HC1
INE008A08HH0
INE008A08MM0
INE008A08MQ1
INE008A08MR9
INE008A08MS7
INE008A09646
INE008A09653
INE008A08LL4
INE008A08LR1
INE008A08MH0
INE008A09752
INE008A09760
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.52 % Unsecured non convertible bond. Omni Series 2005C . Date of Maturity: 31.01.2013
INDUSTRIAL DEVELOPMENT BANK OF INDIA
8.50% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-FEB05-10) Date of Maturity:05/02/2013
INDUSTRIAL DEVELOPMENT BANK OF INDIA
8.00% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-FEB10-10) Date of Maturity:10/02/2013
INDUSTRIAL DEVELOPMENT BANK OF INDIA
9.01% Omni Bonds -2003/A Retirement Bonds Option-B.
INDUSTRIAL DEVELOPMENT BANK OF INDIA
9.00% Omni Bonds -2003/A Regular Income Bonds Option-D
INDUSTRIAL DEVELOPMENT BANK OF INDIA
8.65% Omni Bonds -2003/A Regular Income Bonds Option-E
INDUSTRIAL DEVELOPMENT BANK OF INDIA
8.50% Omni Bonds -2003/A Regular Income Bonds Option-F.
INDUSTRIAL DEVELOPMENT BANK OF INDIA
8.00% Flexibond-17 -Unsecured Regular Income Bonds - Option C - issued in the form of Promissory Notes.
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.70% Flexibond-17 -Unsecured Regular Income Bonds - Option D - issued in the form of Promissory Notes.
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.50% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-MAR05-10)
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.50% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-MAR31-10)
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.75% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-MAR31 (R) -10)
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.60% Flexibond-18 -Unsecured Regular Income Bonds - Option C - issued in the form of Promissory Notes.
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.35% Flexibond-18 -Unsecured Regular Income Bonds - Option D - issued in the form of Promissory Notes.
INE008A08NC9
INE008A08NI6
INE008A08OK0
INE008A08OQ7
INE008A08PZ5
INE008A08RG1
INE008A08PL5
INE008A08TW4
INE008A08PT8
INE008A08QA6
INE008A08QH1
INE008A08QW0
INE008A08QS8
INE008A08RP2
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.75% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-MAY05-10) .
INDUSTRIAL DEVELOPMENT BANK OF INDIA
8.00% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-JUNE05-10) .
INDUSTRIAL DEVELOPMENT BANK OF INDIA
8.00% Unsecured Omni Bonds Series-1-July-07-10.
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.50% Unsecured Omni Bonds Series-1-July-09-10.
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.50% Unsecured Bonds. (IDBI OMNI Bonds Series-1)
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.50% Unsecured Non Convertible Omni Bonds 2003/C- RRB III- Regular Return Bonds
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.25% Unsecured Bonds. (IDBI OMNI Bonds Series-1-AUG05-10 ).
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.5% Unsecured Bonds.( IDBI Omni Bonds Series I).
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.40% Unsecured Bonds. (IDBI OMNI Bonds Series-1-AUG18-10 ).
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.00% Unsecured Bonds. (IDBI OMNI Bonds Series-1)
INDUSTRIAL DEVELOPMENT BANK OF INDIA
6.75% Unsecured Bonds.( IDBI Omni Bonds Series I-SEPT04-10)
INDUSTRIAL DEVELOPMENT BANK OF INDIA
6.90% Unsecured Bonds (IDBI OMNI Bonds Series-I)
INDUSTRIAL DEVELOPMENT BANK OF INDIA
6.50% Unsecured Bonds (IDBI OMNI Bonds Series-I-SEP22-10).
INDUSTRIAL DEVELOPMENT BANK OF INDIA
6.90% Unsecured Bonds (IDBI OMNI Bonds Series-I)
INE008A08RO5
INE008A08RR8
INE008A08SH7
INE008A08SM7
INE008A08TH5
INE008A08GU5
INE008A09869
INE008A09877
INE008A09968
INE008A08UF7
INE008A09992
INE008A09AA8
INE008A09AL5
INE008A09AN1
INDUSTRIAL DEVELOPMENT BANK OF INDIA
6.50% Unsecured Bonds (IDBI OMNI Bonds Series-I-OCT09-10).
INDUSTRIAL DEVELOPMENT BANK OF INDIA
6.50% Unsecured Bonds (IDBI OMNI Bonds Series-I OCT20-10)
INDUSTRIAL DEVELOPMENT BANK OF INDIA
6.40% Unsecured Bonds (IDBI OMNI Bonds Series-I NOV03-10)
INDUSTRIAL DEVELOPMENT BANK OF INDIA
6.50% Unsecured Bonds (IDBI OMNI Bonds Series-I NOV05-10)
INDUSTRIAL DEVELOPMENT BANK OF INDIA
6.40% Unsecured Bonds.( IDBI Omni Bonds Series I DEC 05-10).
INDUSTRIAL DEVELOPMENT BANK OF INDIA
9.00% Unsecured Bonds.( IDBI Omni Bonds Sr.I-2003-JAN06-10) Date of Maturity:06/12/2013
INDUSTRIAL DEVELOPMENT BANK OF INDIA
6.50% Flexibond-19 -Unsecured Regular Income Bonds - Option C - issued in the form of Promissory Notes.
INDUSTRIAL DEVELOPMENT BANK OF INDIA
6.25% Flexibond-19 -Unsecured Regular Income Bonds - Option D - issued in the form of Promissory Notes.
INDUSTRIAL DEVELOPMENT BANK OF INDIA
Flexibonds-19 Unsecured Retirement Bonds.Option-B(issued in the form of Promissory Notes.
INDUSTRIAL DEVELOPMENT BANK OF INDIA
6.30% Unsecured Non Convertible Omni Bonds 2003/F & 2004/A-Regular Return Bonds.
INDUSTRIAL DEVELOPMENT BANK OF INDIA
6.20% Unsecured Regular Income Bonds - Option C - issued in the form of Promissory Notes.
INDUSTRIAL DEVELOPMENT BANK OF INDIA
6.00% Unsecured Regular Income Bonds - Option D - issued in the form of Promissory Notes.
INDUSTRIAL DEVELOPMENT BANK OF INDIA
6.20% Unsecured Regular Income Bonds - Option C - issued in the form of Promissory Notes.
INDUSTRIAL DEVELOPMENT BANK OF INDIA
Flexibonds-21 Unsecured Retirement Bonds.Option-B issued in the form of Promissory Notes
INE008A08YS2
INE008A08ZI0
INE008A09901
INE008A08ZM2
INE008A09AW2
INE008A09AX0
INE008A09AY8
INE008A09BC2
INE008A09BD0
INE008A08A70
INE008A08B04
INE008A08B87
INE008A08A54
INE008A09AC4
INDUSTRIAL DEVELOPMENT BANK OF INDIA
12.35% Unsecured Bonds.( IDBI Omni Bonds 2004 J RRB-II)
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.25 % Unsecured IDBI Omni Bonds 2004S. RRB-II .Date of Maturity: 04.01.2015.
INDUSTRIAL DEVELOPMENT BANK OF INDIA
Flexibond-19 -Unsecured Money Multiplier Bonds - Option B - issued in the form of Promissory Notes.
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.25% Unsecured OMNI Bonds 2005 A. Series RRB II. Date of Maturity; 24.01.2015
INDUSTRIAL DEVELOPMENT BANK OF INDIA
Flexibonds-22 Issue (Series 2005 A). Regular Income Bond Option D, (Issued in the form of promissory Notes). Date of Maturity 25/02/2015
INDUSTRIAL DEVELOPMENT BANK OF INDIA
Flexibonds-22 Issue (Series 2005 A). Regular Income Bond Option E, (Issued in the form of promissory Notes). Date of Maturity 25/02/2015
INDUSTRIAL DEVELOPMENT BANK OF INDIA
Flexibonds-22 Issue (Series 2005 A). Regular Income Bond Option F, (Issued in the form of promissory Notes). Date of Maturity 25/02/2015
INDUSTRIAL DEVELOPMENT BANK OF INDIA
Flexibonds-22 Issue (Series 2005 A). Retirement Bond Option C, (Issued in the form of promissory Notes). Date of Maturity 25/02/2015
INDUSTRIAL DEVELOPMENT BANK OF INDIA
Flexibonds-22 Issue (Series 2005 A). Retirement Bond Option D, (Issued in the form of promissory Notes). Date of Maturity 25/02/2015
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.25% Unsecured OMNI Bonds Tier II (2005 SR-II) RRB- II. Date of Maturity: 31.03.2015
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.25% Unseucred IDBI Omni Bonds Tier II (2005 SR V). Date of Maturity: 08.04.2015
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.50 % Unsecured IDBI Omni Bond Tier -II . Series VII. Date of maturity: 08.06.2015
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.15 % Unsecured OMNI bonds Tier-2 (2005 SR-I ) Date of maturity: 30.06.2015
INDUSTRIAL DEVELOPMENT BANK OF INDIA
Unsecured Money Multiplier Bonds - Option B - issued in the form of Promissory Notes.
INE008A08UG5
INE008A08PO9
INE008A08PM3
INE008A08PU6
INE008A09885
INE008A08UA8
INE008A09AM3
INE008A08333
INE008A08267
INE008A08H73
INE008A08I15
INE008A08I64
INE008A08I72
INE008A08O66
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.05% Unsecured Redeemable Non-Convertible Bonds.( IDBI SLR Bonds, 2018 (Series 48A).
INDUSTRIAL DEVELOPMENT BANK OF INDIA
8.00% Unsecured Bonds. (IDBI OMNI Bonds Series-1-AUG01-15 ).
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.75% Unsecured Bonds. (IDBI OMNI Bonds Series-1-AUG05-15 ).
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.75% Unsecured Bonds. (IDBI OMNI Bonds Series-1-AUG18-15 ).
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.00% Flexibond-19 -Unsecured Regular Income Bonds - Option E - issued in the form of Promissory Notes.
INDUSTRIAL DEVELOPMENT BANK OF INDIA
7.00% Unsecured Non Convertible Omni Bonds 2003/G .
INDUSTRIAL DEVELOPMENT BANK OF INDIA
6.75% Unsecured Regular Income Bonds - Option D - issued in the form of Promissory Notes.
Industrial Development Bank Of India (IDBI)
IDBI Retirement Bond - Flexibond 6 (Option C - wait period of 5 years)
Industrial Development Bank Of India (IDBI)
IDBI Retirement Bond Flexi – 7(wait period of 5 years – Option C)
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
7.81% IDBI Omni Bond-2006/C Date of Maturity 19/01/2013
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
8.02 % Unsecured Non Convertible IDBI Omni bonds 2006/F. Date of Maturity: 03/02/2013
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
8.03% Unsecured IDBI Omni Bond Series 2006-H. Date of Maturity 11/02/2013
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
7.96% Unsecured IDBI Omni Bond Series 2006-I. Date of Maturity 11/02/2013
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
9.45% Unsecured Non Convertible OMNI bonds PP-2008 Sr.- III. Date of maturity: 01.03.2013
INE008A08I98
INE008A08I49
INE008A08J89
INE008A08J97
INE008A08E68
INE008A08K52
INE008A08K37
INE008A08K86
INE008A08L28
INE008A08L36
INE008A08L51
INE008A08L69
INE008A08L77
INE008A08L93
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
8.29 % Unsecured Non Convertible IDBI Omni bonds Series 2006 K. Date of Maturity: 04/03/2013
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
7.80 % Unsecured Non Convertible IDBI Omni bonds 2006/G (RRB II). Date of Maturity: 08/03/2013
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
8.25% Unsecured IDBI Omni bond-2006/N Regular Return Bond-II. Date of Maturity: 27/03/2013
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
8.47 % Unsecured OMNI bonds 2006-07 Series 1. Date of maturity: 05.04.2013
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
7.30% Unsecured IDBI OMNI Bond - Tier- II -2005 . Series -IX RRB II. Date of maturity: 27.04.2013
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
8.43 % Unsecured OMNI bonds- 2006/Series II. Date of maturity: 04.05.2013
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
8.35 % Unsecured OMNI bonds- 2006/Series III (RRB- II). Date of maturity: 26.05.2013
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
8.48 % Unsecured OMNI bonds- 2006/Series VI. Date of maturity: 31.05.2013
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
9.11 % Unsecured Omni Bond -2006 Series - VII. Date of maturity: 28.07.2013
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
9.11 % Unsecured Omni Bond -2006 Series - VIII. Date of maturity: 29.07.2013
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
8.85 % Unsecured Omni Bond -2006 Series - IX. Date of maturity: 10.08.2013
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
8.83 % Unsecured Omni Bond -2006 Series - X. Date of maturity: 16.08.2013
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
8.70 % Unsecured Omni Bond -2006 Series - XI. Date of maturity: 30.08.2013
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
8.67% Unsecured OMNI bonds- 2006/Series XIII.Date of maturity: 10/09/2013
INE008A08N00
INE008A08N42
INE008A08N75
INE008A08C52
INE008A08G33
INE008A08G74
INE008A08J30
INE008A08H81
INE008A08I07
INE008A08I80
INE008A08I56
INE008A08E76
INE008A08K45
INE008A08L85
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
10.09% Unsecured Non Convertible Omni Bond 2007 Tier -II . Series III. Date of maturity: 06.07.2014
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
9.59% Unsecured Non Convertible OMNI bond -2007 Series V (Tier - II ) . Date of maturity: 10.08.2014
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
9.79% Unsecured Non Convertible OMNI bonds Tier II 2007/Sr.- VIII. Date of maturity: 29.09.2014
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
7.45 % Unsecured non convertible IDBI OMNI Bond Tier II-2005. series VIII- RRB II. Date of maturity: 20.07.2015
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
7.60% Unsecured Non Convertible IDBI Omni Bonds Series 2005-Y. Date of Maturity: 16.12.2015
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
7.70% Unsecured IDBI Omni bond-2006/A Regular Return Bond-II. Date of Maturity: 23/01/2016
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
8.75 % Unsecured non convertible Omni bond. Series 2006/P . Date of Maturity: 29.01.2016
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
7.80% IDBI Omni Bond-2006/D Date of Maturity 30/01/2016
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
7.83% Unsecured Non Convertible IDBI Omni bonds. Series 2006/E. Date of Maturity: 02/02/2016
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
8.16 % Unsecured OMNI bonds Series 2006 J. Date of maturity: 23.02.2016
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
8.00 % Unsecured Non Convertible IDBI Omni bonds 2006/G (RRB-III). Date of Maturity: 08/03/2016
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
7.45% Unsecured IDBI OMNI Bond - Tier- II -2005 . Series -IX RRB III Date of maturity: 27.04.2016
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
8.55 % Unsecured OMNI bonds- 2006/Series III (RRB- III). Date of maturity: 26.05.2016
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
8.95% Unsecured OMNI bonds- 2006/Series XII (Tier II) . Date of maturity: 21/09/2016
INE008A08M19
INE008A08M27
INE008A08M35
INE008A08M43
INE008A08N18
INE008A08O33
INE008A08O58
INE008A08N67
INE237F08DV4
INE237F08EJ7
INE237F08FQ9 8.20% Unsecured Bond.
INE237F08DE0
INE237F08EQ2
INE237F08329
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
8.85 % Unsecured Non Convertible OMNI bonds-2006 Sr. XV ( Tier- II). Date of maturity: 16.11.2016
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
8.85 % Unsecured Non Convertible OMNI bonds 2006 Series XVI (Tier -II). Date of maturity: 20.12.2016
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
8.95 % Unsecured Non Convertible OMNI bonds 2006/Sr XVII. Tier-II. Date of maturity: 22/12/2016
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
8.90 % Unsecured Non Convertible OMNI bonds-2007 Tier-II Series- I. Date of maturity: 05/02/2017
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
10.10% Unsecured Non Convertible OMNI bonds 2007 Series IV (Tier II) . Date of maturity: 07.05.2017
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
9.35% Unsecured Non Convertible OMNI bond Tier II-2008 Series I. Date of maturity: 01.01.2018
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
9.41% Unsecured Non Convertible OMNI bonds PP-2008 Sr.- II. Date of maturity: 16.02.2018
INDUSTRIAL DEVELOPMENT BANK OF INDIA LIMITED
10.07% Unsecured Non Convertible OMNI bond PP - 2007 / Sr.VII. Date of maturity: 23.09.2022.
INDUSTRIAL INVESTMENT BANK OF INDIA
10.20% Unsecured Non-Convertible Bonds (IIBI USB April 2002). Date of Maturity : 01/05/2014
INDUSTRIAL INVESTMENT BANK OF INDIA LIMITED
8.75% Unsecured Bonds USB 2003
INDUSTRIAL INVESTMENT BANK OF INDIA LIMITED
INDUSTRIAL INVESTMENT BANK OF INDIA LIMITED
10.40% Unsecured Non-Convertible Bonds (IIBI USB August 2002) Letter of Allotment. Date of Maturity 01/09/2014
INDUSTRIAL INVESTMENT BANK OF INDIA LIMITED
8.70% Unsecured Non Convertible Bonds(IIBI USB May 2003).
Industrial Investment Bank of India Limited
11.50% Unsecured Non Convertible Bonds (Tier II)(IIBI USB FEB. 2001), Date of Maturity: 01-Mar-16.
INE237F08527
INE237F08550
INE237F11026
INFINITI RETAIL LIMITED INE295N07018
INFINITI RETAIL LIMITED INE295N07026
INE877G08015
INE877G08023
INE184L08016
INE110L08011
INE110L08029
INE043D08CH2
INE043D07104
INE043D08CW1
INE043D08821
Industrial Investment Bank of India Limited
10.75% Unsecured Non-Convertible Bonds (IIBI/USB/Nov., 2001)Tier II. Dt. of Maturity 01/12/2016
Industrial Investment Bank of India Limited
10.75% Unsecured Non-Convertible Bonds (IIBI/USB/ Dec., 2001) Dt. of Maturity 01/01/2017 Tier II
INDUSTRIAL INVESTMENT BANK OF INDIA LIMITED
Unsecured Deep Discount Bonds, Series August 2003 (II).
Secured Non Convertible Debenture.Letter of allotment Date of Maturity: 21/03/2015
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 29/03/2015
INFORMATION TECHNOLOGY PARK LIMITED
11% Unsecured Compulsorily Convertible Debentures. Date of Maturity-14/05/2026
INFORMATION TECHNOLOGY PARK LIMITED
11% Unsecured Fully & Compulsorily Convertible Debentures. Date of Maturity-27/10/2026
INFOTECH MOBILINK PRIVATE LIMITED
Zero Coupon Unsecured Compulsorily convertible Debenture.Letter of Allotment.Date of Conversion: 28/07/2014
INFOTEL BROADBAND SERVICES LIMITED
8.95% Unsecured Non-Convertible Debenture. Letter of Allotment. PPD 1. Date of Maturity 15/09/2020
INFOTEL BROADBAND SERVICES LIMITED
8.95% Unsecured Non-Convertible Debenture. Letter of Allotment. PPD 2. Date of Maturity 04/10/2020
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
6.60% Unsecured Redeemable Non Convertible Debenture. IDFC PP 37/2010 .Date of Maturity : 03/01/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
7.21% Secured Redeemable Non Convertible Debenture. Letter of allotment. IDFC PP 51/2010 .Option I .Date of Maturity : 03/01/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.00% Unsecured Redeemable Non Convertible Debenture. Letter of allotment. IDFC PP 50/2010 .Date of Maturity : 03/01/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.95% Unsecured Non Convertible Debentures. Letter of Allotment.Series PP 31/2008 Option II. Date of Maturity: 07/01/2013
INE043D07930
INE043D08854
INE043D08904
INE043D08DD9
INE043D07567
INE043D08987
INE043D08AA1
INE043D07AR7
INE043D07BF0
INE043D07955
INE043D07625
INE043D07AS5
INE043D08AD5
INE043D07914
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.5850% Secured Non-Convertible Debenture. Letter of Allotment. Series- 24/2012, Option- I. Date of Maturity 30/01/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.05% Unsecured Non Convertible Debentures. Letter of Allotment.Series PP 34/2008 Option - I. Date of Maturity: 08/02/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.15% Unsecured Non Convertible Debentures. Letter of Allotment.Series PP 37/2008. Date of Maturity: 21/02/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
Zero Coupon Unsecured Redeemable Non Convertible Debenture. Letter of allotment. IDFC PP 06/2011 Date of Maturity : 08/04/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.55% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 01/2012- Option I. Date of Maturity 12/04/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.48% Unsecured Non Convertible Debentures. Letter of Allotment.Series PP 05/2009 . Date of Maturity: 13/05/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.38% Unsecured Non Convertible Debentures. Letter of Allotment.Series PP 06/2009 Option II . Date of Maturity: 03/06/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.9075% Secured Non-Convertible Debenture. Letter of Allotment. PP 03/2013- Option II. Date of Maturity 14/06/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
ZERO COUPON SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . IDFC PP 09/2013. OPTION-III .LETTER OF ALLOTMENT. DATE OF MATURITY
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 24/2012, Option- III. Date of Maturity 24/06/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.70% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 06/2012, option I. Date of Maturity 26/06/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
0.00% Secured Non-Convertible Debenture. Letter of Allotment. PP 03/2013- Option III. Date of Maturity 26/06/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
10.75% Unsecured Non Convertible Debentures. Letter of Allotment.Series PP 08/2009 Option-II. Date of Maturity: 09/07/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.45% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 23/2012. Date of Maturity 10/07/2013
INE043D07922
INE043D07658
INE043D07617
INE043D07666
INE043D07997
INE043D07AG0
INE043D07AX5
INE043D07989
INE043D07179
INE043D07211
INE043D08DL2
INE043D07849
INE043D07856
INE043D08AJ2
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.4435% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 25/2012. Date of Maturity 12/07/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.50% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 22/07/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.84% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 05/2012.Date of Maturity 24/07/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.50% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 08/2012. Date of Maturity 26/07/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.5920% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 28/2012, Option- II. Date of Maturity 10/08/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.60% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 33/2012. Date of Maturity 23/08/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.83% SECURED, REDEEMABLE, NON CONVERTIBLE DEBENTURES, IDFC PP 05/2013 OPTION III . LETTER OF ALLOTMENT. DATE OF MATURITY 23/08/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 28/2012, Option- I. Date of Maturity 30/08/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.40% Secured Non-Convertible Debenture.Letter of Allotment . Series - PP19/2011. Date of Maturity 15/09/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.48% Secured Non-Convertible Debenture. Letter of Allotment. Series - PP 23/2011. Date of Maturity 28/09/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
7.50% Unsecured Redeemable Non Convertible Debenture. Letter of allotment. IDFC PP 13/2011 Option - I Date of Maturity : 10/06/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.48% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 20/2012 Option I. Date of Maturity 11/10/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.48% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 20/2012 Option II. Date of Maturity 14/10/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
11.66% Unsecured Redeemable Non Convertible Debentures. Series PP 14/2009. Letter of allotment. Date of Maturity: 31/10/2013
INE043D07815
INE043D08BI2
INE043D07880
INE043D08AM6
INE043D07BB9
INE043D07BA1
INE043D07898
INE043D08AN4
INE043D07831
INE043D07609
INE043D07AA3
INE043D07AC9
INE043D07963
INE043D07AD7
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.72% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 17/2012- Option I. Date of Maturity 05/11/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
6.00% Unsecured Non- Convertible Debenture. IDFC PP 16/2010 .Date of Maturity: 11/11/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.75% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 19/2012 Option I. Date of Maturity 13/11/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
11.40% Unsecured Redeemable Non Convertible Debentures. Series PP 16/2009. Letter of allotment. Date of Maturity: 02/12/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.82% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . SERIES IDFC PP 06/2013 - OPTION IV. LETTER OF ALLOTMENT. DATE OF MATURITY
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.825% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . SERIES IDFC PP 06/2013 - OPTION III. LETTER OF ALLOTMENT. DATE OF MATURITY
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.75% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 19/2012 Option II. Date of Maturity 13/12/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
10.00% Unsecured Redeemable Non Convertible Debentures. Series PP 17/2009. Letter of allotment. Date of Maturity: 16/12/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.65% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 18/2012. Date of Maturity 07/01/2014
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.95% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 04/2012. Date of Maturity 14/01/2014
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.65% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 31/2012, Date of Maturity 21/01/2014
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 32/2012, Date of Maturity 22/01/2014
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.4437% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 26/2012 Date of Maturity 23/01/2014
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.65% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 29/2012. Date of Maturity 17/02/2014
INE043D07AB1
INE043D07575
INE043D08DF4
INE043D07BG8
INE043D08DN8
INE043D07BJ2
INE043D07BO2
INE043D07BM6
INE043D07BV7
INE043D07971
INE043D08201
INE043D07BK0
INE043D08DG2
INE043D07BI4
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.65% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 30/2012, Date of Maturity 21/02/2014
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.50% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 01/2012- Option II. Date of Maturity 11/04/2014
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
7.95% Unsecured Redeemable Non Convertible Debenture. Letter of allotment. IDFC PP 07/2011 - Option II Date of Maturity : 04/05/2014
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.71% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . IDFC PP 09/2013. OPTION-I .LETTER OF ALLOTMENT. DATE OF MATURITY 18/06/2014
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.02% Unsecured Redeemable Non Convertible Debenture. Letter of allotment. IDFC PP 14/2011 Date of Maturity : 28/06/2014
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . IDFC PP 11/2013. OPTION-I. LETTER OF ALLOTMENT. DATE OF MATURITY 09/07/2014
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.75% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES PP 12/2013 OPTION I. LETTER OF ALLOTMENT. DATE OF MATURITY 11/07/2014.
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.64% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . IDFC PP 13/2013. LETTER OF ALLOTMENT. DATE OF MATURITY 12/10/2014
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.36% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP 17/2013. LETTER OF ALLOTMENT. DATE OF MATURITY 30/01/2015
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.65% Secured Non-Convertible Debenture. Letter of Allotment. PP 27/2012. Date of Maturity 07/02/2015
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
7.25% Unsecured non converible bonds in nature of debenture. Series PP 6/2005. Letter of Allotment. Date of maturity: 23.03.2015
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.57% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . IDFC PP 11/2013. OPTION-II. LETTER OF ALLOTMENT. DATE OF MATURITY
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.15% Unsecured Redeemable Non Convertible Debenture. Letter of allotment. IDFC PP 08/2011 Date of Maturity : 10/05/2015
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.5% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. IDFC PP 10/2013. LETTER OF ALLOTMENT. DATE OF MATURITY 29/06/2015
INE043D07BL8
INE043D07BN4
INE043D07BQ7
INE043D07BS3
INE043D07BU9
INE043D07BX3
INE043D07AW7
INE043D08BP7
INE043D08BV5
INE043D08CB5
INE043D08227
INE043D08CC3
INE043D08BW3
INE043D08CD1
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.57% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . IDFC PP 11/2013. OPTION-III. LETTER OF ALLOTMENT. DATE OF MATURITY
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.57% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . PP 12/2013 OPTION II. LETTER OF ALLOTMENT. DATE OF MATURITY
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.52% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES PP 15/2013. LETTER OF ALLOTMENT. DATE OF MATURITY 17/07/2015.
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.45% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES PP 14/2013 OPTION I. LETTER OF ALLOTMENT. DATE OF MATURITY 17/07/2015.
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.8% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. PP 16/2013. LETTER OF ALLOTMENT. DATE OF MATURITY 24/07/2015
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
ZERO RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP 18/2013 OPTION I. LETTER OF ALLOTMENT. DATE OF MATURITY 29/07/2015
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.83% SECURED, REDEEMABLE, NON CONVERTIBLE DEBENTURES, IDFC PP 05/2013 OPTION II . LETTER OF ALLOTMENT. DATE OF MATURITY 23/08/2015
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
7.50% Unsecured Non convertible debentures . IDFC PP 22/2010 . Letter of allotment. Date of Maturity: 28/09/2015.
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
7.50% Unsecured Non convertible debentures . IDFC PP 27/2010 Option I. Letter of allotment. Date of Maturity: 28/09/2015.
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
7.85% Unsecured Non convertible debentures . IDFC PP 31/2010 Option I. Date of Maturity: 28/09/2015
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
7.45 % Unsecured Redeemable Non Convertible debentures. Letter of allotment. Series PP-2/2006. Date of Maturity: 10/10/2015
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
7.95% Unsecured Non convertible debentures . IDFC PP 31/2010 Option II. Date of Maturity: 21/11/2015
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
7.60% Unsecured Non convertible debentures . IDFC PP 27/2010 Option II. Letter of allotment. Date of Maturity: 30/11/2015.
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
7.60% Unsecured Non convertible debentures . IDFC PP 32/2010. Letter of allotment. Date of Maturity: 30/11/2015.
INE043D08CF6
INE043D08CI0
INE043D07112
INE043D08BR3
INE043D07096
INE043D08276
INE043D07BP9
INE043D07BT1
INE043D07708
INE043D07732
INE043D07948
INE043D07716
INE043D07864
INE043D08433
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
7.71% Unsecured Non convertible debentures . IDFC PP 34/2010 . Date of Maturity: 30/11/2015.
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
7.60% Unsecured Non convertible debentures . IDFC PP 36/2010. Date of Maturity: 30/11/2015.
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
7.90% Secured Redeemable Non Convertible Debenture. Letter of allotment. IDFC PP 51/2010 .Option II .Date of Maturity : 30/11/2015
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
7.65% Unsecured Non convertible debentures . IDFC PP 24/2010 . Letter of allotment. Date of Maturity: 08/12/2015.
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
7.50% Secured Redeemable Non Convertible Debentures. IDFC PP/6 2006. Letter of allotment. Date of Maturity: 09/12/2015
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.20% Unsecured Non Convertible Debentures. Series PP 9/2006. Letter of allotment. Date of Maturity: 10/03/2016
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.54% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES PP 12/2013 OPTION III. LETTER OF ALLOTMENT. DATE OF MATURITY 11/07/2016.
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.45% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES PP 14/2013 OPTION II. LETTER OF ALLOTMENT. DATE OF MATURITY 17/07/2016.
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.15% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 11/2012. Date of Maturity 06/10/2016
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.1435% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 12/2012- option- III. Date of Maturity 14/11/2016
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.40% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 24/2012, Option- II. Date of Maturity 12/01/2017
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.1075% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 12/2012- option- I. Date of Maturity 14/01/2017
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.3420% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 21/2012 Option I. Date of Maturity 15/01/2017
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.28% Unsecured Non Convertible Debentures. Series PP 14/2007. Letter of allotment. Date of Maturity: 25/01/2017
INE043D07724
INE043D07872
INE043D07906
INE043D07AI6
INE043D07740
INE043D08573
INE043D07AJ4
INE043D07AH8
INE043D07AQ9
INE043D07AP1
INE043D07AO4
INE043D07BR5
INE043D07BW5
INE043D07AN6
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.10% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 12/2012- option- II. Date of Maturity 14/02/2017
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.3060% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 21/2012 Option II. Date of Maturity 14/03/2017
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.3555% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 22/2012. Date of Maturity 27/03/2017
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.9140% Secured Non-Convertible Debenture. Letter of Allotment. PP 35/2012- Option I. Date of Maturity 19/04/2017
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.0990% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 13/2012. Date of Maturity 03/05/2017
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
NSE Mibor + 150bps (Daily Compounding) Unsecured Redeemable Non Convertible Debentures. Series PP 6/2008. Letter of allotment. Date of
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.89% Secured Non-Convertible Debenture. Letter of Allotment. PP 35/2012- Option II. Date of Maturity 20/05/2017
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.90% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 34/2012. Date of Maturity 14/06/2017
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.8990% Secured Non-Convertible Debenture. Letter of Allotment. PP 03/2013- Option I. Date of Maturity 20/06/2017
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.876% Secured Non-Convertible Debenture. Letter of Allotment. PP 01/2013- Option I. Date of Maturity 16/07/2017
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.8815% Secured Non-Convertible Debenture. Letter of Allotment. PP 01/2013- Option II. Date of Maturity 16/07/2017
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.45% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES PP 14/2013 OPTION III. LETTER OF ALLOTMENT. DATE OF MATURITY 17/07/2017.
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
ZERO RATE SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES. SERIES PP 18/2013 OPTION II. LETTER OF ALLOTMENT. DATE OF MATURITY
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.8680% Secured Non-Convertible Debenture. Letter of Allotment. PP 01/2013- Option III. Date of Maturity 16/08/2017
INE043D07BH6
INE043D07AV9
INE043D07AM8
INE043D07AY3
INE043D07AZ0
INE043D08839
INE043D08847
INE043D08862
INE043D08BA9
INE043D08BD3
INE043D08BL6
INE043D08BZ6
INE043D08CG4
INE043D08CO8
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.72% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . IDFC PP 09/2013. OPTION-II .LETTER OF ALLOTMENT. DATE OF MATURITY
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.8265% SECURED, REDEEMABLE, NON CONVERTIBLE DEBENTURES, IDFC PP 05/2013 OPTION I . LETTER OF ALLOTMENT. DATE OF MATURITY
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.7710% Secured Non-Convertible Debenture. Letter of Allotment. PP 02/2013. Date of Maturity 16/10/2017
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.82% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . SERIES IDFC PP 06/2013 - OPTION I. LETTER OF ALLOTMENT. DATE OF MATURITY
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.825% SECURED REDEEMABLE NON CONVERTIBLE DEBENTURES . SERIES IDFC PP 06/2013 - OPTION II. LETTER OF ALLOTMENT. DATE OF MATURITY
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.95% Unsecured Non Convertible Debentures. Letter of Allotment.Series PP 32/2008 . Date of Maturity: 17/01/2018
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.95% Unsecured Non Convertible Debentures. Letter of Allotment.Series PP 33/2008 . Date of Maturity: 05/02/2018
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.10% Unsecured Non Convertible Debentures. Letter of Allotment.Series PP 34/2008 Option - II. Date of Maturity: 08/02/2018
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.05% Unsecured Non- Convertible Debenture Letter of Allotment IDFC PP 10/2010 Option I .Date of Maturity: 25/08/2019
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.95% Unsecured Non- Convertible Debenture Letter of Allotment IDFC PP 12/2010 .Date of Maturity: 04/09/2019
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.90% Unsecured Non- Convertible Debenture. IDFC PP 19/2010 Letter of Allotment..Date of Maturity: 29/09/2019
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.75% Unsecured Non convertible debentures . IDFC PP 29/2010. Letter of allotment. Date of Maturity: 17/11/2019.
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.75% Unsecured Non convertible debentures . Letter of Allotment. IDFC PP 35/2010 . Date of Maturity: 17/12/2019.
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.77% Unsecured Redeemable Non convertible debentures . Letter of Allotment. IDFC PP 43/2010. Date of Maturity: 09/02/2020
INE043D07336
INE043D08DJ6
INE043D07161
INE043D07187
INE043D07237
INE043D07252
INE043D07260
INE043D07278
INE043D07286
INE043D07781
INE043D07773
INE043D07AF2
INE043D07AE5
INE043D07AK2
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.89% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 30/2011. Date of Maturity 02/12/2020
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.65% Unsecured Redeemable Non Convertible Debenture. Letter of allotment. IDFC PP 11/2011 Date of Maturity : 24/05/2020
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.79% Secured Non-Convertible Debenture.Letter of Allotment . Series - PP20/2011. option- I. Date of Maturity 15/09/2020
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.77% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 21/2011. Option I. Date of Maturity 20/09/2020
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.72% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP/24/2011 option 1. Date of Maturity 29/09/2020
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.00% Long term Infrastructure Bonds in the nature of Secured Redeemable Non-Convertible Debenture (Having benefit under section 80 CCF of the Income Tax
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
Long term Infrastructure Bonds in the nature of Secured Redeemable Non-Convertible Debenture (Having benefit under section 80 CCF of the Income Tax
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
7.50% Long term Infrastructure Bonds in the nature of Secured Redeemable Non-Convertible Debenture (Having benefit under section 80 CCF of the Income Tax
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
Long term Infrastructure Bonds in the nature of Secured Redeemable Non-Convertible Debenture (Having benefit under section 80 CCF of the Income Tax
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
Long term infrastructure bonds in the nature of Secured Non-Convertible Debenture. Series- 2. Date of Maturity 30/12/2021
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9% long term infrastructure bonds in the nature of Secured Non-Convertible Debenture. Series- 1. Date of Maturity 30/12/2021
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
Long term infrastructure bonds in the nature of Secured Non-Convertible Debenture. Tranche 2 Series- 2. Date of Maturity 21/03/2022
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.70% Long term infrastructure bonds in the nature of Secured Non-Convertible Debenture. Tranche 2 Series- 1. Date of Maturity 21/03/2022
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.43% Long term infrastructure Bond in the nature of Secured Redeemable, Non-Convertible Debenture.Tranche 3 Series- 1. Date of Maturity 31/03/2022
INE043D07AL0
INE043D08BB7
INE043D08BC5
INE043D08BE1
INE043D08CJ8
INE043D08CK6
INE043D08CL4
INE043D08CZ4
INE043D08DA5
INE043D08DB3
INE043D08DC1
INE043D08DH0
INE043D08DK4
INE043D08DM0
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
Long term infrastructure Bond in the nature of Secured Redeemable, Non-Convertible Debenture.Tranche 3 Series- 2. Date of Maturity 31/03/2022
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.15% Unsecured Non- Convertible Debenture Letter of Allotment IDFC PP 10/2010 Option II .Date of Maturity: 25/08/2024
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.05% Unsecured Non- Convertible Debenture Letter of Allotment IDFC PP 11/2010 .Date of Maturity: 31/08/2024
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.00% Unsecured Non- Convertible Debenture Letter of Allotment IDFC PP 13/2010 .Date of Maturity: 15/09/2024
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.81% Unsecured Non convertible debentures . Letter of Allotment. IDFC PP 39/2010. Date of Maturity: 15/01/2025.
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.83% Unsecured Non convertible debentures . Letter of Allotment. IDFC PP 38/2010. Date of Maturity: 15/01/2025.
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.80% Unsecured Non convertible debentures . Letter of Allotment. IDFC PP 40/2010. Date of Maturity: 27/01/2025.
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.03% Unsecured Redeemable Non Convertible Debenture. Letter of allotment. IDFC PP 01/2011 Date of Maturity : 05/04/2025
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.96% Unsecured Redeemable Non Convertible Debenture. Letter of allotment. IDFC PP 02/2011 Date of Maturity : 05/04/2025
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.90% Unsecured Redeemable Non Convertible Debenture. Letter of allotment. IDFC PP 04/2011 Date of Maturity : 09/04/2025
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.90% Unsecured Redeemable Non Convertible Debenture. Letter of allotment. IDFC PP 05/2011 Date of Maturity : 28/04/2025
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.95% Unsecured Redeemable Non Convertible Debenture. Letter of allotment. IDFC PP 09/2011 Date of Maturity : 13/05/2025
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.84% Unsecured Redeemable Non Convertible Debenture. Letter of allotment. IDFC PP 12/2011 Date of Maturity : 28/05/2025
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.80% Unsecured Redeemable Non Convertible Debenture. Letter of allotment. IDFC PP 13/2011 Option - II Date of Maturity : 15/06/2025
INE043D07120
INE043D07146
INE043D08DO6
INE043D07153
INE043D07195
INE043D07245
INE043D07328
INE043D08250
INE043D07583
INE043D07443
INE043D07351
INE043D07377
INE043D07385
INE043D07435
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.80% Secured Non-Convertible Debenture. PP 17/2011.letter of allotment.Date of Maturity 21/07/2025
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.95% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 18/2011. Date of Maturity 06/08/2025
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.80% Unsecured Non-Convertible Debenture. Letter of Allotment. Series- PP15/2011/ Date of Maturity 08/07/2025
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.89% Secured Non-Convertible Debenture.Letter of Allotment . Series - PP20/2011. option- II. Date of Maturity 15/09/2025
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.86% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 21/2011. Option II. Date of Maturity 20/09/2025
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.82% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP/24/2011 option II. Date of Maturity 29/09/2025
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
8.90% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 29/2011. Date of Maturity 19/11/2025
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
Zero Coupon Redeemable Unsecured Non convertible Debentures. Series IDFC PP7/2006. Letter of allotment. Date of Maturity: 17/01/2026
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED
9.28% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP02/2012. Date of Maturity 15/04/2026
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT
Zero Coupon Secured Non-Convertible Debenture. Letter of Allotment.Series- PP 36/2011. Date of Maturity 11/03/2013
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT
9.05% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 32/2011. Date of Maturity 27/12/2020
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT
8.00% Long term Infrastructure Bonds in the nature of Secured Redeemable Non-Convertible Debenture (Having benefit under section 80 CCF of the Income Tax
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT
Long term Infrastructure Bonds in the nature of Secured Redeemable Non-Convertible Debenture (Having benefit under section 80 CCF of the Income Tax
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT
Long term Infrastructure Bonds in the nature of Secured Redeemable Non-Convertible Debenture (Having benefit under section 80 CCF of the Income Tax
INE043D07427
INE043D07393
INE043D07450
INE043D07559
INE043D07518
INE043D07369
INE043D07054
INE043D08144
INE871D07CT3
INE871D07CU1
INE871D07DT1
INE871D07DU9
INE871D07DY1
INE871D07DZ8
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT
8.25% Long term Infrastructure Bonds in the nature of Secured Redeemable Non-Convertible Debenture (Having benefit under section 80 CCF of the Income Tax
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT
9.35% Secured Non-Convertible Debenture.Letter of Allotment. Series- PP 34/2011. Date of Maturity 17/02/2026
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT
9.33% Secured Non-Convertible Debenture. Letter of Allotment.Series- PP 37/2011. Date of Maturity 14/03/2026
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT
9.33% Secured Non-Convertible Debenture.Letter of Allotment. Series- PP 42/2011.Date of Maturity 28/03/2026
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LTD
9.25% Secured Non-Convertible Debenture.Letter of Allotment. Series- PP 40/2011. Date of Maturity 24/03/2021
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LTD
9.15% Secured Non-Convertible Debenture. Letter of Allotment. Series- PP 33/2011. Date of Maturity 06/01/2026.
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LTD.
6.65% Redeemable Non-Convertible Debenture - IDFC PP 1(a)/2004.
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LTD.
6.10% Unsecured Redemable Non-Convertible Debentures. Series IDFC PP 9/2004. Letter of Allotment.
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITE
7.65% Secured Redeemable Non-Convertible Debentures Series 2002-XI.
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITE
8.05% Secured Redeemable Non-Convertible Debentures Series 2002-XI.
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
7.4% Secured Redeemable NCD. Sr. 2002-XI
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
7.1% Secured Redeemable NCD. Sr. 2002-XI
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
7% Secured Redeemable NCD. Sr. 2002-XI
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
7.1% Secured Redeemable NCD. Sr. 2002-XI
INE871D07EE1
INE871D07EH4
INE871D07FR0
INE871D07EZ6
INE871D07EV5
INE871D07FB4
INE871D07FL3
INE871D07FM1
INE871D07FN9
INE871D07082
INE871D07AT7
INE871D07EP7
INE871D07EA9
INE871D07EF8
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
7.00% Secured Non Convertible Debenture, Series 2002-XI.
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
6.90% Secured Redeemable Non-Convertible Debentures. sEries 2001-IX A. Letter of Allotment
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
6.50% Secured Non Convertible Debentures,Series 2001-IX-A.
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
6.20% Secured Non Convertible Debentures,Series 2003-3. Letter Of Allotment.
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
6.00% Secured Non Convertible Debentures,Series 2003-III. Letter Of Allotment.
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
6.00% Secured Non Convertible Debentures,Series 2003-3. Letter Of Allotment.
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
6.20% Secured Non Convertible Debentures,Series 2003-III. Letter Of Allotment.
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
6.25% Secured Non Convertible Debentures,Series 2003-III. Letter Of Allotment.
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
6.10% Secured Non Convertible Debentures,Series 2003-III. Letter Of Allotment.
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
EPF+2.25% spr Secured Non Convertible Debentures,1999 Series I , Option IV, Date Of Maturity: 15/06/2014
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
9.00% Secured Non Convertible Debenture, Series 2001-XI, Date of Maturity: 09/08/2017.
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
8.10% Secured Non Convertible Debentures,Series 2001-IX B.
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
7.2% Secured Redeemable NCD. Sr. 2002-XI
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
7.20% Secured Non Convertible Debenture, Series 2002-XI.
INE871D07EI2
INE871D07HC8
INE871D07HO3
INE871D07HU0
INE871D07KB4
INE871D07MM7
INE871D07LL1
INE871D08CM6
INE871D08CN4
INE871D07GI7
INE871D07GM9
INE871D07GO5
INE871D07GP2
INE871D07GQ0
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LIMITED
7.20% Secured Redeemable Non-Convertible Debentures. sEries 2001-IX A. Letter of Allotment
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
6.30 % Secured Non Convertible Debentures. Series 2001- IX-A. Date of Maturity: 17/07/2013
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
10.50 % Secured Non Convertible Debentures.Letter of Allotment Series 2006- VIII. Date of Maturity: 20/03/2014
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
10.50 % Secured Non Convertible Debentures.Letter of Allotment Series 2005- VI. Date of Maturity: 30/03/2014
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.00% Secured Non Convertible Debentures, Letter of Allotment.Series 2009-III, Date of Maturity: 09/07/2014
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
10% Secured Non-Convertible Debenture. Letter of Allotment. Series- 2011 V. Date of Maturity 10/10/2014
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.00% Secured Non Convertible Debentures. Series 2008-VII. Date of Maturity: 10/03/2015
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
7.25% Unsecured non convertible debentures. Series 2004-VI. Date of Maturity: 30.04.2015
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
7.60 % Unsecured Non convertible debentures. Series 2005-I. Date of Maturity: 07.06.2015
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
7.80 % Secured Non Convertible Debentures. Letter of allotment . Series 2005-VI. Date of Maturity: 01/01/2016
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
8.20 % Secured Non Convertible Debentures. Letter of allotment. Series 2005-VI. Date of Maturity: 17/03/2016
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
8.20 % Secured Non Convertible Debentures. Letter of allotment. Series 2005-VI. Date of Maturity: 05/04/2016
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
8.45 % Secured Non Convertible Debentures. Letter of allotment. Series 2005-VI. Date of Maturity: 24/04/2016
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
8.55 % Secured Non Convertible Debentures. Letter of allotment. Series 2005-VI. Date of Maturity: 24/04/2016
INE871D07GU2
INE871D07GW8
INE871D07GT4
INE871D08CO2
INE871D07KH1
INE871D08CP9
INE871D08CQ7
INE871D07HG9
INE871D07ML9
INE871D07MN5
INE871D07HH7
INE871D07HK1
INE871D07HL9
INE871D07HN5
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
8.55 % Secured Non Convertible Debentures. Letter of allotment. Series 2005-VI. Date of Maturity: 19/05/2016
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
8.50 % Secured Non Convertible Debentures. Letter of allotment. Series 2005-VI. Date of Maturity: 09/06/2016
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
8.45 % Secured Non Convertible Debentures. Letter of allotment. Series 2005-VI. Date of Maturity: 19/06/2016
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.50 % Unsecured Non convertible debentures. Series 2006-I. Date of Maturity: 27.07.2016
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.25% Secured Non Convertible Debentures. Letter of Allotment.Series 2009-IV . Date of Maturity: 17/08/2016
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.40 % Unsecured Non convertible debentures. Series 2006-I. Date of Maturity: 01/09/2016
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.50 % Unsecured Non convertible debentures. Series 2006-I. Date of Maturity: 01/09/2016
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.25 % Secured Non Convertible Debentures.Letter of Allotment Series 2005- VI. Date of Maturity: 15/09/2016.
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.97% Secured Non-Convertibe Debenture. Letter of Allotment. Date of Maturity 28/09/2016
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
10% Secured Non-Convertible Debenture. Letter of Allotment. Series- 2011 V. Date of Maturity 10/10/2016
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.05 % Secured Non Convertible Debentures.Letter of Allotment Series 2005- VI. Date of Maturity: 10/11/2016.
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.25 % Secured Non Convertible Debentures.Letter of Allotment Series 2006- V. Date of Maturity: 22/12/2016.
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.25 % Secured Non Convertible Debentures.Letter of Allotment Series 2005- VI. Date of Maturity: 10/01/2017.
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.30 % Secured Non Convertible Debentures.Letter of Allotment Series 2005- VI. Date of Maturity: 02/02/2017.
INE871D07HQ8
INE871D07HW6
INE871D07GX6
INE871D07MJ3
INE871D07MI5
INE871D07MO3
INE871D07JN1
INE871D07MK1
INE871D07LJ5
INE871D07LK3
INE871D07LM9
INE871D07GJ5
INE871D07MH7
INE871D07MP0
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
10.50 % Secured Non Convertible Debentures.Letter of Allotment Series 2005- VI. Date of Maturity: 26/03/2017
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
10.50% Secured Non Convertible Debentures.Letter of Allotment Series 2007- II. Date of Maturity: 11/06/2017
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.00 % Secured Non Convertible Debentures. Series 2001-XI. Date of Maturity: 29/08/2017
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.80% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 16/09/2017
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.75% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 11/08/2018
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.98% Secured Non-Convertible Debenture. Letter of Allotment. Series- 2011 VII. Date of Maturity 05/12/2018
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
12.20% Secured Non Convertible Debentures, Letter of Allotment.Series 2008-IX, Date of Maturity: 15/12/2018
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.78% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 16/09/2019
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.15% Secured Non Convertible Debentures. Letter of allotment. Series 2009-VI-A. Date of Maturity: 02/03/2020
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.20% Secured Non Convertible Debentures. Letter of allotment. Series 2009-XVI. Date of Maturity: 05/03/2020
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.20% Secured Non Convertible Debentures. Series 2009-VI-B. Date of Maturity: 22/03/2020
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
7.80 % Secured Non Convertible Debentures. Letter of allotment . Series 2005-VI. Date of Maturity: 01/01/2021
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.68% Secured Non-Convertible Debenture. Letter of Allotment. Series- 2011-I. Date of Maturity 25/07/2021
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.98% Secured Non-Convertible Debenture. Letter of Allotment. Series- 2011 VII. Date of Maturity 05/12/2021
INE871D07MR6
INE871D07MS4
INE871D07MT2
INE871D07LU2
INE871D07LZ1
INE871D07MA2
INE871D07MB0
INE871D07MG9
INE871D07MD6
INE871D07MF1
INE871D08CS3
INE871D07MC8
INE871D07ME4
ING VYSYA BANK LTD. INE166A09022
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.82% Secured Non-Convertible Debenture. Letter of Allotment. Series- 2011- VIII. Date of Maturity 24/01/2022
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.85% Secured Non-Convertible Debenture. Letter of Allotment. Series- 2011-IX. Date of Maturity 12/03/2022
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.80% SECURED NON CONVERTIBLE DEBENTURES. SERIES 2012-1. LETTER OF ALLOTMENT. DATE OF MATURITY 30/05/2022
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
8.96% Secured Non Convertible Debentures. Letter of allotment. Series 2010-V. Date of Maturity: 20/05/2025
INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTD
9.35% Secured Non-Convertible Debenture. Letter of Allotment. Series - 2010- VI. Date of Maturity 17/08/2035
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD
9.35% Secured Non-Convertible Debenture. Letter of Allotment. Series - 2010- VII. Date of Maturity 24/12/2013
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD
9.10% Secured Non-Convertible Debenture. Letter of Allotment. Series - 2010- VII. Date of Maturity 24/12/2015
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD
9.95% Secured Non-Convertible Debenture. Letter of Allotment. Series- 2010-XI. Date of Maturity 01/03/2016
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD
9.95% Secured Non-Convertible Debenture. Letter of Allotment. Series- 2010-VIII. Date of Maturity 14/02/2016
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD
9.95% Secured Non-Convertible Debenture. Letter of Allotment. Series- 2010- x. Date of Maturity 25/02/2016
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD
7.50% Unsecured Non-Convertible Debenture. Series- 2001-V. Date of Maturity 30/04/2020
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD
9.20% Secured Non-Convertible Debenture. Letter of Allotment. Series - 2010- VII. Date of Maturity 24/12/2020
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD
9.70% Secured Non-Convertible Debenture. Letter of Allotment. Series- 2010-IX, Date of Maturity 22/02/2021
6.25% Unsecured Non-Convertible Sub-ordinated Bonds form of Promissory Notes.Series II. Letter of Allotment
ING VYSYA BANK LTD. INE166A09030
ING VYSYA BANK LTD. INE166A09048
ING VYSYA BANK LTD. INE166A09055
ING VYSYA BANK LTD. INE166A09063
ING VYSYA BANK LTD. INE166A08016
ING VYSYA BANK LTD. INE166A08024
INE316F07018
INE626G07026
INE457J08028
IOC LTD INE242A07124 IOC BOND SERIES-V,STRPP-J
IOC LTD INE242A07132 IOC BOND SERIES-V,STRPP-K
IOC LTD INE242A07140 IOC BOND SERIES-V,STRPP-L
IOC LTD INE242A07157 IOC BOND SERIES-V,STRPP-M
INE310L07019
8.75 % Unsecured Non Convertible Bonds in nature of promissory notes. Tier II Series III. Letter of allotment. Date of Maturity: 17/05/2015
8.95 % Unsecured Non Convertible Bonds in nature of promissory notes. Tier II Series III. Letter of allotment. Date of Maturity: 24/05/2015
8.95 % Unsecured Non Convertible Bonds in nature of promissory notes. Tier II Series III (Tranche 3). Letter of allotment. Date of Maturity: 29/05/2015
9.70 % Unsecured Redeemable Subordinated Bonds in nature of promissory notes. Tier II Series III (Tranche IV). Letter of allotment. Date of Maturity: 28/08/2016
10.40 % Unsecured Redeemable Non Convertible Subordinated Bonds in nature of Debentures. Tier II Series I (Tranche I). Letter of allotment. Date of Maturity:
9.65% Unsecured Redeemable Non Convertible Subordinated Tier II Bonds in nature of Debentures. Series 1 (Tranche II). Letter of allotment. Date of
INTAS PHARMACEUTICALS LIMITED
9.25% Secured Redeemable Non Convertible Debenture.Date of Maturity : 06/11/2014
INTERNATIONAL BIOTECH PARK LIMITED
6.00% Secured Optionally convertible Debentures.
INTERNATIONAL AMUSEMENT LIMITED
ZERO COUPON UNSECURED FULLY CONVERTIBLE DEBENTURES. DATE OF MATURITY 15.06.2015.
IOT UTKAL ENERGY SERVICES LIMITED
8% Secured Compulsorily Convertible Debenture Debenture. Date of Maturity 20/07/2017
IPCA Laboratories Ltd INE571A07019
IPCA LABORATORIES LTD INE571A07027
IRST SERIES - II INE230L15012
IRST SERIES - III INE288L15028
INE414I07015
INE875A07014
12.75% Secured Non Convertible Debenture. Letter of Allotment.Date of Maturity : 26/12/2013
9.95% Secured Non-Convertible Debenture. Letter of Allotment. Date of Maturity 03/10/2016
Pass Through Certificates. Series-A1.Trustee: IDBI Trusteeship Services Limited. Receivables: Corporate loan originated by Infrastructure Development
Pass Through Certificates. Series-A2.Trustee: IL&FS Trust Company Limited. Receivables:loan originated by Tata motors Finace Limited
IVR PRIME URBAN DEVELOPERS LIMITED ( FORMERLY IVR REALTORS LTD)
9.50% Secured Redeemable Non Convertible Debentures.Letter of Allotment.Date of Maturity : 10/03/2013
IVRCL INFRASTRUCTURE & PROJECTS LIMITED
12.15% Secured Reddemable Non Convertible Debenture.Letter of Allotment.Date of Maturity : 18/12/2013
Description In NSDL Issue price (per security) Face Value (per security)
1,000,000.00 1,000,000.00
1000000 1000000
1000000 1000000
1000000 1000000
1000000.000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
IDBI BANK 6.5 BD 19JL14 FV RS 10 LAC
IDBI BANK LIMITED RR BD 20JN26 FVRS10LAC
IDBI BANK LIMITED 9.4 BD 25MR26 FVRS10LAC
IDBI BANK LIMITED 9.25 BD 15MR22 FVRS10LAC
IDBI BANK LIMITED 9.03 BD 30MY22 FVRS10LAC
IDBI BANK LIMITED11.1 BD 26SP13 FVRS10LAC
IDBI BANK LIMITED11.35 BD 15DC13 FVRS10LAC
IDBI BANK LIMITED9.25 BD 26MR14 FVRS10LAC
IDBI BANK LIMITED9.73 BD 30AP15 FVRS10LAC
IDBI BANK LIMITED11.08 BD 28SP15 FVRS10LAC
IDBI BANK LIMITED11.04 BD 05OT15 FVRS10LAC
IDBI BANK LIMITED10.39 BD 13OT15 FVRS10LAC
IDBI BANK LIMITED11.24 BD 29SP16 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
1000000 1000000
IDBI BANK LIMITED11 BD 26SP18 FVRS10LAC
IDBI BANK LIMITED9.37 BD 29SP18 FVRS10LAC
IDBI BANK LIMITED11.3 BD 15DC18 FVRS10LAC
IDBI BANK LIMITED8.53 BD 23NV19 FVRS10LAC
IDBI BANK LIMITED9.05 BD 23MR20 FVRS10LAC
IDBI BANK LIMITED8.63 BD 29SP20 FVRS10LAC
IDBI BANK LIMITED 9.38 BD 04AG21 FVRS10LAC
IDBI BANK LIMITED 9.72 BD 26NV21 FVRS10LAC
IDBI BANK LIMITED 9.7 BD 30NV21 FVRS10LAC
IDBI BANK LIMITED 9.45 BD 13DC21 FVRS10LAC
IDBI BANK LIMITED 9.33 BD 13MR22 FVRS10LAC
IDBI BANK LIMITED11.15 BD 29SP23 FVRS10LAC
IDBI BANK LIMITED11.4 BD 29OT23 FVRS10LAC
IDBI BANK LIMITEDRR BD 31MR24 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
1000000 1000000
IDBI BANK LIMITEDRR BD 26JU24 FVRS10LAC
IDBI BANK LIMITEDRR BD 25SP24 FVRS10LAC
IDBI BANK LIMITEDRR BD 19NV24 FVRS10LAC
IDBI BANK LIMITEDRR BD 03FB25 FVRS10LAC
IDBI BANK LIMITED8.57 BD 08JL25 FVRS10LAC
IDBI BANK LIMITED11.25 BD 14MR29 FVRS10LAC
IDBI BANK LIMITED9.56 BD 13JU29 FVRS10LAC
IDBI BANK LIMITED9.67 BD 26SP29 FVRS10LAC
IDBI BANK LIMITED9.5 PERPETUAL BD FVRS10LAC
IDBI BANK LIMITEDRR PERPETUAL BD FVRS10LAC
IDBI BANK LIMITEDRR PERPETUAL BD FVRS10LAC
IDBI BANK LIMITEDRR PERPETUAL BD FVRS10LAC
IDBI BANK LIMITEDRR PERPETUAL BD FVRS10LAC
IDBI HOMEFINANCE9.25 NCD 08FB17 FVRS10LAC
1000000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
768011.000 1000000
1000000.000 1000000
1000000 1000000
1000000 1000000
768941 1000000
767638.000 1000000
IDBI HOMEFINANCE10.5 NCD 27MR19 FVRS10LAC
IDFC LIMITED PP 19/2013 9.43 LOA 06AG14 FVRS10LAC
IDFC LIMITED PP 22/2013 OPT-II 9.4 LOA 22AG14 FVRS10LAC
IDFC LIMITED PP 23/2013 OPT-II 9.44 LOA 25AG14 FVRS10LAC
IDFC LIMITED PP 23/2013 OPT-I 9.44 LOA 29AG14 FVRS10LAC
IDFC LIMITED PP 25/2013 OPT-I 9.4 LOA 18SP14 FVRS10LAC
IDFC LIMITED PP 25/2013 OPT-II 9.4 LOA 25SP14 FVRS10LAC
IDFC LIMITED PP 24/2013 9.37 LOA 27AP15 FVRS10LAC
IDFC LIMITED PP 20/2013 OPT-I LOA 03AG15 FVRS10LAC
IDFC LIMITED PP 20/2013 OPT-II 9.36 LOA 03AG15 FVRS10LAC
IDFC LIMITED PP 21/2013 OPT-II 9.35 LOA 06AG15 FVRS10LAC
IDFC LIMITED PP 21/2013 OPT-I 9.35 LOA 10AG15 FVRS10LAC
IDFC LIMITED PP 25/2013 OPT-IV LOA 31AG15 FVRS10LAC
IDFC LIMITED PP 25/2013 OPT-V LOA 07SP15 FVRS10LAC
1000000.000 1000000
769878.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
10000000.000 10000000
10000000.000 10000000
500000.000 500000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
IDFC LIMITED PP 25/2013 OPT-III 9.35 LOA 17SP15 FVRS10LAC
IDFC LIMITED PP 27/2013 OPT-II LOA 21SP15 FVRS10LAC
IDFC LIMITED PP 26/2013 OPT-I 9.3 LOA 13SP16 FVRS10LAC
IDFC LIMITED PP 22/2013 OPT-I 9.4 LOA 22AG17 FVRS10LAC
IDFC LIMITED PP 27/2013 OPT-I 9.1315 LOA 20SP17 FVRS10LAC
IDFC LIMITED PP 26/2013 OPT-II 9.25 LOA 13SP19 FVRS10LAC
IDL SPECIALITY CHEMICALS LIMITED 11.7 LOA 09JN14 FVRS1CR
IDL SPECIALITY CHEMICALS LIMITED 11.7 LOA 25JN14 FVRS1CR
IFCI FACTORS LIMITED 12.5 NCD PERPETUAL FVRS5LAC
IFCISR-17R 6 RRB 22DC12 FV RS 1LAC
IFCISR-OT/03R 9 RRB 31DC12 FV RS 1LAC
IFCISR 20/1E BR RRB 25JN13 FV RS 1 LAC
IFCISR-20R OP-1 6 RRB 25JN13 FV RS 1LAC
IFCISR 40/2E BR RRB 20MR13 FV RS 1 LAC
100000 100000
100000 100000
2500000000 2500000000
100000 100000
100000 100000
2500000000 2500000000
100000 100000
5000 5000
100000 100000
2500000000 2500000000
100000 100000
100000 100000
100000 100000
100000 100000
IFCISR-21R 6 RRB 25MR13 FV RS 1LAC
IFCISR-OT/03R 6 RRB 20AP13 FV RS 1LAC
IFCISR 45(R1) BR RRB 20AP13 FVRS250CR
IFCISR 41/2E BR RRB 20MY13 FV RS 1 LAC
IFCISR-OT/02R 9 RRB 08JU13 FV RS 1LAC
IFCISR 45(R2) BR RRB 20JL13 FVRS250CR
IFCISR 23(R) 9 RRB 31JL13 FVRS1LAC
IFCISR-FB/1R 6 RRB 06SP13 FV RS 5000
IFCISR OT/2E BR RRB 30SP13 FV RS 1 LAC
IFCISR 45(R3) BR RRB 20OT13 FVRS250CR
IFCISR-11R 6 RRB31NV13 FV RS 1LAC
IFCI11 RRB 30NV13 FVRS1LAC
IFCI11.15 RRB 30NV13 FVRS1LAC
IFCISR 39R 6 RRB 20DC13 FVRS1LAC
100000 100000
2500000000 2500000000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
IFCI10.25 RRB 31DC13 FVRS1LAC
IFCISR 45(R4) BR RRB 20JN14 FVRS256.85CR
IFCI LIMITED 9 LOA 31JN14 FVRS1LAC
IFCISR 40R 6 RRB 06FB14 FVRS1LAC
IFCISR-OT/02R 9 RRB 28FB14 FV RS 1LAC
IFCISR OT/2E BR RRB 28FB14 FV RS 1 LAC
IFCISR 40R 6 RRB 22MR14 FVRS1LAC
IFCI10 RRB 31MR14 FVRS1LAC
IFCI LIMITED 9.5 LOA 31MR14 FVRS1LAC
IFCISR 43R 9 RRB 20AP14 FVRS1LAC
IFCI9.75 RRB 30AP14 FVRS1LAC
IFCISR-OT/02R 6 RRB 31MY14 FV RS 1LAC
IFCI9.75 RRB 31MY14 FVRS1LAC
IFCISR-OT/00R 6 RRB 30JU14 FV RS 1LAC
100000 100000
1000000 1000000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
IFCI9.75 RRB 30JU14 FVRS1LAC
IFCI9.5 RRB 31JL14 FVRS10LAC
IFCISR-OT/00R 9 RRB 31AG14 FV RS 1LAC
IFCISR-17R 6 RRB 15OT14 FV RS 1LAC
IFCISR 31/1E BR RRB 20NV14 FV RS 1 LAC
IFCISR-OT/02R-17R 6 RRB 30NV14 FV RS 1LAC
IFCI9 LOA 30NV14 FVRS1LAC
IFCI LIMITED 10.4 LOA 30NV14 FVRS1LAC
IFCI LIMITED 10.4 LOA 31DC14 FVRS1LAC
IFCISR-OT/00R 9 RRB 31JN15 FV RS 1LAC
IFCI8 LOA 31JN15 FVRS1LAC
IFCI LIMITED 10.2 LOA 31JN15 FVRS1LAC
IFCISR-21R 6 RRB 25MR15 FV RS 1LAC
IFCISR-OT/00R - 21R 6 RRB 31MR15 FV RS 1LAC
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
IFCI8.75 LOA 31MR15 FVRS1LAC
IFCISR-OT/01R 9 RRB 31MY15 FV RS 1LAC
IFCI8.9 LOA 31MY15 FVRS1LAC
IFCISR-OT/01R 9 RRB 30JU15 FV RS 1LAC
IFCISR 22R OP3 9 RRB 20JL15 FVRS1LAC
IFCISR-22R OP-1 6 RRB 20JL15 FV RS 1LAC
IFCISR 23R 6 RRB 31JL15 FVRS1LAC
IFCI8.9 LOA 31JL15 FVRS1LAC
IFCISR 36R OP1/4 9 RRB 08AG15 FVRS1LAC
IFCISR 36/1E BR RRB 08AG15 FV RS 1 LAC
IFCI8.9 LOA 31AG15 FVRS1LAC
IFCISR 23R 6 RRB 30SP15 FVRS1LAC
IFCI8.9 LOA 30SP15 FVRS1LAC
IFCISR 25(R) 6 RRB 30NV15 FVRS1LAC
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
IFCI8.9 LOA 30NV15 FVRS1LAC
IFCISR 39/1E BR RRB 20DC15 FV RS 1 LAC
IFCISR 40/1E BR RRB 20MR16 FV RS 1 LAC
IFCI LIMITED 9.75 LOA 31MR16 FVRS1LAC
IFCI LIMITED 9.75 LOA 30AP16 FVRS1LAC
IFCISR-41R OP-3 6 RRB 20MY16 FVRS1LAC
IFCISR 41/1E BR RRB 20MY16 FV RS 1 LAC
IFCI LIMITED SR- 41 8.5 BD 20MY16 FVRS1LAC
IFCI LIMITED 10.3 LOA 31MY16 FVRS1LAC
IFCISR-OT/02R 6 RRB 08JU16 FV RS 1LAC
IFCISR-OT/02R 9 RRB 08JU16 FV RS 1LAC
IFCISR-OT/02R 6 RRB 19JU16 FV RS 1LAC
IFCISR-OT/00R 6 RRB 30JU16 FV RS 1LAC
IFCISR-OT/00R 6 RRB 31JL16 FV RS 1LAC
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000.000 100000
100000 100000
IFCI LIMITED 10.3 LOA 31JL16 FVRS1LAC
IFCI LIMITED 10.3 LOA 31AG16 FVRS1LAC
IFCISR-OT/02R 6 RRB 30NV16 FV RS 1LAC
IFCI9.25 LOA 30NV16 FVRS1LAC
IFCI LIMITED 10.5 LOA 30NV16 FVRS1LAC
IFCISR-OT/02R 6 RRB 31DC16 FV RS 1LAC
IFCI LIMITED 10.5 LOA 31DC16 FVRS1LAC
IFCISR-OT/00R - OT/02R 6 RRB 31JN17 FV RS 1LAC
IFCI8.25 LOA 31JN17 FVRS1LAC
IFCI LIMITED 10.3 LOA 31JN17 FVRS1LAC
IFCI LIMITED 10.2 LOA 28FB17 FVRS1LAC
IFCI9 LOA 31MR17 FVRS1LAC
IFCI LIMITED 10.2 LOA 31MR17 FVRS1LAC
IFCISR 43R 6 RRB 20AP17 FVRS1LAC
100000 100000
100000 100000
100000.000 100000
100000 100000
100000 100000
100000 100000
100000.000 100000
100000 100000
100000 100000
100000.000 100000
100000 100000
100000 100000
100000 100000
100000 100000
IFCISR 43R 9 RRB 20AP17 FVRS1LAC
IFCI9 LOA 30AP17 FVRS1LAC
IFCI LIMITED 10.2 LOA 30AP17 FVRS1LAC
IFCI9.15 LOA 31MY17 FVRS1LAC
IFCISR-OT/03R 9 RRB 31JL17 FV RS 1LAC
IFCI9.15 LOA 31JL17 FVRS1LAC
IFCI LIMITED SR-57-A OPT-I 10.25 LOA 17AG17 FVRS1LAC
IFCI9.15 LOA 31AG17 FVRS1LAC
IFCI9.15 LOA 30SP17 FVRS1LAC
IFCI LIMITED SR-57-E 9.7 LOA 15OT17 FVRS1LAC
IFCI9.15 LOA 31OT17 FVRS1LAC
IFCI9.15 LOA 30NV17 FVRS1LAC
IFCI LIMITED 9.25 LOA 31JN18 FVRS1LAC
IFCISR 40R 6 RRB 01MR18 FVRS1LAC
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
1000000 1000000
1000000 1000000
1000000 1000000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
100000 100000
IFCI LIMITED 10.4 LOA 31MY18 FVRS1LAC
IFCI LIMITED 10.4 LOA 31JL18 FVRS1LAC
IFCI LIMITED 10.4 LOA 31AG18 FVRS1LAC
IFCI LIMITED 10.4 LOA 31JN19 FVRS1LAC
IFCISR-OT/02R 9 RRB 28FB19 FV RS 1LAC
IFCI10.2 LOA 20JU19 FVRS10LAC
IFCI10.2 LOA 30JU19 FVRS10LAC
IFCI9.75 RRB 31JL19 FVRS10LAC
IFCI9.4 LOA 30NV19 FVRS1LAC
IFCI8.75 LOA 31JN20 FVRS1LAC
IFCI9.15 LOA 31MR20 FVRS1LAC
IFCI9.15 LOA 30AP20 FVRS1LAC
IFCISR 35R OP1 6 RRB 18MY20 FVRS1LAC
IFCI9.25 LOA 31MY20 FVRS1LAC
100000 100000
100000 100000
5000 5000
5000 5000
5000 5000
5000 5000
100000 100000
100000 100000
100000 100000
5000 5000
5000 5000
5000 5000
5000 5000
100000 100000
IFCI9.25 LOA 31JL20 FVRS1LAC
IFCI9.25 LOA 31AG20 FVRS1LAC
IFCISR-I OP- I 7.85 LOA 15SP20 FVRS5000
IFCISR-I OP-II 7.85 LOA 15SP20 FVRS5000
IFCISR-I OP-III 7.95 LOA 15SP20 FVRS5000
IFCISR-I OP- IV 7.95 LOA 15SP20 FVRS5000
IFCI9.25 LOA 30SP20 FVRS1LAC
IFCI9.25 LOA 31OT20 FVRS1LAC
IFCI9.25 LOA 30NV20 FVRS1LAC
IFCI LIMITED OPT- I 8 LOA 31JN21 FVRS5000
IFCI LIMITED OPT- II 8 LOA 31JN21 FVRS5000
IFCI LIMITED OPT- III 8.25 LOA 31JN21 FVRS5000
IFCI LIMITED OPT-IV 8.25 LOA 31JN21 FVRS5000
IFCI LIMITED 9.5 LOA 31JN21 FVRS1LAC
100000 100000
100000 100000
100000 100000
100000 100000
10000 10000
10000 10000
1000000 1000000
100000 100000
10000 10000
10000 10000
10000 10000
100000 100000
100000 100000
100000 100000
IFCISR 40R 6 RRB 15FB21 FVRS1LAC
IFCI LIMITED 10 LOA 31MR21 FVRS1LAC
IFCI LIMITED 10 LOA 30AP21 FVRS1LAC
IFCI LIMITED 10.2 LOA 31MY21 FVRS1LAC
IFCI LIMITED SR- I OP- I 10.5 LOA 01AG21 FVRS10000
IFCI LIMITED SR-I OPT- II 10.5 LOA 01AG21 FVRS10000
IFCI LIMITED SR-II 10.55 LOA 25AG21 FVRS10LAC
IFCI LIMITED 10.4 LOA 31AG21 FVRS1LAC
IFCI LIMITED SR-III OP- I 10.6 LOA 31OT21 FVRS10000
IFCI LIMITED SR-III OP- II 10.6 LOA 31OT21 FVRS10000
IFCI LIMITED SR-III OP- III 10.5 LOA 31OT21 FVRS10000
IFCI LIMITED 10.6 LOA 30NV21 FVRS1LAC
IFCI LIMITED 10.6 LOA 31DC21 FVRS1LAC
IFCISR-OT/02R 6 RRB 25JN22 FV RS 1LAC
5000 5000
5000 5000
10000 10000
100000 100000
100000.000 100000
100000.000 100000
100000.000 100000
100000.000 100000
5000.000 5000
5000 5000
1000000 1000000
1000000 1000000
1000000 1000000
10000 10000
IFCI LIMITED SR-IV OP-II 9.09 LOA 15FB22 FVRS5000
IFCI LIMITED SR-IV OP-I 9.09 LOA 15FB22 FVRS5000
IFCI LIMITED SR-IV OP-1 10.5 LOA 28FB22 FVRS10000
IFCI LIMITED 10.25 LOA 28FB22 FVRS1LAC
IFCI LIMITED 10.25 LOA 31MR22 FVRS1LAC
IFCI LIMITED SR 56-OP I 10.25 LOA 26JU22 FVRS1LAC
IFCI LIMITED SR 56-OP II 10.15 LOA 26JU22 FVRS1LAC
IFCI LIMITED SR-57-C OPT-I 9.95 LOA 08OT22 FVRS1LAC
IFCI LIMITED SR-V OP-II 8.5 LOA 31MR24 FVRS5000
IFCI LIMITED SR-V OP-I 8.5 LOA 31MR24 FVRS5000
IFCI9.75 LOA 25JN25 FVRS10LAC
IFCI9.55 LOA 05MR25 FVRS10LAC
IFCI9.55 LOA 13AP25 FVRS10LAC
IFCI LIMITED SR-I OPT- III 10.75 LOA 01AG26 FVRS10000
10000 10000
10000 10000
5000 5000
5000 5000
10000 10000
5000.000 5000
5000.000 5000
100000.000 100000
100000.000 100000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
IFCI LIMITED SR- I OPT- IV 10.75 LOA 01AG26 FVRS10000
IFCI LIMITED SR-III OP- IV 10.75 LOA 31OT26 FVRS10000
IFCI LIMITED SR-IV OP-III 9.16 LOA 15FB27 FVRS5000
IFCI LIMITED SR-IV OP-IV 9.16 LOA 15FB27 FVRS5000
IFCI LIMITED SR-IV OP-II 10.7 LOA 28FB27 FVRS10000
IFCI LIMITED SR-V OP-III 8.72 LOA 31MR27 FVRS5000
IFCI LIMITED SR-V OP-IV 8.72 LOA 31MR27 FVRS5000
IFCI LIMITED SR-57-D 10.1 LOA 08OT27 FVRS1LAC
IFCI LIMITED SR-57C OPT-II 10.12 LOA 08OT27 FVRS1LAC
IFCI9.7 LOA 04MY30 FVRS10LAC
IFCI9.7 LOA 18MY30 FVRS10LAC
IFCI9.75 LOA 13JL30 FVRS10LAC
IFCI9.75 LOA 16JL30 FVRS10LAC
IFCI9.98 LOA 29OT30 FVRS10LAC
3539 25000
3224 25000
100000.000 100000
2937 25000
2676 25000
2439 25000
2222 25000
2024 25000
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1680 25000
1531 25000
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IFCILOA 07JL31 FVRS25000
IFCILOA 07JL32 FVRS25000
IFCI LIMITED SR-V(d) 9.98 LOA 15OT32 FVRS1LAC
IFCILOA 07JL33 FVRS25000
IFCILOA 07JL34 FVRS25000
IFCILOA 07JL35 FVRS25000
IFCILOA 07JL36 FVRS25000
IFCILOA 07JL37 FVRS25000
IFCI LIMITED SR-V (a/b) 9.98 LOA 18SP37 FVRS1LAC
IFCILOA 07JL38 FVRS25000
IFCILOA 07JL39 FVRS25000
IFCILOA 07JL40 FVRS25000
IFCI SLR 201212 SR60 13JN12 FV RS 1000
IFCI SLR 200813 SR64 28JN08 FV RS 1000
100,000.000 100,000.000
1,000.00 1,000.00
100,000.000 100,000.000
100,000.000 100,000.000
100,000.000 100,000.000
100,000.000 100,000.000
100,000.000 100,000.000
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100,000.000 100,000.000
100,000.000 100,000.000
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IFCI SR-20R OPT-1 9 RRB 25JN13 FV RS 1 LAC
IFCI SLR 6.29 49-R 17FB13 FV RS 1000
IFCI SR-33R OPT-4 6 RRB 20MR13 FV RS 1 LAC
IFCI SR-40R OPT-2 9 RRB 20MR13 FV RS 1 LAC
IFCI SR-27R OPT-2 6 RRB 31MR13 FV RS 1 LAC
IFCI SR-41R OPT-2 9 RRB 20MY13 FV RS 1 LAC
IFCI SR-22R OPT-2 6 RRB 20JL13 FV RS 1 LAC
IFCI SR-42R OPT-2 9 RRB 20JL13 FV RS 1 LAC
IFCI SLR RR 65-R 24SP13 FV RS 1000
IFCI SR-24R OPT-2 6 RRB 20JN14 FV RS 1 LAC
IFCI SR-26R OPT-2 6 RRB 01MR14 FV RS 1 LAC
IFCI SR-28R OPT-1 9 RRB 07JU14 FV RS 1 LAC
IFCI SR-29R OPT-1 9 RRB 22JL14 FV RS 1 LAC
IFCI SR-30R OPT-1 9 RRB 25OT14 FV RS 1 LAC
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100,000.000 100,000.000
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IFCI SR-18R 6 RRB 15JN15 FV RS 1 LAC
IFCI SR-32R OPT-1 9 RRB 20JN15 FV RS 1 LAC
IFCI SR-32R OPT-3 6 RRB 20JN15 FV RS 1 LAC
IFCI SR-20R OPT-2 6 RRB 25JN15 FV RS 1 LAC
IFCI SR-33R OPT-3 6 RRB 20MR15 FV RS 1 LAC
IFCI SR-33R OPT-1 9 RRB 20MR15 FV RS 1 LAC
IFCI SR-34R OPT-1 9 RRB 20AP15 FV RS 1 LAC
IFCI SR-35R OPT-1 9 RRB 18MY15 FV RS 1 LAC
IFCI SR-37R OPT-1/3 9 RRB 20SP15 FV RS 1 LAC
IFCI SR-38R OPT-1 9 RRB 20NV15 FV RS 1 LAC
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IFCI SR-40R OPT-1 9 RRB 20MR16 FV RS 1 LAC
IFCI SR-27R OPT-1 6 RRB 31MR16 FV RS 1 LAC
IFCI SR-41R OPT-1 9 RRB 20MY16 FV RS 1 LAC
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IFCI SLR RR 63-R 08OT17 FV RS 1000
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IFCI SLR RR 52-R 28FB19 FV RS 1000
IFCI SLR RR 53-R 30MY19 FV RS 1000
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1000 1000
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INDIA STRUCTURED ASSET TRUST SR-XII-ITSLSR-A25 PTC 25JN10
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INDIABULLS FINANCIAL SERVICES LTD 10.7 LOA 19JL13 FVRS10LAC
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INDIABULLS FINANCIAL SERVICES LTD 10.65 LOA 30JU27 FVRS1LAC
INDIABULLS FINANCIAL SERVICES LTD 10.6 LOA 14FB13 FVRS10LAC
INDIABULLS FIN.9 NCD 31MR13 FVRS10LAC
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INDIABULLS FIN.LOA 05JL13 FVRS10LAC
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INDIABULLS FINANCIAL SERVICES LTD LOA 12JU13 FVRS10LAC
INDIABULLS FINANCIAL SERVICES LTD 10.8 LOA 08AG13 FVRS10LAC
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INDIABULLS FINANCIAL SERVICES LTD 10.8 LOA 08SP13 FVRS10LAC
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INDIABULLS FINANCIAL SERVICES LTD 11.2 LOA 15AP14 FVRS10LAC
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INDIABULLS FINANCIAL SERVICES LTD 10.8 LOA 22AG14 FVRS10LAC
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INDIABULLS FINANCIAL SERVICES LTD LOA 18DC14 FVRS10LAC
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INDIABULLS FINANCIAL SERVICES LTD 11.6 LOA 22JU17 FVRS1LAC
INDIABULLS FINANCIAL SERVICES LTD 10.65 LOA 07SP21 FVRS10LAC
INDIABULLS FINANCIAL SERVICES LTD 11.85 LOA 31JN22 FVRS1LAC
INDIABULLS FINANCIAL SERVICES LTD 11.85 LOA 22FB22 FVRS1LAC
INDIABULLS FINANCIAL SERVICES LTD 10.15 LOA 27FB22 FVRS10LAC
INDIABULLS FINANCIAL SERVICES LTD 11 NCD 30MR22 FVRS1LAC
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INDIABULLS FINANCIAL SERVICES LTD 10.7 LOA 28JU22 FVRS10LAC
INDIABULLS FINANCIAL SERVICES LTD 10.7 LOA 06JL22 FVRS10LAC
INDIABULLS FINANCIAL SERVICES LTD 10.65 LOA 05JU27 FVRS1LAC
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INDIABULLS HOUSING FINANCE LIMITED LOA 16OT13 FVRS10LAC
INDIABULLS HOUSING FINANCE LIMITED 10.6 LOA 10OT14 FVRS10LAC
INDIABULLS HOUSING FINANCE LIMITED 9.5 LOA 21NV14 FVRS10LAC
INDIABULLS HOUSING FINANCE LIMITED 9.5 LOA 01DC14 FVRS10LAC
INDIABULLS HOUSING FINANCE LIMITED 10.5 LOA 30AP17 FVRS10LAC
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INDIAN BANK8.53 BD 28JU20 FVRS10LAC
INDIAN BANKRR BD 16JL25 FVRS10LAC
INDIAN OIL CORPSR-7 OP-B 7.4 LOA 15SP15 FVRS10LAC
INDIAN OIL CORP10.7 LOA 11DC16 FVRS10LAC
INDIAN OIL CORPORATION LIMITED 9.28 LOA 21DC16 FVRS10LAC
INDIAN OIL CORPORATION LIMITED 9.35 LOA 30AP17 FVRS10LAC
INDIAN OIL CORP11 LOA 10SP18 FVRS10LAC
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INDIAN OVERSEAS SR-6 6.4 LOA 25JL14 FV RS 10 LAC
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INDIAN OVERSEAS7.70 BD 09AP16 FVRS 10LAC
INDIAN OVERSEAS9.1 BD 26JL16 FVRS10LAC
INDIAN OVERSEAS10.85 BD 22AG18 FVRS10LAC
INDIAN OVERSEAS8.48 BD 24AG19 FVRS10LAC
INDIAN OVERSEAS BANK 8.95 BD 31DC20 FVRS10LAC
INDIAN OVERSEAS9.24 BD 05SP21 FVRS10LAC
INDIAN OVERSEAS11.05 BD 17SP23 FVRS10LAC
INDIAN OVERSEASRR BD 01SP24 FVRS10LAC
INDIAN OVERSEAS BANK 9 BD 10JN26 FVRS10LAC
INDIAN OVERSEASRR PERPETUAL BD FVRS10LAC
INDIAN OVERSEAS9.2 PERPETUAL BD FVRS 10LAC
INDIAN OVERSEASSR-I 9.3 PERPETUAL BD FVRS10LAC
INDIAN OVERSEASSR-2 9.15 PERPETUAL BD FVRS10LAC
100 100
100 100
100 100
100 100
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IPCLNCD 01JN13 FVRS100
IPCLNCD 30JU13 FVRS100
IPCLNCD 31MR15 FVRS100
IPCLNCD 06MY15 FVRS100
INDIAN RAILWAY FINANCE CORPORATION8.75 LOA 07JN13 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION SR47/I 5.99LOA 26MR13 FVRS10LAC
IRFC TX SR-12CC10 BD 31MR13 FV RS 10 LAC
IRFC STRPP-44JJ6.98 LOA 31MR13 FV RS 10 LAC
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IRFC STRPP-45E6.1 LOA 13MY13 FV RS 10 LAC
IRFC STRPP-45JJ6.39 LOA 13MY13 FV RS 10 LAC
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866.68 866.68
INDIAN RAILWAY FINANCE CORPORATION49-H BR LOA 22JU13 FVRS10LAC
IRFC TX SR-16N12.8 BD 15JL13 FV RS 10 LAC
IRFC SR-46 JJJ 5.99 LOA 12AG13
IRFC SR-46 DD 6.2 LOA 12AG13 FV RS 10 LAC
IRFC SR-46 J 6.25 LOA 12AG13 FV RS 10 LAC
IRFC TX SR-42K8 LOA 29AG13 FV RS 10 LAC
INDIAN RAILWAY FINANCE CORPORATION48G 6.85 LOA 14SP13 FVRS 10LAC
INDIAN RAILWAY FINANCE CORPORATION48DD 6.85 LOA 17SP13 FVRS 10LAC
IRFC STRPP-43KK 7.63 LOA 29OT13 FV RS 10 LAC
INDIAN RAILWAY FINANCE CORPORATION8.4 LOA 26DC13 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.46 LOA 15JN14 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION SR47/J 5.99LOA 26MR14 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.49 LOA 30MR14 FVRS10LAC
IRFC TX SR-13AA10 BD 31MR14 FV RS 866.68
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INDIAN RAILWAY FINANCE CORPORATION7.45 LOA 27AP14 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.20 LOA 27AP14 FVRS10LAC
IRFC STRPP-45KK6.39 LOA 13MY14 FV RS 10 LAC
INDIAN RAILWAY FINANCE CORPORATION9.86 LOA 07JU14 FVRS10LAC
IRFC TX SR-15O12.9 BD 22JU14 FV RS 10 LAC
INDIAN RAILWAY FINANCE CORPORATION49-I BR LOA 22JU14 FVRS10LAC
IRFC TX SR-16O12.8 BD 15JL14 FV RS 10 LAC
IRFC SR-46 K 6.25 LOA 12AG14 FV RS 10 LAC
IRFC TX SR-42L8 LOA 29AG14 FV RS 10 LAC
INDIAN RAILWAY FINANCE CORPORATION48H 6.85 LOA 14SP14 FVRS 10LAC
INDIAN RAILWAY FINANCE CORPORATION48EE 6.85 LOA 17SP14 FVRS 10LAC
IRFC STRPP-43LL 7.63 LOA 29OT14 FV RS 10 LAC
IRFC NTX SR-179 BD 28FB15 FV RS 10 LAC
INDIAN RAILWAY FINANCE CORPORATION6 LOA 08MR15 FVRS1LAC
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1,000,000.00 1,000,000.00
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INDIAN RAILWAY FINANCE CORPORATION SR47/K 5.99LOA 26MR15 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.20 LOA 27AP15 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION7.845 LOA 04MY15 FVRS10LAC
IRFC STRPP-45LL6.39 LOA 13MY15 FV RS 10 LAC
INDIAN RAILWAY FINANCE CORPORATION9.86 LOA 07JU15 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION49-J BR LOA 22JU15 FVRS10LAC
IRFC TX SR-2211.5 BD 28JL15 FV RS 930000
IRFC SR-46 L 6.25 LOA 12AG15 FV RS 10 LAC
IRFC TX SR-42M8 LOA 29AG15 FV RS 10 LAC
INDIAN RAILWAY FINANCE CORPORATION48FF 6.85 LOA 17SP15 FVRS 10LAC
IRFC STRPP-43MM 7.63 LOA 29OT15 FV RS 10 LAC
INDIAN RAILWAY FINANCE CORPORATION LIMITED 6.05 LOA 20DC15 FVRS1LAC
INDIAN RAILWAY FINANCE CORPORATION SR47/L 5.99LOA 26MR16 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.20 LOA 27AP16 FVRS10LAC
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IRFC STRPP-45MM 6.39 LOA 13MY16 FV RS 10 LAC
INDIAN RAILWAY FINANCE CORPORATIONSR-52 8.41 LOA 17MY16 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION9.86 LOA 07JU16 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION49-K BR LOA 22JU16 FVRS10LAC
IRFC SR-46 M 6.25 LOA 12AG16 FV RS 10 LAC
IRFC TX SR-42N8 LOA 29AG16 FV RS 10 LAC
INDIAN RAILWAY FINANCE CORPORATION48GG 6.85 LOA 17SP16 FVRS 10LAC
IRFC STRPP-43NN 7.63 LOA 29OT16 FV RS 10 LAC
INDIAN RAILWAY FINANCE CORPORATION8.57 LOA 29NV16 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION6.3 LOA 08MR17 FVRS1LAC
INDIAN RAILWAY FINANCE CORPORATION SR47/M 5.99LOA 26MR17 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.20 LOA 27AP17 FVRS10LAC
IRFC STRPP-45NN6.39 LOA 13MY17 FV RS 10 LAC
INDIAN RAILWAY FINANCE CORPORATION9.81 LOA 07JU17 FVRS10LAC
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1,000,000.00 1,000,000.00
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1,000,000.00 1,000,000.00
INDIAN RAILWAY FINANCE CORPORATION9.86 LOA 07JU17 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION49-L BR LOA 22JU17 FVRS10LAC
IRFC SR-46 N 6.25 LOA 12AG17 FV RS 10 LAC
IRFC TX SR-42O8 LOA 29AG17 FV RS 10 LAC
INDIAN RAILWAY FINANCE CORPORATION48HH 6.85 LOA 17SP17 FVRS 10LAC
IRFC STRPP-43OO 7.63 LOA 29OT17 FV RS 10 LAC
INDIAN RAILWAY FINANCE CORPORATION LIMITED 6.32 LOA 20DC17 FVRS1LAC
INDIAN RAILWAY FINANCE CORPORATION SR47/N 5.99LOA 26MR18 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.20 LOA 27AP18 FVRS10LAC
IRFC STRPP-45OO 6.39 LOA 13MY18 FV RS 10 LAC
INDIAN RAILWAY FINANCE CORPORATION9.43 LOA 23MY18 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION9.86 LOA 07JU18 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION49-M BR LOA 22JU18 FVRS10LAC
IRFC SR-46 EE 6.2 LOA 12AG18 FV RS 10 LAC
1,000,000.00 1,000,000.00
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100000 100000
IRFC SR-46 O 6.25 LOA 12AG18 FV RS 10 LAC
INDIAN RAILWAY FINANCE CORPORATION10.6 LOA 11SP18 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION48II 6.85 LOA 17SP18 FVRS 10LAC
INDIAN RAILWAY FINANCE CORPORATION8.45 LOA 26DC18 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.55 LOA 15JN19 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION SR47/O 5.99LOA 26MR19 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.19 LOA 27AP19 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.20 LOA 27AP19 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION9.86 LOA 07JU19 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.6 LOA 11JU19 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION49-N BR LOA 22JU19 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION48JJ 6.85 LOA 17SP19 FVRS 10LAC
INDIAN RAILWAY FINANCE CORPORATION8.55 LOA 03FB20 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION6.7 LOA 08MR20 FVRS1LAC
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INDIAN RAILWAY FINANCE CORPORATION8.20 LOA 27AP20 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION9.86 LOA 07JU20 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION49-O BR LOA 22JU20 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.5 LOA 22JU20 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION LIMITED 6.72 LOA 20DC20 FVRS1LAC
INDIAN RAILWAY FINANCE CORPORATIONSR-51 7.74 LOA 22DC20 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.20 LOA 27AP21 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION LIMITED 9.27 LOA 10MY21 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATIONSR-52B 8.64 LOA 17MY21 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION LIMITED SR- 77 9.57 LOA 31MY21 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION9.86 LOA 07JU21 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION LIMITED SR-78 9.41 LOA 28JL21 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION LIMITED SR- 79 7.55 LOA 08NV21 FVRS1LAC
INDIAN RAILWAY FINANCE CORPORATION8.68 LOA 29NV21 FVRS10LAC
1000 1000
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INDIAN RAILWAY FINANCE CORPORATION LIMITED 8 / 8.15 LOA 23FB22 FVRS1000
INDIAN RAILWAY FINANCE CORPORATION8.20 LOA 27AP22 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION9.95 LOA 07JU22 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION9.86 LOA 07JU22 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION9.66 LOA 28SP22 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION9.2 LOA 29OT22 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.20 LOA 27AP23 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION10.7 LOA 11SP23 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.5 LOA 26DC23 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.65 LOA 15JN24 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.20 LOA 27AP24 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.65 LOA 03FB25 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.95 LOA 10MR25 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION LIMITED 9.09 LOA 29MR26 FVRS10LAC
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1000 1000
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INDIAN RAILWAY FINANCE CORPORATION LIMITED 9.09 LOA 31MR26 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION LIMITED 9.33 LOA 10MY26 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION LIMITED SR-79 A 7.77 LOA 08NV26 FVRS1LAC
INDIAN RAILWAY FINANCE CORPORATION8.75 LOA 29NV26 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION LIMITED 8.1 /8.3 LOA 23FB27 FVRS1000
INDIAN RAILWAY FINANCE CORPORATION10.04 LOA 07JU27 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.8 LOA 03FB30 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.79 LOA 04MY30 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.72 LOA 04MY31 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION LIMITED 9.47 LOA 10MY31 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.83 LOA 14MY31 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.72 LOA 04MY32 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.83 LOA 14MY32 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.72 LOA 04MY33 FVRS10LAC
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1000 1000
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INDIAN RAILWAY FINANCE CORPORATION8.83 LOA 14MY33 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.72 LOA 04MY34 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.83 LOA 14MY34 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.72 LOA 04MY35 FVRS10LAC
INDIAN RAILWAY FINANCE CORPORATION8.83 LOA 14MY35 FVRS10LAC
IREDA NTX SR-106 BD 17JN13 FV RS 1000
IREDA SR-11 5.5 BD22OT13 FVRS 1000
IREDA9.6 BD 24FB19 FVRS10LAC
IREDA8.85 BD 14JN20 FVRS10LAC
IREDA8.87 BD 24SP20 FVRS10LAC
INDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LTD. SR-IV 9.49 BD 04JU22 FVRS10LAC
IREDA9.02 BD 24SP25 FVRS10LAC
INDIGOLD TRADE AND SERVICES LIMITED LOA 25JL13 FVRS10LAC
INDOSTAR CAPITAL FINANCE PRIVATE LIMITED 11.85 LOA 16FB15 FVRS10LAC
1000000.000 1000000
1000000.000 1000000
1000000.000 1000000
100 100
1000000 1000000
1,000,000.00 1,000,000.00
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INDOSTAR CAPITAL FINANCE PRIVATE LIMITED 11.85 LOA 12MR15 FVRS10LAC
INDOSTAR CAPITAL FINANCE PRIVATE LIMITED SR-A 12.25 LOA 23MY16 FVRS10LAC
INDOSTAR CAPITAL FINANCE PRIVATE LIMITED SR-B 12.25 LOA 23MY16 FVRS10LAC
IND-SWIFT LAB.14 NCD 20MY13 FV RS 100
INDUSIND BANK10.35 LOA 29AP13 FVRS10LAC
INDUSIND BANK OPT-2 7 LOA 30AP14 FVRS 10LAC
INDUSIND BANKOP-2 8.5 LOA 30JU14 FVRS10LAC
INDUSIND BANK10.5 LOA 30JU14 FVRS10LAC
INDUSIND BANK8.4 LOA 30MY15 FVRS10LAC
INDUSIND BANK9.5 LOA 30JU15 FVRS10LAC
INDUSIND BANKOPT-1 RR LOA 30MR21 FVRS10LAC
INDUSIND BANKOPT-2 BR LOA 30MR21 FVRS10LAC
INDUSIND BANK10.25 LOA 30SP21 FVRS10LAC
INDUSIND BANK9.75 LOA 23DC21 FVRS10LAC
1000000 1000000
1,00,000 1,00,000
1,00,000 1,00,000
5000 5000
5000 5000
5000 5000
5000 5000
5000 5000
5000 5000
100000 100000
100000 100000
100000 100000
5000 5000
5000 5000
IDBI OMNI2005C 7.52 BD 31JN13 FVRS10LAC
IDBI OMNI SR-I 8.5 BD 05FB13 FV RS 1 LAC
IDBI OMNI -1 8 BD 10FB13 FV RS 1 LAC
IDBI OMNI-2003A 9.01 BD 19FB13 FV RS 5000
IDBI OMNI-2003A9 RIB-D 19FB13 FV RS 5000
IDBI OMNI-2003A8.65 RIB-E 19FB13 FV RS 5000
IDBI OMNI-2003A8.5 RIB-F 19FB13 FV RS 5000
IDBI FX-17 OPTC8 RIB 04MR13 FV RS 5000
IDBI FX-17 OPTD7.7 RIB 04MR13 FV RS 5000
IDBI OMNI-17.5 BD 05MR13 FV RS 1 LAC
IDBI OMNI-17.5 BD 31MR13 FV RS 1 LAC
IDBI OMNI 03R107.75 BD 31MR13 FV RS 1 LAC
IDBI FX-18 OPTC7.6 RIB 25AP13 FV RS 5000
IDBI FX-18 OPTD7.35 RIB 25AP13 FV RS 5000
100000 100000
100000 100000
100,000.00 100,000.00
100,000.00 100,000.00
100,000.00 100,000.00
100,000.000 100,000.000
100,000.00 100,000.00
100,000.000 100,000.000
100,000.00 100,000.00
100,000.00 100,000.00
100,000.00 100,000.00
100,000.00 100,000.00
100,000.00 100,000.00
100,000.000 100,000.000
IDBI OMNI-17.75 BD 05MY13 FV RS 1 LAC
IDBI OMNI-18 BD 05JU13 FV RS 1 LAC
IDBI OMNI SR-I 8 BD 07JL13 FV RS 1 LAC
IDBI OMNI SR-I 7.5 BD 09JL13 FV RS 1 LAC
IDBI OMNI-1 7.5 BD 15JL13 FV RS 1 LAC
IDBI OMNI SR-03/C 7.5 RRB-3 01AG13 FV RS 1 LAC
IDBI OMNI-1 7.25 BD 05AG13 FV RS 1 LAC
IDBI OMNI-1 7.5 BD 07AG13 FV RS 1 LAC
IDBI OMNI-1 7.4 BD 18AG13 FV RS 1 LAC
IDBI OMNI-1 7 BD 25AG13 FV RS 1 LAC
IDBI OMNI-1 6.75 BD 04SP13 FV RS 1 LAC
IDBI OMNI-1 6.9 BD 15SP13 FV RS 1 LAC
IDBI OMNI-1 6.5 BD 22SP13 FV RS 1 LAC
IDBI OMNI-16.9 BD 06OT13 FV RS 1 LAC
100,000.000 100,000.000
100,000.000 100,000.000
100,000.000 100,000.000
100,000.000 100,000.000
100,000.000 100,000.000
1,00,000 1,00,000
5,000.000 5,000.000
5,000.000 5,000.000
5,000.000 5,000.000
1,000,000.000 1,000,000.000
5,000.000 5,000.000
5,000.000 5,000.000
5,000.00 5,000.00
5,000.00 5,000.00
IDBI OMNI-16.5 BD 09OT13 FV RS 1 LAC
IDBI OMNI-16.5 BD 20OT13 FV RS 1 LAC
IDBI OMNI-1 6.40 BD 03NV13 FV RS 1 LAC
IDBI OMNI-1 6.50 BD 05NV13 FV RS 1 LAC
IDBI OMNI-1 6.4 BD 05DC13 FV RS 1 LAC
IDBI OMNI SR-I 9 BD 06DC13 FV RS 1 LAC
IDBI FX-19 6.50 RIB/C 12JN14 FV RS 5000
IDBI FX-19 6.25 RIB/D 12JN14 FV RS 5000
IDBI FX-19 RTB/B 12JN14 FV RS 5000
IDBI OMNI 2003/F-2004/A 6.3 BD 16JN14 FV RS 10 LAC
IDBI FX-20 OPTC 6.2 RIB 05MR14 FV RS 5000
IDBI FX-20 OPTD 6 RIB 05MR14 FV RS 5000
IDBI FX-21 OPT-C 6.2 RIB 20AP14 FV RS 5000
IDBI FX-21 OPT-B RTB 20AP14 FV RS 5000
1000000 1000000
1000000 1000000
5,000.000 10,000.000
1000000 1000000
5000 5000
5000 5000
5000 5000
5000 5000
5000 5000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
5,000.000 10,000.000
IDBI OMNI04-J 7 RRB-2 29SP14 FVRS 10LAC
IDBI LTDOMNI 2004S/RRB-2 7.25 BD 04JN15 FVRS 10LAC
IDBI FX-19 MMB/B 12JN15 FV RS 10000
IDBI OMNISR 2005A RRB-II 7.25 BD 24JN15 FVRS10LAC
IDBI LTDFX-22 RIB OPTD 7.2 BD 25FB15 FVRS 5000
IDBI LTDFX-22 RIB OPTE 7.05 BD 25FB15 FVRS 5000
IDBI LTDFX-22 RIB OPTF 7.2 BD 25FB15 FVRS 5000
IDBI LTDFX-22 RTB OPTC 7.24 BD 25FB15 FVRS 5000
IDBI LTDFX-22 RTB OPTD 7.22 BD 25FB15 FVRS 5000
IDBI OMNI TI(2)TR2-05 SR-2 7.25 RRB-II BD 31MR15 FVRS10LAC
IDBI OMNI04-5 TR2 7.25 BD 08AP15 FVRS10LAC
IDBI OMNISR-7 TR2 7.5 BD 08JU15 FVRS10LAC
IDBI OMNISR-1 TR-2 7.15 BD 30JU15 FVRS10LAC
IDBI FX-20 OPTB MMB 05AG15 FV RS 10000
1,000.000 1,000.000
100,000.00 100,000.00
100,000.00 100,000.00
100,000.00 100,000.00
5,000.000 5,000.000
1,000,000.000 1,000,000.000
5,000.00 5,000.00
5000 5000
5000 5000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
IDBI SR-48A 7.05 BD 08MR18 FV RS 1000
IDBI OMNI-1 8 BD 01AG18 FV RS 1 LAC
IDBI OMNI-1 7.75 BD 05AG18 FV RS 1 LAC
IDBI OMNI-1 7.75 BD 18AG18 FV RS 1 LAC
IDBI FX-19 7 RIB/E 12JN19 FV RS 5000
IDBI OMNI SR-2003/G 7 BD 12JN19 FV RS 10 LAC
IDBI FX-21 OPT-D 6.75 RIB 20AP19 FV RS 5000
IDBI FX-6 RT OPT-C 05AP13 FV RS 5000
IDBI FX-7 RTOPT-C BD 11SP13 FV RS 5000
IDBI OMNI06/C 7.81 BD 19JN13 FVRS10LAC
IDBI OMNI06/F 8.02 BD 03FB13 FVRS10LAC
IDBI OMNI8.03 BD 11FB13 FVRS10LAC
IDBI OMNI7.96 BD 11FB13 FVRS10LAC
IDBI LTD9.45 BD 01MR13 FVRS10LAC
1000000 1000000
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1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
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1000000 1000000
IDBI OMNI8.29 BD 04MR13 FVRS10LAC
IDBI OMNI06/G RRB2 7.8 BD 08MR13 FVRS10LAC
IDBI OMNIRRB-2 8.25 BD 27MR13 FVRS10LAC
IDBI OMNISR-1 8.47 BD 05AP13 FVRS10LAC
IDBI OMNISR-9 RRB2 7.3 BD 27AP13 FVRS10LAC
IDBI OMNISR-2 8.43 BD 04MY13 FVRS10LAC
IDBI OMNISR-3 RRB2 8.35 BD 26MY13 FVRS10LAC
IDBI OMNISR-6 8.48 BD 31MY13 FVRS10LAC
IDBI OMNI9.11 BD 28JL13 FVRS10LAC
IDBI OMNI9.11 BD 29JL13 FVRS10LAC
IDBI OMNI8.85 BD 10AG13 FVRS10LAC
IDBI OMNISR X 8.83 BD 16AG13 FVRS 10LAC
IDBI OMNI8.7 BD 30AG13 FVRS1LAC
IDBI OMNI8.67 BD 10SP13 FVRS10LAC
1000000 1000000
1000000 1000000
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1000000 1000000
1000000 1000000
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1000000 1000000
1000000 1000000
1000000 1000000
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1000000 1000000
1000000 1000000
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IDBI LTD10.09 BD 06JL14 FVRS10LAC
IDBI LTD9.59 BD 10AG14 FVRS10LAC
IDBI LTD9.79 BD 29SP14 FVRS10LAC
IDBI LTDSR-8/2/05 RRB2 7.45 BD 20JL15 FVRS10LAC
IDBI OMNI05/Y 7.6 BD 16DC15 FVRS10LAC
IDBI OMNI06/A RRB-2 7.7 BD 23JN16 FVRS10LAC
IDBI OMNI8.75 BD 29JN16 FVRS10LAC
IDBI OMNI06/D 7.8 BD 30JN16 FVRS10LAC
IDBI OMNI06/E 7.83 BD 02FB16 FVRS10LAC
IDBI OMNI8.16 BD 23FB16 FVRS10LAC
IDBI OMNI06/G RRB3 8 BD 08MR16 FVRS10LAC
IDBI OMNISR-9 RRB3 7.45 BD 27AP16 FVRS10LAC
IDBI OMNISR-3 RRB3 8.55 BD 26MY16 FVRS10LAC
IDBI OMNI8.95 BD 21SP16 FVRS10LAC
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
1000000 1000000
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100,000.00 100,000.00
100,000.000 100,000.000
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1,00,000 Rs.1,00,000
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IDBI LTD8.85 BD 20DC16 FVRS10LAC
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IDBI LTD10.1 BD 07MY17 FVRS10LAC
IDBI LTD9.35 BD 01JN18 FVRS10LAC
IDBI LTD9.41 BD 16FB18 FVRS10LAC
IDBI LTD10.07 BD 23SP22 FVRS10LAC
IIBI USB AP-02 10.2 BD 01MY14 FV RS 1 LAC
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IIBI USB MY-03 8.7 BD 01JU15 FV RS 1 LAC
IIBI USB FB-0111.5 BD 01MR16 FV RS 1 LAC
1,00,000 Rs.1,00,000
1,00,000 Rs.1,00,000
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IIBI USB-DEC01 10.75 BD 01JN17 FV RS 1 LAC
IIBI AG-03/2 DDB 25AG28 FV RS 1 LAC
INFINITI RETAIL LIMITED LOA 21MR15 FVRS10LAC
INFINITI RETAIL LIMITED LOA 29MR15 FVRS10LAC
INFORMATION TECHNOLOGY PARK LIMITED 11 CCD 14MY26 FVRS100
INFORMATION TECHNOLOGY PARK LIMITED 11 FCD 27OT26 FVRS100
INFOTECH MOBILINK PVT LTDLOA 28JL14 FVRS10
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INFOTEL BROADBAND SERVICES LIMITED8.95 LOA 04OT20 FVRS10LAC
IDFC LTDSR-PP37/2010 6.6 NCD 03JN13 FVRS10LAC
IDFC LTD7.21 LOA 03JN13 FVRS10LAC
IDFC LTD8 LOA 03JN13 FVRS10LAC
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IDFC LTD9.05 LOA 08FB13 FVRS10LAC
IDFC LTD9.15 LOA 21FB13 FVRS10LAC
IDFC LTDLOA 08AP13 FVRS10LAC
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IDFC LTD9.48 LOA 13MY13 FVRS10LAC
IDFC LTD9.38 LOA 03JU13 FVRS10LAC
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INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.5 LOA 26JL13 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT OP-II 9.5920 LOA 10AG13 FVRS10LAC
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INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT OP-I LOA 30AG13 FVRS10LAC
IDFC LTD8.4 LOA 15SP13 FVRS10LAC
IDFC LTD8.48 LOA 28SP13 FVRS10LAC
IDFC LTD7.5 LOA 10JU13 FVRS10LAC
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IDFC LTD6 NCD 11NV13 FVRS10LAC
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IDFC LTD11.4 LOA 02DC13 FVRS10LAC
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INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.75 LOA 13DC13 FVRS10LAC
IDFC LTD10 LOA 16DC13 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.65 LOA 07JN14 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.95 LOA 14JN14 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.65 LOA 21JN14 FVRS10LAC
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IDFC LTD8.02 LOA 28JU14 FVRS10LAC
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IDFC LTD7.25 LOA 23MR15 FVRS10LAC
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INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT PP 14/2013 OPT-I 9.45 LOA 17JL15 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT PP 16/2013 9.8 LOA 24JL15 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT PP 18/2013 OP-I LOA 29JL15 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT PP 05/2013 OPT-II 9.83 LOA 23AG15 FVRS10LAC
IDFC LTD7.5 LOA 28SP15 FVRS10LAC
IDFC LTDPP27/2010-I 7.5 LOA 28SP15 FVRS10LAC
IDFC LTD7.85 NCD 28SP15 FVRS10LAC
IDFC LTDPP2/06 7.45 LOA 10OT15 FV RS 10LAC
IDFC LTD7.95 NCD 21NV15 FVRS10LAC
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IDFC LTD7.65 LOA 08DC15 FVRS10LAC
IDFC LTD7.5 LOA 09DC15 FVRS10LAC
IDFC LTD8.2 LOA 10MR16 FVRS10LAC
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INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT PP 14/2013 OPT-II 9.45 LOA 17JL16 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.15 LOA 06OT16 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.1435 LOA 14NV16 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.4 LOA 12JN17 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.1075 LOA 14JN17 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT OP-I 9.3420 LOA 15JN17 FVRS10LAC
IDFC LTD9.28 LOA 25JN17 FVRS10LAC
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INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.3060 LOA 14MR17 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.3555 LOA 27MR17 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.9140 LOA 19AP17 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.0990 LOA 03MY17 FVRS10LAC
IDFC LTDBR LOA 16MY17 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.89 LOA 20MY17 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.9 LOA 14JU17 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT PP 03/2013 OPT-I 9.8990 LOA 20JU17 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT OP-I 9.876 LOA 16JL17 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT OP-II 9.8815 LOA 16JL17 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT PP 14/2013 OPT-III 9.45 LOA 17JL17 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT PP 18/2013 OP-II LOA 31JL17 FVRS10LAC
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INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT PP 09/2013 OPT-II 9.72 LOA 19AG17 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT PP 05/2013 OPT-I 9.8265 LOA 23AG17 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.7710 LOA 16OT17 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT PP 06/2013 OPT-I 9.82 LOA 06DC17 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT PP 06/2013 OPT-II 9.825 LOA 06DC17 FVRS10LAC
IDFC LTD8.95 LOA 17JN18 FVRS10LAC
IDFC LTD8.95 LOA 05FB18 FVRS10LAC
IDFC LTD9.1 LOA 08FB18 FVRS10LAC
IDFC LTD9.05 LOA 25AG19 FVRS10LAC
IDFC LTD8.95 LOA 04SP19 FVRS10LAC
IDFC LTDSR-PP19/2010 8.9 LOA 29SP19 FVRS10LAC
IDFC LTD8.75 LOA 17NV19 FVRS10LAC
IDFC LTD8.75 LOA 17DC19 FVRS10LAC
IDFC LTDPP 43/2010 8.77 LOA 09FB20 FVRS10LAC
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5000 5000
5000 5000
5000 5000
5000 5000
5000 5000
5000 5000
5000 5000
5000 5000
5000 5000
IDFC LTD8.89 LOA 02DC20 FVRS10LAC
IDFC LTD8.65 LOA 24MY20 FVRS10LAC
IDFC LTD8.79 LOA 15SP20 FVRS10LAC
IDFC LTD8.77 LOA 20SP20 FVRS10LAC
IDFC LTD8.72 LOA 29SP20 FVRS10LAC
IDFC LTDSR-1 8 BD 12NV20 FVRS5000
IDFC LTDSR-2 BD 12NV20 FVRS5000
IDFC LTDSR-3 7.5 BD 12NV20 FVRS5000
IDFC LTDSR-4 BD 12NV20 FVRS5000
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT SR-2 BD 30DC21 FVRS5000
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT SR-1 9 BD 30DC21 FVRS5000
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT BD 21MR22 FVRS5000
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 8.7 BD 21MR22 FVRS5000
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT SR-1 8.43 BD 31MR22 FVRS5000
5000 5000
1000000 1000000
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INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT SR-2 BD 31MR22 FVRS5000
IDFC LTD9.15 LOA 25AG24 FVRS10LAC
IDFC LTD9.05 LOA 31AG24 FVRS10LAC
IDFC LTD9 LOA 15SP24 FVRS10LAC
IDFC LTD8.81 LOA 15JN25 FVRS10LAC
IDFC LTD8.83 LOA 15JN25 FVRS10LAC
IDFC LTD8.8 LOA 27JN25 FVRS10LAC
IDFC LTDSR- PP 01/2011 9.03 LOA 05AP25 FVRS10LAC
IDFC LTDSR-PP 02/2011 8.96 LOA 05AP25 FVRS10LAC
IDFC LTD8.9 LOA 09AP25 FVRS10LAC
IDFC LTD8.9 LOA 28AP25 FVRS10LAC
IDFC LTD8.95 LOA 13MY25 FVRS10LAC
IDFC LTD8.84 LOA 28MY25 FVRS10LAC
IDFC LTD8.8 LOA 15JU25 FVRS10LAC
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224497 1000000
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833041 1000000
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5000 5000
5000 5000
5000 5000
IDFC LTDSR- PP17/2011 8.8 LOA 21JL25 FVRS10LAC
IDFC LTD8.95 LOA 06AG25 FVRS10LAC
IDFC LTD8.8 LOA 08JL25 FVRS10LAC
IDFC LTD8.89 LOA 15SP25 FVRS10LAC
IDFC LTD8.86 LOA 20SP25 FVRS10LAC
IDFC LTD8.82 LOA 29SP25 FVRS10LAC
IDFC LTD8.9 LOA 19NV25 FVRS10LAC
IDFC LTDLOA 17JN26 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.28 LOA 15AP26 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT LOA 11MR13 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.05 LOA 27DC20 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 8 BD 21FB21 FVRS5000
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT BD 21FB21 FVRS5000
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT SR-2 BD 30MR21 FVRS5000
5000 5000
1000000 1000000
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10,000,000.00 10,000,000.00
1,000,000.00 1,000,000.00
1000 1000
1000 1000
1,000.00 1,000.00
1,000.00 1,000.00
1,000.00 1,000.00
1,000.00 1,000.00
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT SR-1 8.25 BD 30MR21 FVRS5000
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.35 LOA 17FB26 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.33 LOA 14MR26 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.33 LOA 28MR26 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.25 LOA 24MR21 FVRS10LAC
INFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LT 9.15 LOA 06JN26 FVRS10LAC
IDFC PP 1A-04 6.65 NCD 10AP13 FV RS 1 CR
IDFC LTD 9/04 6.1 LOA 31MR14 FVRS 10LAC
ILFS 2002 SR-117.65 NCD 21FB13 FV RS 1000
ILFS 2002 SR-118.05 NCD 21FB18 FV RS 1000
ILFS 2002 SR-11 7.4 NCD 10AP13 FV RS 1000
ILFS 2002 SR-11 7.1 NCD 07MY13 FV RS 1000
ILFS 2002 SR-11 7 NCD 16MY13 FV RS 1000
ILFS 2002 SR-11 7.1 NCD 16MY13 FV RS 1000
1,000.00 1,000.00
1,000.00 1,000.00
1,000.00 1,000.00
1,000.000 1,000.000
1,000.000 1,000.000
1,000.000 1,000.000
1,000.000 1,000.000
1,000.000 1,000.000
1,000.000 1,000.000
1000 1000
1000 1000
1,000.000 1,000.000
1,000.00 1,000.00
1,000.00 1,000.00
ILFS 2002 SR-11 7 NCD 06JU13 FV RS 1000
ILFS 2001 SR-9A 6.9 LOA 17JU13 FV RS 1000
ILFS 2001 SR-9A 6.5 NCD 07JL13 FV RS 1000
IL & FS LIMITED SR-03/3 6.2LOA30SP13 FVRS 1000
IL & FS LIMITED SR03-3 6 LOA24OT13 FVRS 1000
IL & FS LIMITED SR-03/3 6 LOA 12NV13 FVRS 1000
IL & FS LIMITED 03/3 6.2 LOA 07JN14 FVRS 1000
IL & FS LIMITED 03/3 6.25 LOA 07JN14 FVRS 1000
IL & FS LIMITED 03/3 6.1 LOA 07JN14 FVRS 1000
ILFS 99 SR1 OP4 BR NCD 15JU14 FV RS 1000
ILFS 2001 SR-119 NCD 09AG17 FV RS 1000
ILFS 2001 SR-9B 8.10 NCD 20FB18 FV RS 1000
ILFS 2002 SR-11 7.2 NCD 16MY18 FV RS 1000
ILFS 2002 SR-11 7.2 NCD 06JU18 FV RS 1000
1,000.00 1,000.00
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
ILFS 2001 SR-9A 7.2 LOA 17JU18 FV RS 1000
IL & FS LIMITED6.3 NCD 17JL13 FVRS1000
IL & FS LIMITED10.5 LOA 20MR14 FVRS1000
IL & FS LIMITED10.5 LOA 30MR14 FVRS1000
IL & FS LIMITED9 LOA 09JL14 FVRS1000
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD 10 LOA 10OT14 FVRS1000
IL & FS LIMITED9 NCD 10MR15 FVRS1000
IL & FS LIMITED7.25 NCD 30AP15 FVRS1000
IL & FS LIMITED05/I 7.6 NCD 07JU15 FVRS1000
IL & FS LIMITED7.8 LOA 01JN16 FVRS1000
IL & FS LIMITED8 LOA 17MR16 FVRS1000
IL & FS LIMITED8.2 LOA 05AP16 FVRS1000
IL & FS LIMITED8.45 LOA 24AP16 FVRS1000
IL & FS LIMITED8.55 LOA 24AP16 FVRS1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
IL & FS LIMITED8.55 LOA 19MY16 FVRS1000
IL & FS LIMITED8.5 LOA 09JU16 FVRS1000
IL & FS LIMITED8.45 LOA 19JU16 FVRS1000
IL & FS LIMITED9.5 NCD 27JL16 FVRS1000
IL & FS LIMITED9.25 LOA 17AG16 FVRS1000
IL & FS LIMITED9.4 NCD 01SP16 FVRS1000
IL & FS LIMITED9.5 NCD 01SP16 FVRS1000
IL & FS LIMITED9.25 LOA 15SP16 FVRS1000
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD 9.97 LOA 28SP16 FVRS1000
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD 10 LOA 10OT16 FVRS1000
IL & FS LIMITED9.05 LOA 10NV16 FVRS1000
IL & FS LIMITED9.25 LOA 22DC16 FVRS1000
IL & FS LIMITED9.25 LOA 10JN17 FVRS1000
IL & FS LIMITED9.3 LOA 02FB17 FVRS1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
IL & FS LIMITED10.5 LOA 26MR17 FVRS1000
IL & FS LIMITED10.5 LOA 11JU17 FVRS1000
IL & FS LIMITED9 NCD 29AG17 FVRS1000
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD SR-III 9.8 LOA 16SP17 FVRS1000
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD 9.75 LOA 11AG18 FVRS1000
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD 9.98 LOA 05DC18 FVRS1000
IL & FS LIMITED12.2 LOA 15DC18 FVRS1000
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD SR-IV 9.78 LOA 16SP19 FVRS1000
IL & FS LIMITED9.15 NCD 02MR20 FVRS1000
IL & FS LIMITED9.2 LOA 05MR20 FVRS1000
IL & FS LIMITED9.2 NCD 22MR20 FVRS1000
IL & FS LIMITED7.8 LOA 01MR21 FVRS1000
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD 9.68 LOA 25JL21 FVRS1000
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD 9.98 LOA 05DC21 FVRS1000
1000 1000
1000 1000
1000.000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
1000 1000
100,000.000 100,000.000
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD 9.82 LOA 24JN22 FVRS1000
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD 9.85 LOA 12MR22 FVRS1000
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD SR-I 9.80 LOA 30MY22 FVRS1000
IL & FS LIMITED8.96 LOA 20MY25 FVRS1000
IL & FS LIMITED9.35 LOA 17AG35 FVRS1000
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD 9.35 LOA 24DC13 FVRS1000
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD 9.1 LOA 24DC15 FVRS1000
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD 9.95 LOA 01MR16 FVRS1000
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD 9.95 LOA 14FB16 FVRS1000
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD 9.95 LOA 25FB16 FVRS1000
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD 7.5 NCD 30AP20 FVRS1000
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD 9.2 LOA 24DC20 FVRS1000
INFRASTRUCTURE LEASING AND FINANCIAL SERV.LTD 9.7 LOA 22FB21 FVRS1000
ING VYSYA SR-2 6.25 LOA 12SP13 FV RS 1 LAC
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100000 100000
100.000 100
20,00,000 20,00,000
20,00,000 20,00,000
20,00,000 20,00,000
20,00,000 20,00,000
10 10
ING VYSYA BANK8.75 LOA 17MY15 FVRS10LAC
ING VYSYA BANK8.95 LOA 24MY15 FVRS10LAC
ING VYSYA BANK8.95 LOA 29MY15 FVRS10LAC
ING VYSYA BANK9.7 LOA 28AG16 FVRS 10LAC
ING VYSYA BANK10.4 LOA 14JL18 FVRS10LAC
ING VYSYA BANK9.65 LOA 30JN19 FVRS10LAC
INTAS PHARMACEUTICALS LIMITED 9.25 NCD 06NV14 FVRS10LAC
INTERNATIONAL BIOTECH PARK LIMITED6 OFCD 20JL14 FV RS 1 LAC
INTERNATIONAL AMUSEMENT LIMITED FCD 15JU15 FVRS100
IOC SR5 STRPP-J10.25 BD 17JL13 FV RS 20 LAC
IOC SR5 STRPP-K10.25 BD 17JL14 FV RS 20 LAC
IOC SR5 STRPP-L10.25 BD 17JL15 FV RS 20 LAC
IOC SR5 STRPP-M10.25 BD 17JL16 FV RS 20 LAC
IOT UTKAL ENERGY SERVICES LIMITED 8 CCD 20JL17 FVRS10
1000000 1000000
1000000 1000000
10019399.9 11394483.5
10175742.1 11474205.9
1000000 1000000
1000000 1000000
IPCA LABS12.75 LOA 26DC13 FVRS10LAC
IPCA LABORATORIES LIMITED 9.95 LOA 03OT16 FVRS10LAC
IRST SERIES - II - ITSLSR-A1 PTC 31MY10
IRST SERIES - III-ITCLSR-A2 PTC 07JL10
IVR PRIME URBAN DEVELOPERS LIMITED9.5 LOA 10MR13 FVRS10LAC
IVRCL INFR & PR12.15 LOA 18DC13 FVRS10LAC
Issue Date/Date of Allotment Redemption Coupon Rate
3/19/2004 7/19/2014 6.50%
1/20/2011 1/20/2026 Reset Rate (Refer Remark)
3/25/2011 3/25/2026 9.40%
3/15/2012 3/15/2022 9.25%
5/30/2012 5/30/2022 9.03%
9/26/2008 9/26/2013 11.10%
12/15/2008 12/15/2013 11.35%
3/26/2009 3/26/2014 9.25%
4/30/2008 4/30/2015 9.73%
9/28/2008 9/28/2015 11.08%
10/5/2008 10/5/2015 11.04%
6/13/2008 10/13/2015 10.39%
9/29/2008 9/29/2016 11.24%
9/26/2008 9/26/2018 11.00%
9/29/2009 9/29/2018 9.37%
12/15/2008 12/15/2018 11.30%
11/23/2009 11/23/2019 8.53%
3/23/2010 3/23/2020 9.05%
9/29/2010 9/29/2020 8.63%
8/4/2011 8/4/2021 9.38%
11/26/2011 11/26/2021 9.72%
11/30/2011 11/30/2021 9.70%
12/13/2011 12/13/2021 9.45%
3/13/2012 3/13/2022 9.33%
9/29/2008 9/29/2023 11.15% (Refer remark)
10/29/2008 10/29/2023 11.40% (Refer remark)
3/31/2009 3/31/2024 Reset Rate (Refer remark)
6/26/2009 6/26/2024 Reset Rate (Refer remark)
9/25/2009 9/25/2024 Reset Rate (Refer remark)
11/19/2009 11/19/2024 Reset Rate (Refer remark)
2/3/2010 2/3/2025 Reset Rate (Refer remark)
8/7/2010 8/7/2025 8.57%
3/14/2009 3/14/2029 11.25%
6/13/2009 6/13/2029 9.56%
9/26/2009 9/26/2029 9.67%
3/26/2009 12/31/2099 Reset Rate (Refer remark)
12/23/2009 12/31/2099 Reset Rate (Refer remark)
1/29/2010 12/31/2099 Reset Rate (Refer remark)
3/10/2010 12/31/2099 Reset Rate (Refer remark)
6/22/2010 12/31/2099 Reset Rate (Refer remark)
2/9/2007 2/8/2017 9.25%
3/28/2009 3/27/2019 10.50%
8/6/2012 8/6/2014 9.43%
8/22/2012 8/22/2014 9.4%
8/29/2012 8/25/2014 9.44%
8/29/2012 8/29/2014 9.44%
9/11/2012 9/18/2014 9.4%
9/11/2012 9/25/2014 9.4%
9/4/2012 4/27/2015 9.37%
8/9/2012 8/3/2015 ZERO COUPON
8/9/2012 8/3/2015 9.36%
8/10/2012 8/6/2015 9.35%
8/10/2012 8/10/2015 9.35%
9/11/2012 8/31/2015 ZERO COUPON
9/11/2012 9/7/2015 ZERO COUPON
9/11/2012 9/17/2015 9.35%
9/20/2012 9/21/2015 ZERO COUPON
9/13/2012 9/13/2016 9.3%
8/22/2012 8/22/2017 9.4%
9/20/2012 9/20/2017 9.1315
9/13/2012 9/13/2019 9.25%
7/9/2012 1/9/2014 11.7%
7/25/2012 1/25/2014 11.7%
6/7/2012 12.5%
12/22/1997 12/22/2012 6.00%
12/31/2002 12/31/2012 9.00%
1/25/1998 1/25/2013 EPFO rate +0.5%
1/25/1998 1/25/2013 6.00%
3/20/2001 3/20/2013 EPFO rate +0.5%
3/25/1998 3/25/2013 6.00%
4/20/2003 4/20/2013 6.00%
4/1/2003 4/20/2013
5/20/2001 5/20/2013 EPFO rate +0.5%
6/8/2001 6/8/2013 9.00%
4/1/2003 7/20/2013
7/31/1998 7/31/2013 9.00%
9/6/2003 9/6/2013 6.00%
9/30/2001 9/30/2013 EPFO rate +0.5%
4/1/2003 10/20/2013
11/30/1996 11/30/2013 6.00%
11/30/2008 11/30/2013 11.00%
11/30/2008 11/30/2013 11.15%
12/20/2000 12/20/2013 6.00%
EPFO Rate or 9.25% whichever is higher
EPFO rate or 9.25% pa whichever is higher
EPFO Rate or 9.25% which ever is Higher
12/31/2008 12/31/2013 10.25%
4/1/2003 1/20/2014
1/31/2011 1/31/2014 9.00%
2/6/2001 2/6/2014 6.00%
2/28/2002 2/28/2014 9.00%
2/28/2002 2/28/2014 EPFO rate +0.5%
3/22/2001 3/22/2014 6.00%
3/31/2009 3/31/2014 10.00%
3/31/2011 3/31/2014 9.50%
4/20/2002 4/20/2014 9.00%
4/30/2009 4/30/2014 9.75%
5/31/2001 5/31/2014 6.00%
5/31/2009 5/31/2014 9.75%
6/30/1999 6/30/2014 6.00%
EPFO Rate or 9.25% which ever is Higher
6/30/2009 6/30/2014 9.75%
7/31/2009 7/31/2014 9.50%
8/31/1999 8/31/2014 9.00%
10/15/1997 10/15/2014 6.00%
11/20/1999 11/20/2014 EPFO rate +0.5%
11/30/1997 11/30/2014 6.00%
11/30/2009 11/30/2014 9.00%
11/30/2011 11/30/2014 10.40%
12/31/2011 12/31/2014 10.40%
1/31/2000 1/31/2015 9.00%
1/31/2010 1/31/2015 8.00%
1/31/2012 1/31/2015 10.20%
3/25/1998 3/25/2015 6.00%
3/31/1998 3/31/2015 6.00%
3/31/2010 3/31/2015 8.75%
5/31/2000 5/31/2015 9.00%
5/31/2010 5/31/2015 8.90%
6/30/2000 6/30/2015 9.00%
7/20/1998 7/20/2015 9.00%
7/20/1998 7/20/2015 6.00%
7/31/1998 7/31/2015 6.00%
7/31/2010 7/31/2015 8.90%
8/8/2000 8/8/2015 9.00%
8/8/2000 8/8/2015 EPFO rate +0.5%
8/31/2010 8/31/2015 8.90%
9/30/1998 9/30/2015 6.00%
9/30/2010 9/30/2015 8.90%
11/30/1998 11/30/2015 6.00%
11/30/2010 11/30/2015 8.90%
12/20/2000 12/20/2015 EPFO rate +0.5%
3/20/2001 3/20/2016 EPFO rate +0.5%
3/31/2011 3/31/2016 9.75%
4/30/2011 4/30/2016 9.75%
5/20/2001 5/20/2016 6.00%
5/20/2001 5/20/2016 EPFO rate +0.5%
5/20/2001 5/20/2016 8.5%
5/31/2011 5/31/2016 10.30%
6/8/2001 6/8/2016 6.00%
6/8/2001 6/8/2016 9.00%
6/19/2001 6/19/2016 6.00%
6/30/1999 6/30/2016 6.00%
7/31/1999 7/31/2016 6.00%
7/31/2011 7/31/2016 10.30%
8/31/2011 8/31/2016 10.30%
11/30/2001 11/30/2016 6.00%
11/30/2009 11/30/2016 9.25%
11/30/2011 11/30/2016 10.50%
12/31/2001 12/31/2016 6.00%
12/31/2011 12/31/2016 10.50%
1/31/2000 1/31/2017 6.00%
1/31/2010 1/31/2017 8.25%
1/31/2012 1/31/2017 10.30%
2/28/2012 2/28/2017 10.20%
3/31/2010 3/31/2017 9.00%
3/31/2012 3/31/2017 10.20%
4/20/2002 4/20/2017 6.00%
4/20/2002 4/20/2017 9.00%
4/30/2010 4/30/2017 9.00%
4/30/2012 4/30/2017 10.20%
5/31/2010 5/31/2017 9.15%
7/31/2002 7/31/2017 9.00%
7/31/2010 7/31/2017 9.15%
8/14/2012 8/17/2017 10.25%
8/31/2010 8/31/2017 9.15%
9/30/2010 9/30/2017 9.15%
10/15/2012 10/15/2017 9.7%
10/31/2010 10/31/2017 9.15%
11/30/2010 11/30/2017 9.15%
1/31/2011 1/31/2018 9.25%
3/1/2001 3/1/2018 6.00%
5/31/2011 5/31/2018 10.40%
7/31/2011 7/31/2018 10.40%
8/31/2011 8/31/2018 10.40%
1/31/2012 1/31/2019 10.40%
2/28/2002 2/28/2019 9.00%
6/20/2009 6/20/2019 10.20%
6/30/2009 6/30/2019 10.20%
7/31/2009 7/31/2019 9.75%
11/30/2009 11/30/2019 9.40%
1/31/2010 1/31/2020 8.75%
3/31/2010 3/31/2020 9.15%
4/30/2010 4/30/2020 9.15%
5/18/2000 5/18/2020 6.00%
5/31/2010 5/31/2020 9.25%
7/31/2010 7/31/2020 9.25%
8/31/2010 8/31/2020 9.25%
9/15/2010 9/15/2020 7.85%
9/15/2010 9/15/2020 7.85%
9/15/2010 9/15/2020 7.95%
9/15/2010 9/15/2020 7.95%
9/30/2010 9/30/2020 9.25%
10/31/2010 10/31/2020 9.25%
11/30/2010 11/30/2020 9.25%
1/31/2011 1/31/2021 8.00%
1/31/2011 1/31/2021 8.00% (Compounded annually)
1/31/2011 1/31/2021 8.25%
1/31/2011 1/31/2021 8.25% (Compounded annually)
1/31/2011 1/31/2021 9.50%
2/15/2001 2/15/2021 6.00%
3/31/2011 3/31/2021 10.00%
4/30/2011 4/30/2021 10.00%
5/31/2011 5/31/2021 10.20%
8/1/2011 8/1/2021 10.50%
8/1/2011 8/1/2021 10.5% (Annual Compounding)
8/25/2011 8/25/2021 10.55%
8/31/2011 8/31/2021 10.40%
10/31/2011 10/31/2021 10.60%
10/31/2011 10/31/2021 10.60%
10/31/2011 10/31/2021 10.50%
11/30/2011 11/30/2021 10.60%
12/31/2011 12/31/2021 10.60%
1/25/2002 1/25/2022 6.00%
2/15/2012 2/15/2022 9.09%
2/15/2012 2/15/2022 9.09%
2/23/2012 2/28/2022 10.50%
2/28/2012 2/28/2022 10.25%
3/31/2012 3/31/2022 10.25%
6/26/2012 6/26/2022 10.25%
6/26/2012 6/26/2022 10.15%
10/8/2012 10/8/2022 9.95%
4/12/2012 3/31/2024 8.50%
4/12/2012 3/31/2024 8.50%
1/25/2010 1/25/2025 9.75%
3/5/2010 3/5/2025 9.55%
4/13/2010 4/13/2025 9.55%
8/1/2011 8/1/2026 10.75%
8/1/2011 8/1/2026 10.75% (Annual Compounding)
10/31/2011 10/31/2026 10.75%
2/15/2012 2/15/2027 9.16%
2/15/2012 2/15/2027 9.16%
2/23/2012 2/28/2027 10.70%
4/12/2012 3/31/2027 8.72%
4/12/2012 3/31/2027 8.72%
10/8/2012 10/8/2027 10.1%
10/8/2012 10/8/2027 10.12%
5/4/2010 5/4/2030 9.70%
5/18/2010 5/18/2030 9.70%
7/13/2010 7/13/2030 9.75%
7/16/2010 7/16/2030 9.75%
10/29/2010 10/29/2030 9.98%
7/7/2010 7/7/2031 N.A
7/7/2010 7/7/2032 N.A
10/15/2012 10/15/2032 9.98%
7/7/2010 7/7/2033 N.A
7/7/2010 7/7/2034 N.A
7/7/2010 7/7/2035 N.A
7/7/2010 7/7/2036 N.A
7/7/2010 7/7/2037 N.A
9/18/2012 9/18/2037 9.98%
7/7/2010 7/7/2038 N.A
7/7/2010 7/7/2039 N.A
7/7/2010 7/7/2040 N.A
1/13/1992 13/01/2012 12.00%
1/28/1993 28/01/2008 13.00%
1/25/1998 1/25/2013 9.00%
2/17/2003 2/17/2013 6.29%
3/20/2000 3/20/2013 6.00%
3/20/2001 3/20/2013 9.00%
3/31/1999 3/31/2013 6.00%
5/20/2001 5/20/2013 9.00%
7/20/1998 7/20/2013 6.00%
7/20/2001 7/20/2013 9.00%
9/24/1993 9/24/2013
1/20/1999 1/20/2014 6.00%
3/1/1999 3/1/2014 6.00%
6/7/1999 6/7/2014 9.00%
7/22/1999 7/22/2014 9.00%
10/25/1999 10/25/2014 9.00%
13.5%(GSec Rate from Int Reset date ie 24-Sep-03)
11/20/1999 11/20/2014 9.00%
11/20/1999 11/20/2014 6.00%
1/15/1998 1/15/2015 6.00%
1/20/2000 1/20/2015 9.00%
1/20/2000 1/20/2015 6.00%
1/25/1998 1/25/2015
3/20/2000 3/20/2015 6.00%
3/20/2000 3/20/2015 9.00%
4/20/2000 4/20/2015 9.00%
5/18/2000 5/18/2015 9.00%
9/20/2000 9/20/2015 9.00%
11/20/2000 11/20/2015 9.00%
12/20/2000 12/20/2015 9.00%
12/20/2000 12/20/2015 6.00%
1/20/1999 1/20/2016 6.00%
3/1/1999 3/1/2016 6.00%
3/20/2001 3/20/2016 9.00%
3/31/1999 3/31/2016 6.00%
5/20/2001 5/20/2016 9.00%
6/7/1999 6/7/2016 6.00%
7/20/2001 7/20/2016 9.00%
9/6/2001 9/6/2016 N.A.
3/20/2000 3/20/2017 6.00%
9/14/1992 9/14/2017
10/8/1992 10/8/2017
1/25/1998 1/25/2018 6.00%
1/28/1993 1/28/2018
5/20/2001 5/20/2018 6.00%
13%(GSec Rate from Int Reset date ie 14-Sep-07)
13%(GSec Rate from Int Reset date ie 08-Oct-07)
13%(GSec Rate from Int Reset date ie 28-Jan-08)
6/14/1988 6/14/2018
12/13/1988 12/13/2018
2/28/1989 2/28/2019
5/30/1989 5/30/2019
6/7/1999 6/7/2019 6.00%
9/19/1989 9/19/2019
11/20/1999 11/20/2019 6.00%
12/26/1989 12/26/2019
6/26/1990 6/26/2020
9/20/2000 9/20/2020 6.00%
9/24/1990 9/24/2020
12/20/2000 12/20/2020 6.00%
12/26/1990 12/26/2020
8/19/1991 8/19/2021
11.5%(GSec Rate from Int Reset date ie 14-Jun-08)
11.5%(GSec Rate from Int Reset date ie 13-Dec-08)
11.5%(GSec Rate from Int Reset date ie 28-Feb-09)
11.5%(GSec Rate from Int Reset date ie 30-May-09)
11.5%(GSec Rate from Int Reset date ie 19-Sep-09)
11.5%(GSec Rate from Int Reset date ie 26-Dec-09)
11.5%(GSec Rate from Int Reset date ie 26-Jun-10)
11.5%(GSec Rate from Int Reset date ie 24-Sep-10)
11.5%(GSec Rate from Int Reset date ie 26-Dec-10)
11.5%(GSec Rate from Int Reset date ie 19-Aug-11)
1/13/1992 1/13/2022
3/3/1992 3/3/2022
4/1/2002 4/1/2022 Zero Coupon
6/27/2012 6/27/2013 10.25%
1/24/2012 1/24/2015 10.75%
16-10-2012 10/16/2017 10.25%
1/24/2012 1/24/2022 10.75%
1/24/2012 1/24/2022 10.75%
16-10-2012 10/16/2022 10.25%
12/23/2011 6/30/2015 12.35%
6/5/2012 12/30/2015 12.35%
8/13/2012 8/13/2017 9.75%
9/3/2012 9/3/2017 9.75%
12/28/2011 12/28/2021 10.30%
12%(GSec Rate from Int Reset date ie 13-Jan-12)
12%(GSec Rate from Int Reset date ie 03-Mar-12)
3/22/2012 3/22/2022 10.30%
6/29/2012 6/29/2022 10.15%
3/29/2012 3/29/2021 1%
3/23/2011 6/5/2013 ZERO COUPON
2/13/2012 5/10/2014 ZERO COUPON
6/29/2012 9/27/2014 ZERO COUPON
5/3/2010 9/12/2014 9.15%
5/24/2010 5/16/2014 8.00% Yield
7/2/2010 12/17/2014 8.20% Yield
8/16/2010 11/14/2018
8/16/2010 7/14/2032
9/24/2010 2/22/2025
9/24/2010 2/22/2025
3/23/2010 7/15/2013 7.72% Yield
Floating rate linked to benchmark rate +
Floating rate linked to Benchmark rate A2 +
Floating rate linked to Benchmark bate+spread
Floating rate linked to Benchmark bate+spread
4/22/2006 1/1/2016 4.00%
10/7/2011 10/4/2014 12.50%
2/3/2012 4/16/2013 ZERO COUPON
10/16/2012 10/15/2014 ZERO COUPON
1/31/2012 1/30/2015 11.5%
3/2/2012 3/2/2017 11.5%
9/21/2012 9/20/2018 12.75%
2/21/2012 2/20/2019 ZERO COUPON
2/27/2012 2/27/2019 12%
3/28/2012 3/28/2019 12%
8/31/2012 8/30/2022 12.15%
10/15/2012 10/14/2022 12.2%
3/29/2010 3/29/2013 Index Linked
3/30/2010 3/30/2013 Index Linked
3/30/2010 3/30/2013 Index Linked
4/19/2010 4/19/2013 Index Linked
4/20/2010 4/20/2013 8.00%
3/29/2010 4/29/2013 Index Linked
3/31/2010 5/1/2013 Index Linked (Refer remark)
3/5/2010 5/5/2013 Index Linked
3/5/2010 5/5/2013
3/9/2010 5/9/2013 Index Linked
4/29/2010 7/29/2013 Index Linked
10/18/2011 5/13/2014 INDEX LINKED
8/18/2011 8/18/2014 11.70%
10/11/2011 10/11/2014 INDEX LINKED
10/11/2011 10/11/2014 INDEX LINKED
10/14/2011 10/13/2014 INDEX LINKED
Index Linked (Minimum Coupon = 24%)
10/19/2011 10/18/2014 INDEX LINKED
10/19/2011 10/18/2014 INDEX LINKED
8/18/2011 12/18/2014 Refer Remark
8/18/2011 8/18/2016 11.70%
8/18/2011 8/18/2016 11.90%
1/22/2009 1/22/2014 6.85%
3/20/2009 3/20/2014 6.85%
9/4/2006 9/2/2016 8.70%
12/18/2007 12/19/2022 8.82%
11/12/2008 11/13/2023 9.35%
12/18/2008 12/18/2023 8.68%
4/8/2009 4/8/2024 8.10%
4/28/2009 4/28/2024 7.90%
8/12/2009 8/12/2024 8.12%
8/24/2009 8/24/2024 8.12%
10/26/2009 10/26/2024 8.55%
7/27/2012 7/27/2037 9.41%
7/27/2012 7/27/2042 9.36%
1/25/2010 4/15/2013 0.00% XIRR
1/25/2010 10/15/2013 0.00% XIRR
1/25/2010 4/15/2014 0.00% XIRR
1/25/2010 10/15/2014 0.00% XIRR
1/25/2010 4/15/2015 0.00% XIRR
1/25/2010 10/15/2015 0.00% XIRR
1/25/2010 4/15/2016 0.00% XIRR
1/25/2010 10/15/2016 0.00% XIRR
1/25/2010 4/15/2017 0.00% XIRR
1/25/2010 10/15/2017 0.00% XIRR
1/25/2010 4/15/2018 0.00% XIRR
1/25/2010 10/15/2018 0.00% XIRR
1/25/2010 4/15/2019 0.00% XIRR
1/25/2010 10/15/2019 0.00% XIRR
1/25/2010 4/15/2020 0.00% XIRR
1/25/2010 10/15/2020 0.00% XIRR
1/25/2010 4/15/2021 0.00% XIRR
1/25/2010 10/15/2021 0.00% XIRR
1/25/2010 4/15/2022 0.00% XIRR
12/31/2010 12/31/2012 10.10%
7/8/2011 7/19/2013 10.70%
9/26/2012 9/26/2013 10%
10/4/2012 10/7/2013 10.25%
7/2/2011 7/2/2014 10.00%
9/26/2012 9/26/2014 10.5%
7/16/2012 7/16/2015 10.65%
6/30/2012 6/30/2027 10.65%
2/13/2012 2/14/2013 10.60%
3/31/2010 3/31/2013 9.00%
1/27/2012 4/16/2013 ZERO COUPON
6/7/2010 5/7/2013 Zero Coupon
8/9/2011 5/13/2013 ZERO COUPON
8/9/2011 6/12/2013 ZERO COUPON
7/27/2011 8/8/2013 10.80%
8/10/2010 8/10/2013 Zero Coupon
8/29/2011 9/8/2013 10.80%
9/9/2011 9/9/2013 10.50%
12/9/2011 12/9/2013 ZERO COUPON
8/10/2011 2/10/2014 10.80%
2/13/2012 2/13/2014 10.60%
2/13/2012 3/14/2014 ZERO COUPON
12/7/2011 4/15/2014 11.20%
6/28/2012 6/28/2014 11.2%
7/19/2011 7/8/2014 10.70%
8/30/2011 8/22/2014 10.80%
9/23/2009 9/22/2014 10.75%
10/31/2011 10/31/2014 10.85%
11/18/2011 11/18/2014 4.65%
11/17/2011 11/25/2014 ZERO COUPON
12/7/2011 12/18/2014 ZERO COUPON
2/13/2012 2/13/2015 10.60%
3/14/2012 3/2/2015 ZERO COUPON
8/27/2010 8/27/2015 10.00%
1/31/2012 5/31/2017 11.60%
2/22/2012 6/22/2017 11.60%
9/7/2011 9/7/2021 10.65%
1/31/2012 1/31/2022 11.85%
2/22/2012 2/22/2022 11.85%
2/27/2012 2/27/2022 10.15%
3/30/2012 3/30/2022 11%
6/5/2012 6/5/2022 10.65%
6/28/2012 6/28/2022 10.7%
7/6/2012 7/6/2022 10.7%
6/5/2012 6/5/2027 10.65%
6/28/2012 6/28/2027 10.25%
1/9/2012 ZERO COUPON18-12-2014 (Redemption price Rs.13,59,445)
6/28/2012 PERPETUAL 10.6%
6/18/2012 6/19/2013 10.15%
1/12/2012 10/16/2013 ZERO COUPON
10/10/2012 10/10/2014 10.6%
11/21/2011 11/21/2014 9.50%
12/1/2011 12/1/2014 9.50%
4/30/2012 4/30/2017 10.50%
3/26/2012 3/26/2018 10.50%
11/22/2011 11/22/2021 10.70%
4/3/2012 4/3/2022 10.75%
10/9/2012 10/9/2022 10.3%
10/12/2010 10/12/2013 11.75%
12/13/2010 12/13/2013 12.00%
2/18/2011 2/18/2014 12.25%
2/21/2011 2/21/2014 12.25%
2/22/2011 2/22/2014 12.25%
7/12/2004 7/12/2014 6.25%
6/28/2010 6/28/2020 8.53%
7/16/2010 7/16/2025 Reset Rate (Refer remark)
9/15/2005 9/15/2015 7.40%
12/11/2008 12/11/2016 10.70%
12/21/2011 12/21/2016 9.28%
4/30/2012 4/30/2017 9.35%
9/10/2008 9/10/2018 11.00%
3/1/2004 3/1/2014 6.00%
7/26/2004 7/25/2014 6.40%
1/8/2005 4/8/2015 7.25%
9/17/2005 12/16/2015 7.40%
3/13/2006 3/13/2016 8.00%
1/9/2006 4/9/2016 7.70% pa
7/26/2006 7/26/2016 9.10%
8/22/2008 8/22/2018 10.85%
8/24/2009 8/24/2019 8.48%
12/31/2010 12/31/2020 8.95%
9/5/2006 9/5/2021 9.24% (Refer Remark)
9/17/2008 9/17/2023 11.05% (Refer remark)
9/1/2009 9/1/2024 Reset Rate (Refer remark)
10/1/2010 10/1/2026 9.00%
9/29/2009 12/31/2099 Reset Rate (Refer remark)
9/30/2006 9/30/2100 9.20% (Refer remark)
3/31/2006 perpetual Bond 9.30%
5/18/2006 9.15%
10/13/2006 12/31/2012 Zero Coupon
10/13/2006 1/1/2013 Zero Coupon
10/13/2006 6/30/2013 Zero Coupon
10/13/2006 3/31/2015 Zero Coupon
10/13/2006 5/6/2015 Zero Coupon
1/7/2008 1/7/2013 8.75%
3/26/2004 3/26/2013 5.99%
3/31/1998 3/31/2013 10.00%
3/31/2003 3/31/2013 6.98%
4/27/2009 4/27/2013 8.20%
5/13/2003 5/13/2013 6.10%
5/13/2003 5/13/2013 6.39%
6/7/2007 6/7/2013 9.86%
6/22/1999 6/22/2013 12.90%
6/22/2005 6/22/2013
7/15/1999 7/15/2013 12.80%
8/12/2003 8/12/2013 5.99%
8/12/2003 8/12/2013 6.20%
8/12/2003 8/12/2013 6.25%
8/29/2002 8/29/2013 8.00%
9/14/2004 9/14/2013 6.85%
9/17/2004 9/17/2013 6.85%
10/29/2002 10/29/2013 7.63%
12/26/2008 12/26/2013 8.40%
1/15/2009 1/15/2014 8.46%
3/26/2004 3/26/2014 5.99%
3/30/2009 3/30/2014 8.49%
3/31/1999 3/31/2014 10.00%
8 year GOI Reuter's INBMK minus 10Bps
4/27/2009 4/27/2014 7.45%
4/27/2009 4/27/2014 8.20%
5/13/2003 5/13/2014 6.39%
6/7/2007 6/7/2014 9.86%
6/22/1999 6/22/2014 12.90%
6/22/2005 6/22/2014
7/15/1999 7/15/2014 12.80%
8/12/2003 8/12/2014 6.25%
8/29/2002 8/29/2014 8.00%
9/14/2004 9/14/2014 6.85%
9/17/2004 9/17/2014 6.85%
10/29/2002 10/29/2014 7.63%
2/28/2000 2/28/2015 9.00%
3/8/2010 3/8/2015 6.00%
9 year GOI Reuter's INBMK minus 10Bps
3/26/2004 3/26/2015 5.99%
4/27/2009 4/27/2015 8.20%
5/4/2010 5/4/2015 7.85%
5/13/2003 5/13/2015 6.39%
6/7/2007 6/7/2015 9.86%
6/22/2005 6/22/2015
7/28/2000 7/28/2015 11.50%
8/12/2003 8/12/2015 6.25%
8/29/2002 8/29/2015 8.00%
9/17/2004 9/17/2015 6.85%
10/29/2002 10/29/2015 7.63%
12/20/2010 12/20/2015 6.05%
3/26/2004 3/26/2016 5.99%
4/27/2009 4/27/2016 8.20%
10 year GOI Reuter's INBMK minus 10Bps
5/13/2003 5/13/2016 6.39%
5/17/2006 5/17/2016 8.41%
6/7/2007 6/7/2016 9.86%
6/22/2005 6/22/2016
8/12/2003 8/12/2016 6.25%
8/29/2002 8/29/2016 8.00%
9/17/2004 9/17/2016 6.85%
10/29/2002 10/29/2016 7.63%
11/29/2006 11/29/2016 8.57%
3/8/2010 3/8/2017 6.30%
3/26/2004 3/26/2017 5.99%
4/27/2009 4/27/2017 8.20%
5/13/2003 5/13/2017 6.39%
6/7/2007 6/7/2017 9.81%
11 year GOI Reuter's INBMK minus 10Bps
6/7/2007 6/7/2017 9.86%
6/22/2005 6/22/2017
8/12/2003 8/12/2017 6.25%
8/29/2002 8/29/2017 8.00%
9/17/2004 9/17/2017 6.85%
10/29/2002 10/29/2017 7.63%
12/20/2010 12/20/2017 6.32%
3/26/2004 3/26/2018 5.99%
4/27/2009 4/27/2018 8.20%
5/13/2003 5/13/2018 6.39%
5/23/2008 5/23/2018 9.43%
6/7/2007 6/7/2018 9.86%
6/22/2005 6/22/2018
8/12/2003 8/12/2018 6.20%
12 year GOI Reuter's INBMK minus 10Bps
13 year GOI Reuter's INBMK minus 10Bps
8/12/2003 8/12/2018 6.25%
9/11/2008 9/11/2018 10.60%
9/17/2004 9/17/2018 6.85%
12/26/2008 12/26/2018 8.45%
1/15/2009 1/15/2019 8.55%
3/26/2004 3/26/2019 5.99%
4/27/2009 4/27/2019 8.19%
4/27/2009 4/27/2019 8.20%
6/7/2007 6/7/2019 9.86%
6/11/2009 6/11/2019 8.60%
6/22/2005 6/22/2019
9/17/2004 9/17/2019 6.85%
2/3/2010 2/3/2020 8.55%
3/8/2010 3/8/2020 6.70%
14 year GOI Reuter's INBMK minus 10Bps
4/27/2009 4/27/2020 8.20%
6/7/2007 6/7/2020 9.86%
6/22/2005 6/22/2020
6/22/2010 6/22/2020 8.50%
12/20/2010 12/20/2020 6.75%
12/22/2005 12/22/2020 7.74%
4/27/2009 4/27/2021 8.20%
5/10/2011 5/10/2021 9.27%
5/17/2006 5/17/2021 8.64%
5/31/2011 5/31/2021 9.57%
6/7/2007 6/7/2021 9.86%
7/28/2011 7/28/2021 9.41%
11/8/2011 11/8/2021 7.55%
11/29/2006 11/29/2021 8.68%
15 year GOI Reuter's INBMK minus 10Bps
2/23/2012 2/23/2022
4/27/2009 4/27/2022 8.20%
6/7/2007 6/7/2022 9.25%
6/7/2007 6/7/2022 9.86%
9/28/2007 9/28/2022 9.66%
10/29/2007 10/29/2022 9.20%
4/27/2009 4/27/2023 8.20%
9/11/2008 9/11/2023 10.70%
12/26/2008 12/26/2023 8.50%
1/15/2009 1/15/2024 8.65%
4/27/2009 4/27/2024 8.20%
2/3/2010 2/3/2025 865.00%
3/10/2010 3/10/2025 8.95%
3/29/2011 3/29/2026 9.09%
8.00% (for categories I & II and 0.15% additional interest for category III) as per issue related terms
3/31/2011 3/31/2026 9.09%
5/10/2011 5/10/2026 9.33%
11/8/2011 11/8/2026 7.77%
11/29/2006 11/29/2026 8.75%
2/23/2012 2/23/2027
6/7/2007 6/7/2027 10.04%
2/3/2010 2/3/2030 8.80%
5/4/2010 5/4/2030 8.79%
5/4/2010 5/4/2031 8.72%
5/10/2011 5/10/2031 9.47%
5/14/2010 5/14/2031 8.83%
5/4/2010 5/4/2032 8.72%
5/14/2010 5/14/2032 8.83%
5/4/2010 5/4/2033 8.72%
8.10% (for categories I & II and 0.20% additional interest for category III) as per issue related terms
5/14/2010 5/14/2033 8.83%
5/4/2010 5/4/2034 8.72%
5/14/2010 5/14/2034 8.83%
5/4/2010 5/4/2035 8.72%
5/14/2010 5/14/2035 8.83%
1/17/2003 1/17/2013 6.00%
10/22/2003 10/22/2013 5.50%
2/25/2009 2/24/2019 9.60%
1/14/2010 1/14/2020 8.85%
9/24/2010 9/24/2020 8.87%
6/4/2012 6/4/2022 9.49%
9/24/2010 9/24/2025 9.02%
6/25/2012 7/25/2013 ZERO COUPON
8/16/2012 2/16/2015 11.85%
9/12/2012 3/12/2015 11.85%
5/23/2012 5/23/2016 12.25%
5/23/2012 5/23/2016 12.25%
5/28/2009 5/20/2013 14.00%
9/29/2007 4/29/2013 10.35%
6/30/2004 4/30/2014 7.00%
3/31/2005 6/30/2014 8.50%
3/31/2009 6/30/2014 10.50%
12/30/2005 5/30/2015 8.40% pa
3/31/2010 6/30/2015 9.50%
3/31/2006 3/30/2021 Reset Rate (Refer Remark)
3/31/2006 3/30/2021 200bps over 10year Gsec (INBMK)
9/30/2006 9/30/2021 10.25% (Refer Remark)
12/23/2006 12/23/2021 9.75% (Refer Remark)
1/31/2005 1/31/2013 7.52%
2/5/2003 2/5/2013 8.50%
2/10/2003 2/10/2013 8.00%
2/19/2003 2/19/2013 9.01%
2/19/2003 2/19/2013 9.00%
2/19/2003 2/19/2013 8.65%
2/19/2003 2/19/2013 8.50%
3/4/2003 3/4/2013 8.00%
3/4/2003 3/4/2013 7.70%
3/5/2003 3/5/2013 7.50%
3/31/2003 3/31/2013 7.50%
3/31/2003 3/31/2013 7.75%
4/25/2003 4/25/2013 7.60%
4/25/2003 4/25/2013 7.35%
5/5/2003 5/5/2013 7.75%
6/5/2003 6/5/2013 8.00%
7/7/2003 7/7/2013 8.00%
7/9/2003 7/9/2013 7.50%
7/15/2003 7/15/2013 7.50%
8/1/2003 8/1/2013 7.50%
8/5/2003 8/5/2013 7.25%
8/7/2003 8/7/2013 7.50%
8/18/2003 8/18/2013 7.40%
8/25/2003 8/25/2013 7.00%
9/4/2003 9/4/2013 6.75%
9/15/2003 9/15/2013 6.9%
9/22/2003 9/22/2013 6.50%
10/6/2003 10/6/2013 6.90%
10/9/2003 10/9/2013 6.50%
10/20/2003 10/20/2013 6.50%
11/3/2003 11/3/2013 6.40%
11/5/2003 11/5/2013 6.50%
12/5/2003 12/5/2013 6.40%
1/6/2003 12/6/2013 9.00%
1/12/2004 1/12/2014 6.50%
1/12/2004 1/12/2014 6.25%
1/12/2004 1/12/2014 YTM 6.53%
1/16/2004 1/16/2014 6.30%
3/5/2004 3/5/2014 6.20%
3/5/2004 3/5/2014 6.00%
4/20/2004 4/20/2014 6.20%
4/20/2004 4/20/2014 YTM 6.21%
9/29/2004 9/29/2014 7.00%
1/4/2005 1/4/2015 7.25%
1/12/2004 1/12/2015 YTM 6.50%
1/24/2005 1/24/2015 7.25%
2/25/2005 2/25/2015 7.20%
2/25/2005 2/25/2015 7.05%
2/25/2005 2/25/2015 7.20%
2/25/2005 2/25/2015 7.24% (YTM)
2/25/2005 2/25/2015 7.22%
3/31/2005 3/31/2015 7.25%
4/8/2005 4/8/2015 7.25%
6/8/2005 6/8/2015 7.50%
3/30/2005 6/30/2015 7.15%
3/5/2004 8/5/2015 YTM 6.25%
3/8/2003 3/8/2018 7.05%
8/1/2003 8/1/2018 8.00%
8/5/2003 8/5/2018 7.75%
8/18/2003 8/18/2018 7.75%
1/12/2004 1/12/2019 7.00%
1/12/2004 1/12/2019 7.00%
4/20/2004 4/20/2019 6.75%
4/5/2013 N.A.
9/11/2013 Included in annuity
1/19/2006 1/19/2013 7.81%
2/3/2006 2/3/2013 8.02%
2/11/2006 2/11/2013 8.03%
2/11/2006 2/11/2013 7.96%
3/1/2008 3/1/2013 9.45%
3/4/2006 3/4/2013 8.29%
3/8/2006 3/8/2013 7.80%
3/27/2006 3/27/2013 8.25%
4/5/2006 4/5/2013 8.47%
9/27/2005 4/27/2013 7.30%
5/4/2006 5/4/2013 8.43%
5/26/2006 5/26/2013 8.35%
5/31/2006 5/31/2013 8.48%
7/28/2006 7/28/2013 9.11%
7/29/2006 7/29/2013 9.11%
8/10/2006 8/10/2013 8.85%
8/16/2006 8/16/2013 8.83%
8/30/2006 8/30/2013 8.70%
9/10/2006 9/10/2013 8.67%
4/6/2007 7/6/2014 10.09%
8/10/2007 8/10/2014 9.59%
9/29/2007 9/29/2014 9.79%
7/20/2005 7/20/2015 7.45%
12/16/2005 12/16/2015 7.60%
1/23/2006 1/23/2016 7.70% pa
3/29/2006 1/29/2016 8.75%
1/30/2006 1/30/2016 7.80%
2/2/2006 2/2/2016 7.83%
2/23/2006 2/23/2016 8.16%
3/8/2006 3/8/2016 8.00%
9/27/2005 4/27/2016 7.45%
5/26/2006 5/26/2016 8.55%
9/21/2006 9/21/2016 8.95%
11/16/2006 11/16/2016 8.85%
12/20/2006 12/20/2016 8.85%
12/22/2006 12/22/2016 8.95%
2/5/2007 2/5/2017 8.90%
5/7/2007 5/7/2017 10.10%
1/1/2008 1/1/2018 9.35%
2/16/2008 2/16/2018 9.41%
9/23/2007 9/23/2022 10.07%
5/1/2002 5/1/2014 10.20%
5/1/2003 5/1/2013 8.75%
9/1/2003 9/1/2013 8.20%
9/1/2002 9/1/2014 10.40%
6/1/2003 6/1/2015 8.70%
3/1/2001 3/1/2016 11.50%
12/1/2001 12/1/2016 10.75%
1/1/2002 1/1/2017 10.75%
8/25/2003 8/25/2028 N.A.
3/21/2012 3/21/2015 ZERO COUPON
3/29/2012 3/29/2015 ZERO COUPON
5/25/2011 5/14/2026 11%
10/28/2011 10/27/2026 11%
1/23/2010 7/28/2014 Zero Coupon
9/15/2010 9/15/2020 8.95%
10/4/2010 10/4/2020 8.95%
12/31/2009 1/3/2013 6.60%
3/26/2010 1/3/2013 7.21%
3/25/2010 1/3/2013 8.00%
1/7/2008 1/7/2013 8.95%
1/12/2012 1/30/2013 9.5850%
2/8/2008 2/8/2013 9.05%
2/21/2008 2/21/2013 9.15%
4/30/2010 4/8/2013 Zero Coupon
4/13/2011 4/12/2013 9.55%
5/13/2008 5/13/2013 9.48%
6/3/2008 6/3/2013 9.38%
5/2/2012 6/14/2013 9.9075%
6/18/2012 6/19/2013 ZERO COUPON
1/12/2012 6/24/2013 ZERO COUPON
7/15/2011 6/26/2013 9.70%
5/2/2012 6/26/2013 ZERO COUPON
7/9/2008 7/9/2013 10.75%
1/10/2012 7/10/2013 9.45%
1/12/2012 7/12/2013 9.4435%
7/22/2011 7/22/2013 9.50%
6/24/2011 7/24/2013 9.84%
7/27/2011 7/26/2013 9.50%
2/10/2012 8/10/2013 9.59%
2/23/2012 8/23/2013 9.6%
5/24/2012 8/23/2013 9.83%
2/10/2012 8/30/2013 ZERO COUPON
9/15/2010 9/15/2013 8.40%
9/28/2010 9/28/2013 8.48%
6/15/2010 10/6/2013 7.50%
12/12/2011 10/11/2013 9.48%
12/12/2011 10/14/2013 9.48%
10/31/2008 10/31/2013 11.66%
12/5/2011 11/5/2013 9.72%
9/29/2009 11/11/2013 6.00%
12/13/2011 11/13/2013 9.75%
12/2/2008 12/2/2013 11.40%
6/6/2012 12/6/2013 9.82%
6/6/2012 12/6/2013 9.825%
12/13/2011 12/13/2013 9.75%
12/16/2008 12/16/2013 10.00%
12/7/2011 1/7/2014 9.65%
6/14/2011 1/14/2014 9.95%
2/21/2012 1/21/2014 9.65%
2/22/2012 1/22/2014 ZERO COUPON
1/23/2012 1/23/2014 9.4437%
2/17/2012 2/17/2014 9.65%
2/22/2012 2/21/2014 9.65%
4/13/2011 4/11/2014 9.50%
5/4/2010 5/4/2014 7.95%
6/18/2012 6/18/2014 9.71%
6/28/2010 6/28/2014 8.02%
7/9/2012 7/9/2014 9.75%
7/11/2012 7/11/2014 9.75%
7/12/2012 10/12/2014 9.64%
7/30/2012 1/30/2015 9.36%
2/7/2012 2/7/2015 9.65%
3/23/2005 3/23/2015 7.25%
7/9/2012 5/6/2015 9.57%
5/10/2010 5/10/2015 8.15%
6/29/2012 6/29/2015 9.5%
7/9/2012 7/6/2015 9.57%
7/11/2012 7/11/2015 9.57%
7/18/2012 7/17/2015 9.52%
7/17/2012 7/17/2015 9.45%
7/25/2012 7/24/2015 9.8%
7/31/2012 7/29/2015 ZERO COUPON
5/24/2012 8/23/2015 9.83%
10/14/2009 9/28/2015 7.50%
11/9/2009 9/28/2015 750.00%
11/25/2009 9/28/2015 7.85%
10/10/2005 10/10/2015 7.45%
11/25/2009 11/21/2015 7.95%
11/9/2009 11/30/2015 7.60%
12/2/2009 11/30/2015 7.60%
12/16/2009 11/30/2015 7.71%
12/31/2009 11/30/2015 7.60%
3/26/2010 11/30/2015 7.90%
11/3/2009 12/8/2015 7.65%
12/9/2005 12/9/2015 7.50%
3/10/2006 3/10/2016 820.00%
7/11/2012 7/11/2016 9.54%
7/17/2012 7/17/2016 9.45%
9/29/2011 10/6/2016 9.15%
10/14/2011 11/14/2016 9.1435%
1/12/2012 1/12/2017 9.40%
10/14/2011 1/14/2017 9.1075%
12/14/2011 1/15/2017 9.3420%
1/25/2007 1/25/2017 9.28%
10/14/2011 2/14/2017 9.10%
12/14/2011 3/14/2017 9.3060%
12/27/2011 3/27/2017 9.3555%
3/19/2012 4/19/2017 9.9140%
10/28/2011 5/3/2017 9.0990%
5/16/2007 5/16/2017
3/19/2012 5/20/2017 9.89%
3/15/2012 6/14/2017 9.90%
5/2/2012 6/20/2017 9.8990%
4/16/2012 7/16/2017 9.876%
4/16/2012 7/16/2017 9.8815%
7/17/2012 7/17/2017 9.45%
7/31/2012 7/31/2017 ZERO COUPON
4/16/2012 8/16/2017 9.8680%
NSE Mibor + 150bps (Daily Compounding)
6/18/2012 8/19/2017 9.72%
5/24/2012 8/23/2017 9.8265%
4/16/2012 10/16/2017 9.7710%
6/6/2012 12/6/2017 9.82%
6/6/2012 12/6/2017 9.825%
1/17/2008 1/17/2018 8.95%
2/5/2008 2/5/2018 8.95%
2/8/2008 2/8/2018 9.10%
8/25/2009 8/25/2019 9.05%
9/4/2009 9/4/2019 9.05%
9/29/2009 9/29/2019 8.90%
11/17/2009 11/17/2019 8.75%
12/17/2009 12/17/2019 8.75%
2/9/2010 2/9/2020 8.77%
2/12/2010 2/12/2020 8.89%
5/24/2010 5/24/2020 8.65%
9/15/2010 9/15/2020 8.79%
9/20/2010 9/20/2020 8.77%
9/29/2010 9/29/2020 8.72%
11/12/2010 11/12/2020 8.00%
11/12/2010 11/12/2020 N.A.(Refer Remark)
11/12/2010 11/12/2020 7.50%
11/12/2010 11/12/2020 N.A.(Refer Remark)
12/30/2011 12/30/2021 NA
12/30/2011 12/30/2021 9%
3/21/2012 3/21/2022 NA
3/21/2012 3/21/2022 8.70%
4/11/2012 3/31/2022 8.43%
4/11/2012 3/31/2022 NA
8/25/2009 8/25/2024 9.15%
8/31/2009 8/31/2024 9.05%
9/15/2009 9/15/2024 9.00%
1/15/2010 1/15/2025 8.81%
1/15/2010 1/15/2025 8.83%
1/27/2010 1/27/2025 8.80%
4/5/2010 4/5/2025 9.03%
4/5/2010 4/5/2025 8.96%
4/9/2010 4/9/2025
4/28/2010 4/28/2025 8.90%
5/13/2010 5/13/2025 8.95%
5/28/2010 5/28/2025 8.84%
6/15/2010 6/15/2025 8.80%
7/21/2010 7/21/2025 8.80%
8/6/2010 8/6/2025 8.95%
8/7/2010 8/7/2025 8.80%
9/15/2010 9/15/2025 8.89%
9/20/2010 9/20/2025 8.86%
9/29/2010 9/29/2025 8.82%
11/19/2010 11/19/2025 8.90%
1/17/2006 1/17/2026 NA
4/15/2011 4/15/2026 9.28%
3/11/2011 3/11/2013 ZERO COUPON
12/27/2010 12/27/2020 9.05%
2/21/2011 2/21/2021 8.00%
2/21/2011 2/21/2021 ZERO COUPON
3/30/2011 3/30/2021 NA
3/30/2011 3/30/2021 8.25%
2/17/2011 2/17/2026 9.35%
3/14/2011 3/14/2026 9.33%
3/28/2011 3/28/2026 9.33%
3/24/2011 3/24/2021 9.25%
1/6/2011 1/6/2026 9.15%
4/10/2003 4/10/2013 6.65%
3/31/2004 3/31/2014 6.10%
2/21/2003 2/21/2013 7.65%
2/21/2003 2/21/2018 8.05%
4/10/2003 4/10/2013 7.40%
5/7/2003 5/7/2013 7.10%
5/16/2003 5/16/2013 7.00%
5/16/2003 5/16/2013 7.10%
6/6/2003 6/6/2013 7.00%
6/17/2003 6/17/2013 6.90%
7/7/2003 7/7/2013 6.50%
9/30/2003 9/30/2013 6.20%
10/24/2003 10/24/2013 6.00%
11/12/2003 11/12/2013 6.00%
1/7/2004 1/7/2014 6.20%
1/7/2004 1/7/2014 6.25%
1/7/2004 1/7/2014 6.10%
6/15/1999 6/15/2014 EPF+2.25%spr
8/9/2002 8/9/2017 9.00%
2/20/2003 2/20/2018 8.10%
5/16/2003 5/16/2018 7.20%
6/6/2003 6/6/2018 7.20%
6/17/2003 6/17/2018 7.20%
7/17/2003 7/17/2013 6.30%
3/20/2007 3/20/2014 10.50%
3/30/2007 3/30/2014 10.50%
7/9/2009 7/9/2014 9.00%
10/10/2011 10/10/2014 10%
3/10/2010 3/10/2015 9.00%
3/31/2005 4/30/2015 7.25%
6/7/2005 6/7/2015 7.60%
3/1/2006 1/1/2016 7.80%
3/17/2006 3/17/2016 8.20%
4/5/2006 4/5/2016 8.20%
4/24/2006 4/24/2016 8.45%
4/24/2006 4/24/2016 8.55%
5/19/2006 5/19/2016 8.55%
6/9/2006 6/9/2016 8.50%
5/19/2006 6/19/2016 8.45%
7/27/2006 7/27/2016 9.50%
8/17/2009 8/17/2016 9.25%
9/1/2006 9/1/2016 9.40%
9/1/2006 9/1/2016 9.50%
9/15/2006 9/15/2016 9.25%
9/28/2011 9/28/2016 9.97%
10/10/2011 10/10/2016 10%
11/10/2006 11/10/2016 9.05%
12/22/2006 12/22/2016 9.25%
1/10/2007 1/10/2017 9.25%
2/2/2007 2/2/2017 9.30%
3/26/2007 3/26/2017 10.50%
6/11/2007 6/11/2017 10.50%
8/29/2002 8/29/2017 9.00%
9/16/2011 9/16/2017 9.80%
8/11/2011 8/11/2018 9.75%
12/5/2011 12/5/2018 9.98%
12/15/2008 12/15/2018 12.20%
9/16/2011 9/16/2019 9.78%
3/2/2010 3/2/2020 9.15%
3/5/2010 3/5/2020 9.20%
3/22/2010 3/22/2020 9.20%
3/1/2006 3/1/2021 7.80%
7/25/2011 7/25/2021 9.68%
12/5/2011 12/5/2021 9.98%
1/24/2012 1/24/2022 9.82%
3/12/2012 3/12/2022 9.85%
5/30/2012 5/30/2022 9.80%
5/20/2010 5/20/2025 8.96%
8/17/2010 8/17/2035 9.35%
12/24/2010 12/24/2013 9.35%
12/24/2010 12/24/2015 9.10%
1/3/2011 1/3/2016 9.95%
2/14/2011 2/14/2016 9.95%
2/25/2011 2/25/2016 9.95%
3/30/2002 4/30/2020 7.50%
12/24/2010 12/24/2020 9.20%
2/22/2011 2/22/2021 9.70%
9/12/2003 9/12/2013 6.25%
3/17/2006 5/17/2015 8.75%
3/24/2006 5/24/2015 8.95%
3/29/2006 5/29/2015 8.95%
8/28/2006 8/28/2016 9.70%
7/15/2008 7/14/2018 10.40%
1/31/2009 1/30/2019 9.65%
11/6/2009 11/6/2014 9.25%
7/21/2004 7/20/2014 6.00%
6/30/2008 6/15/2015 ZERO COUPON
7/18/2001 7/17/2013 10.25%p.a
7/18/2001 7/17/2014 10.25%p.a
7/18/2001 7/17/2015 10.25%p.a
7/18/2001 7/17/2016 10.25%p.a
7/20/2010 7/20/2017 8.00%
12/26/2008 12/26/2013 12.75%
10/3/2011 10/3/2016 9.95%
5/31/2010 5/29/2014 8.07% Yield
7/7/2010 5/21/2014 8.10% Yield
3/10/2010 3/10/2013 9.50%
12/19/2008 12/18/2013 12.15%
Annually, 19th March Put & Call: N.A. T-1 to T-1300
Annually on 20th January NA
Annually on 25th March NA
ANNUALLY ON 15TH MARCH NA
MAY 30, EVERY YEAR NA
Annually on 26th September NA
Annually on 15th December NA
Annually on 26th March NA
Annually on 30th April NA
Annually on 28th September NA
Annually on 5th October NA
NA
Annually on 29th September NA
Frequency of the Interest Payment with specified dates
Put/Call Option with specified dates
Certificate Nos/(Dist/ NO) from-To
Put: NACall:call option at the end of 10 year with prior approval of RBI
Put: NACall: At the end of 10 years with prior approval of RBI (Call option date : 25/03/2021).
Put: NACall: NA
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: N.A.
Put: N.A.Call: N.A.
Annually on 13th June till FY 2015 & on maturity
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 26th September NA
Annually on 29th September NA
Annually on 15th December NA
Annually on 23rd November NA
Annually on 23rd March NA
Annually on 29th September NA
Annually on 04th August NA
Annually on 26th November NA
Annually on 30th November NA
ANNUALLY ON 13TH DECEMBER NA
ANNUALLY ON 13TH MARCH NA
Annually on 29th September NA
Annually on 29th October NA
Annually on 31st March 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: N.A.
Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: N.A.Call:On 29/09/2018 subject to prior approval of RBI
Put: N.A.Call:On 29/09/2018 subject to prior approval of RBI
Put: N.A.Call:On 31/03/2019 subject to prior approval from RBI
Annualy on 26 June NA
Annually on 25th September NA
Annually on 19th November NA
Annually on 3rd February NA
NA
Annually on 14th March NA
Annually on 13th June NA
Annually on 26th September NA
Annually on 26th March NA
NA
NA
NA
NA
Annually on 8th February 601 to 800
Put: N.A.Call:On 26/03/2019 subject to prior approval from RBI
Put: N.A.Call:On 25/09/2019 subject to prior approval of RBI
Put: N.A.Call:On 19/11/2019 subject to prior approval of RBI
Put: N.A.Call:On 03/02/2020 subject to prior approval of RBI
Annually on 2nd April & on maturity
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:26/03/2019 with prior approval of RBI
Annually on 23rd December (Refer issuer for further details)
Put: N.A.Call:After the instruments has run for atleast ten years & only with the prior approval of RBI (23/12/2019)
Annually on 29th January (Refer issuer for further details)
Put: N.A.Call:After the instruments has run for atleast ten years & only with the prior approval of RBI (29/01/2020)
Annually on 10th March (Refer issuer for further details)
Put: N.A.Call:After the instruments has run for atleast ten years & only with the prior approval of RBI (10/03/2020)
Annually on 22nd June (Refer issuer for further details)
Put: N.A.Call:After the instruments has run for atleast ten years & only with the prior approval of RBI (22/06/2020)
Put: N.A.Call: N.A.
Annually on March 27 801 - 1300
06/08/2013, 06/08/2014 1 / (1-2000)
22/08/2013, 22/08/2014 1 / (1-1000)
29/08/2013, 25/08/14 1/ (1-5000)
29/08/2013, 29/08/2014 1 / (1-5000)
18/09/2013, 18/09/2014 1 / (1 - 500)
25/09/2013, 25/09/2014 1 / (1 - 500)
1/ (1-1000)
ON MATURITY 03.08.2015 1 / (1 - 500)
1 / (1 - 500)
1 / (1-2500)
1 / (1 - 2500)
NA 1 / (1 - 500)
NA 1 / (1 - 500)
Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
04/09/2013, 04/09/2014, 27/04/2015
Put: NACall: NA
Put: NACall: NA
09/08/2013, 09/08/2014, 03/08/2015
Put: NACall: NA
06/08/2013, 06/08/2014, 06/08/2015
Put: NACall: NA
10/08/2013, 10/08/2014, 10/08/2015
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
1 / (1 - 500)
NA 1 / (1 - 1000)
1 / (1 - 1000)
1 / (1-1000)
1 / (1 - 1000)
1 / (1 - 1000)
1-50
51-100
ANNUALLY 7TH JUNE EVERY YEAR 001 - 500
Annually, 22nd December Put & Call: N.A. N.A.
Annually 31st May Put & Call: N.A. N.A.
Yearly on 25th January na
Annually, 25th January N.A.
Yearly on 20th March na
17/09/2013, 17/09/2014, 17/09/2015
Put: NACall: NA
Put: NACall: NA
13/09/2013, 13/09/2014, 13/09/2015, 13/09/2016
Put: NACall: NA
22/08/2013, 22/08/2014, 22/08/2015, 22/08/2016, 22/08/2017
Put: NACall: NA
10/01/2014, 10/01/2015, 10/01/2016, 10/01/2017, 20/09/2017
Put:10/01/2014, 10/01/2015, 10/01/2016 AND 10/01/2017Call:10/01/2014, 10/01/2015, 10/01/2016 AND 10/01/2017
13/09/13, 13/09/14, 13/09/15, 13/09/16, 13/09/17, 13/09/18, 13/09/19
Put: NACall: NA
SEMI ANNUALLY DTD 09.01.2013, 09.07.2013, 09.01.2014
Put:AFTER 09TH JULY 2013Call:AFTER 09TH JULY 2013
SEMI ANNUALLY ON 25/01/2013, 25/07/2013, 25/01/2014
Put:ON 25TH JULY 2013Call:ON 25TH JULY 2013
Put: NACall:EXCERCISED BY THE ISSUER AFTER DEBENTURES HAVE RUN FOR AT LEAST 10 YEARS AND ONLY WITH THE PRIOR APPROVAL
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually, 25th March N.A.
Annually, 20th April Put & Call: N.A. Na
Annually, 20th April N.A.
Yearly on 20th May na
Annually, 8th June Put & Call: N.A. N.A.
Annually, 20th July N.A.
Yearly on 31st July na
Annually, 1st November Put & Call: N.A. N.A.
Yearly on 30th September na
Annually, 20th November N.A.
Annually, 30th November Put & Call: N.A. N.A.
NA
Annually on 30th November NA
Yearly on 20nd December 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: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 30th November Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
NA
Annually, 20th November N.A.
Annually on 31st January NA
Yearly on 6th February na
Annually, 28th February Put & Call: N.A. N.A.
Yearly on 28th February na
Yearly on 22nd March na
Annually on 31st March NA
Annually on 31st March
Yearly on 20th April na
Annually , 31st May Put & Call: N.A. NA
Annually, 30th June Put & Call: N.A. N.A.
Annually on 31st December Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
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: NACall: NA
Put: N.A.Call: N.A.
Annually on 30th April Put: N.A.Call: N.A.
Annually on 31st May Put: N.A.Call: N.A.
Annually on 31st July
Annually, 31st August Put & Call: N.A. N.A.
Annually, 15th October Put & Call: N.A. N.A.
Yearly on 20th November na
Annually, 30th November Put & Call: N.A. NA
Annually on 30th November
ANNUALLY ON 31ST DECEMBER
Annually, 31st January Put & Call: N.A. N.A.
Annually on 31st January
ANNUALLY ON 31ST JANUARY
Annually, 25th March N.A.
Annually, 31st March Put & Call: N.A. N.A.
Annually on 30th June Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 30th November Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Put: N.A.Call: N.A.
Put: NACall: NA
Put: N.A.Call: N.A.
Annually on 31st March
Annually, 31st May Put & Call: N.A. N.A.
Annually on 31st May
Annually, 30th June Put & Call: N.A. N.A.
Yearly on 20th July NA
Annually, 20th July N.A.
Yearly on 31st July NA
Yearly on 8th August na
Yearly on 08th August na
Annually on 31st August
Yearly on 30th September NA
Yearly on 30th November 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: N.A.
Annually on July 31st 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: N.A.
Annually on 30th September Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Yearly on 20th December na
Yearly on 20th March na
Annually on 31st March
Annually on 30th April
Yearly on 20th May na
Yearly on 20th May na
Annually on 20th May
Annually on 31st May
Annually on 8th June Put & Call: N.A. NA
Annually, 30th November Put & Call: N.A. NA
Annually, 19th June Put & Call: N.A. NA
Annually, 30th June Put & Call: N.A. N.A.
Annually, 31st July Put & Call: N.A. N.A.
Annually on 30th November Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Annually on 31st July
Annually on 31st August
Annually, 30th November Put & Call: N.A. N.A.
Annually on 30th November
Annually, 31st December Put & Call: N.A. NA
ANNUALLY ON 31ST DECEMBER
Annually, 31st January Put & Call: N.A. N.A.
ANNUALLY ON 31ST JANUARY
ANNUALLY ON 28TH FEBRUARY NA
Annually on 31st March
ANNUALLY ON 31ST MARCH NA
Yearly on 20th April na
Put: NACall: NA
Put: NACall: NA
Annually on 30th November Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Annually on 31st January Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Put: N.A.Call: N.A.
Put: NACall: NA
Put: N.A.Call: N.A.
Yearly on 20th April na
Annually on 30th April
Annually, 30th April NA
Annually, 31st July Put & Call: N.A. N.A.
NA
Annually on 31st August
NA
Annually on 31st October
Annually on 31st January NA
Yearly on 1st March na
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: NACall: NA
Annually on 31st May Put: N.A.Call: N.A.
Annually on July 31st Put: N.A.Call: N.A.
ANNUALLY ON AUGUST 17 OF EVERY YEAR TILL REDEMPTION
Put: NACall: NA
Put: N.A.Call: N.A.
Annually on 30th September Put: N.A.Call: N.A.
ANNUALLY ON OCTOBER 15 EVERY YEAR TILL REDEMPTION
Put: NACall: NA
Put: N.A.Call: N.A.
Annually on 30th November Put: N.A.Call: N.A.
Put: NACall: NA
Put: N.A.Call: N.A.
Annually on 31st May
Annually on 31st July
Annually on 31st August
ANNUALLY ON 31ST JANUARY
Annually, 28th February Put & Call: N.A. Na
Annually on 20th June NA
Annually on 30th June
Annually on 31st March
Annually on 30th April
Yearly on 18th May na
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 31st July Put: N.A.Call: N.A.
Annually on 30th November Put: N.A.Call: N.A.
Annually on 31st January 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 31st May Put: N.A.Call: N.A.
Annually on 31st August
NA
NA
Annually on 31st October
Annually on 31st January NA
NA NA
Annually on 31st January NA
NA NA
Annually on 31st January NA
Annually on July 31st Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 15th September Put:Every year on 15th September, starting from year 2015 till year 2019Call:Every year on 15th September, starting from year 2015 till year 2019Put:Every year on 15th September starting from year 2015 till year 2019Call:Every year on 15th September starting from year 2015 till year 2019Annually on 15th September Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 30th September Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 30th November Put: N.A.Call: N.A.
Put:every year on January 31st, starting from year 2016 till year 2020Call:every year on January 31st, starting from year 2016 till year 2020Put:every year on January 31st, starting from year 2016 till year 2020Call:every year on January 31st, starting from year 2016 till year 2020Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Yearly on 15th February na
Annually on 31st March
Annually on 30th April
Annually on 31st May
Annually on 1st August NA
NA
Annually on 25th August NA
Annually on 31st August
NA
Annually on 31st October NA
Annually on 31st October NA
Annually on 30th November
ANNUALLY ON 31ST DECEMBER
Annually , 25th January Put & Call: N.A. NA
Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall:at the end of 7 year from the deemed date of allotment
On maturity or on exercise of of call option
Put: NACall:at the end of 7 year from the deemed date of allotment
Put: NACall: NA
Put: NACall: NA
On maturity/On exercise of call option
Put: NACall:call option at the end of 7 year from the deemed date of allotment
Put: NACall:call option at the end of 7 year from the deemed date of allotment
Put: NACall:call option at the end of 7 year from the deemed date of allotment
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 15TH FEBRUARY NA
NA
ANNUALLY ON 28TH FEBRUARY NA
ANNUALLY ON 28TH FEBRUARY NA
ANNUALLY ON 31ST MARCH NA
NA
NA
NA
NA
CUMULATIVE NA
Annually on 25th January
Annually on 5th March
Annually on 13th April
Annually on 01st August NA
Put:FEBRUARY 15 OF CALENDER YEARS 2017 AND 2019Call: NA
CUMULATIVE ALONG WITH REDEMPTION OF BONDS
Put:FEBRUARY 15 OF CALENDER YEARS 2017 AND 2019Call: NA
Put: NACall:AT THE END OF 7 YEARS FROM THE DEEMED DATE OF ALLOTMENT
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON JUNE 26 OF EVERY YEAR TILL REDEMPTION
Put:JUNE 26, 2017Call:JUNE 26, 2017
ANNUALLY ON JUNE 26 OF EVERY YEAR TILL REDEMPTION
Put: NACall: NA
ANNUALLY ON OCTOBER 8 OF EVERY YEAR TILL REDEMPTION
Put: NACall: NA
ANNUALLY ON 31ST MARCH UNTIL BUYBACK/REDEMPTION
Put:31ST MARCH 2017/2019Call: NA
Put:31ST MARCH 2017/2019Call: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: NACall:at the end of 10 year from the deemed date of allotment
NA
Annually on 31st October NA
NA
ANNUALLY ON 15TH FEBRUARY NA
ANNUALLY ON 28TH FEBRUARY NA
CUMULATIVE NA
NA
NA
NA
Annually on 18th May
Annualy on 13th July
Annually on 16th July
Annually on 29th October
On maturity or on exercise of of call option
Put: NACall:at the end of 10 year from the deemed date of allotment
Put: NACall:call option at the end of 7 year from the deemed date of allotment
CUMULATIVE ALONG WITH REDEMPTION OF BONDS
Put:FEBRUARY 15 OF CALENDER YEARS 2017 AND 2022Call: NA
Put:FEBRUARY 15 OF CALENDER YEARS 2017 AND 2022Call: NA
Put: NACall:AT THE END OF 10 YEARS FROM THE DEEMED DATE OF ALLOTMENT
Put:31ST MARCH 2017/2022Call: NA
ANNUALLY ON 31ST MARCH UNTIL BUYBACK/REDEMPTION
Put:31ST MARCH 2017/2022Call: NA
ANNUALLY ON OCTOBER 8 EVERY YEAR TILL REDEMPTION
Put: NACall: NA
ANNUALLY ON OCTOBER 8 OF EVERY YEAR TILL REDEMPTION
Put: NACall: NA
Annually on 4th May 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: N.A.
N.A
N.A
NA
N.A
N.A
N.A
N.A
N.A
NA
N.A
N.A
N,A
N.A. N.A.
N.A. N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
ANNUALLY ON OCTOBER 15 OF EVERY YEAR TILL REDEMPTION
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: N.A.
ANNUALLY ON SEPTEMBER 18 OF EVERY YEAR TILL REDEMPTION
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Half yearly on 13th Jan and 13th July
Half yearly on 28th January and 28th July
Annually, 25th January Put & Call: N.A. N.A.
Half Yearly, 17th Aug & 17th Feb Put & Call: N.A. N.A.
Annually, 20th March Put: N.A. N.A.
Annually, 20th March Put: N.A. N.A.
Annually, 31st March Put & Call: N.A. N.A.
Annually, 20th May Put: N.A. N.A.
Annually, 20th July Put & Call: N.A. N.A.
Annually, 20th July Put: N.A. N.A.
Half Yearly, 24th Mar & 24th Sept Put & Call: N.A. N.A.
Annually, 20th January Put & Call: N.A. N.A.
Annually, 1st March Put & Call: N.A. N.A.
Annually, 7th June Put & Call: N.A. N.A.
Annually, 22nd July Put & Call: N.A. N.A.
Annually, 25th October Put & Call: N.A. N.A.
Annually, 20th November Put & Call: N.A. N.A.
Annually, 20th November Put & Call: N.A. N.A.
Annually, 15th January Put & Call: N.A. N.A.
Annually, 20th January Put & Call: N.A. N.A.
Annually, 20th January Put: N.A. N.A.
Annually, 25th January Put & Call: N.A. N.A.
Annually, 20th November Put & Call: N.A. N.A.
Annually, 20th March Put: N.A. N.A.
Annually, 20th April Put: N.A. N.A.
Annually, 18th May Put: N.A. N.A.
Annually, 20th September Put & Call: N.A. N.A.
Annually, 20th November Put & Call: N.A. N.A.
Annually, 20th December Put & Call: N.A. N.A.
Annually, 20th December Put & Call: N.A. N.A.
Annually, 20th January Put & Call: N.A. N.A.
Annually, 1st March Put & Call: N.A. N.A.
Annually, 20th March Put: N.A. N.A.
Annually, 31st March Put & Call: N.A. N.A.
Annually, 20th May Put: N.A. N.A.
Annually, 7th June Put & Call: N.A. N.A.
Annually, 20th July Put: N.A. N.A.
N.A.
Annually, 20th March Put: N.A. N.A.
Put & Call: N.A. N.A.
Half Yearly, 8th Apr & 8th Oct Put & Call: N.A. N.A.
Annually, 25th January Put & Call: N.A. N.A.
Half Yearly, 28th July & 28th Jan Put & Call: N.A. N.A.
Annually, 20th May Put: N.A. N.A.
Put/Call : 5 years from the deemed date of allotment ie 6th Sept, 2006 (ie amount payable to investors ie Rs. 6,000)
50001 - 60783/(50001- 69972 - except [54450 to 54453, 51236 - 51237, 57483 - 57486, 55346 - 55347, 50420 -50421, 68614 - 68625, 69401 - 69402])
Half Yearly, 14th Mar & 14th Sept
Half Yearly, 14th Dec & 14th June Put & Call: N.A. N.A.
Put & Call: N.A. N.A.
Half Yearly, 28th Aug & 28th Feb Put & Call: N.A. N.A.
Half Yearly, 30th Nov & 30th May Put & Call: N.A. N.A.
Annually, 7th June Put & Call: N.A. N.A.
Half Yearly, 19th Mar & 19th Sept Put & Call: N.A. N.A.
Annually, 20th November Put & Call: N.A. N.A.
Put & Call: N.A. N.A.
Half Yearly, 26th Dec & 26th June Put & Call: N.A. N.A.
Annually, 20th September Put & Call: N.A. N.A.
Half Yearly, 24th Mar & 24th Sept Put & Call: N.A. N.A.
Annually, 20th December Put & Call: N.A. N.A.
Put & Call: N.A. N.A.
Half Yearly, 19th Feb & 19th Aug Put & Call: N.A. N.A.
Half Yearly, 13th June & 13th Dec
Half Yearly, 26th June & 26th Dec
Half Yearly, 26th June & 26th Dec
Half Yearly, 13th July & 13th Jan Put & Call: N.A. N.A.
Half Yearly, 3rd Mar & 3rd Sept Put & Call: N.A. N.A.
On maturity, 1st April, 2022 Put: N.A. N.A.
ANNUAL JUNE 27, 2013 NA
ANNUALLY ON 24TH JANUARY 785 TO 1000
1 TO 4424
ANNUALLY ON 24TH JANUARY 1 TO 533
ANNUALLY ON 24TH JANUARY 534 TO 784
4425 to 5020
NA
NA
UPTO 1000000
UPTO 500000
UPTO 2000000
Put: NACall: NA
Put:AT PAR AT THE END OF 1ST YEAR & 2ND YEAR RESPECTIVELY 27/01/2013, 24/01/2014Call:AT PAR AT THE END OF 1ST YEAR & 2ND YEAR RESPECTIVELY 27/01/2013, 24/01/2014Semi Annually - 15th September
& 15th MarchPut: NACall: NA
Put:AT PAR AT THE END OF 3RD YEAR, 5TH YEAR & 7TH YEAR RESPECTIVELY 24/01/2015, 24/01/2017, 24/01/2019Call:AT PAR AT THE END OF 3RD YEAR, 5TH YEAR & 7TH YEAR RESPECTIVELY 24/01/2015, 24/01/2017, 24/01/2019
Put:AT PAR AT THE END OF 5TH YEAR & 7TH YEAR RESPECTIVELY 24/01/2017, 24/01/2019Call:AT PAR AT THE END OF 5TH YEAR & 7TH YEAR RESPECTIVELY 24/01/2017, 24/01/2019Semi Annually - 15th September
& 15th MarchPut:16/10/2019Call:16/10/2019
Quarterly on 30th March,30th June,30th September & 30th December ever year from 2012 to 2014 & on 30th March, 30th June in 2015
Put: NACall: NA
QUARTERLY ON 30 MAR, 30 JUNE, 30 SEP AND 30 DEC EVERY YEAR FROM 2013 TO 2015 AND ON 30 SEP,30 DEC 12
Put: NACall: NA
ON 13TH AUGUST EVERY YEAR. LAST INTEREST PAYMENT WILL BE ON REDEMPTION DATE
Put: NACall: NA
ON 3RD SEPTEMBER EVERY YEAR. LAST INTEREST PAYMENT WILL BE ON REDEMPTION DATE.
Put: NACall: NA
ANNUALLY ON 28TH DECEMBER & ON MATURITY
Put: NACall: NA
ANNUALLY ON 22ND MARCH UP TO 2000000
1 - 2000000
1/ (FCD-001 TO FCD-247000)
N.A. 1-469288
N.A. 469289-615888
NA 642889 - 667888
100
218
301
123
13
220
9
97
Put: NACall: NA
ON 29TH JUNE EVERY YEAR. LAST PAYMENT WILL BE ON REDEMPTION DATE
Put: NACall: NA
PAYABLE ON APRIL 1 EVERY YEAR AND ON MATURITY i.e. 29/03/2021
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
As per payout schedule Put: N.A.Call: N.A.
As per payout schedule Put: N.A.Call: N.A.
As per payout schedule Put: N.A.Call: N.A.
As per payout schedule Put: N.A.Call: N.A.
As per payout schedule Put: N.A.Call: N.A.
As per payout schedule Put: N.A.Call: N.A.
As per payout schedule Put: N.A.Call: N.A.
As per payout schedule Put: N.A.Call: N.A.
00000001-00556573
Monthly on 4th of every month 1 ( 1 to 600 )
NA 1 - 80
NA NA
ON MATURITY 1 - 22500
1 - 30000
NA
NA 1-50000
ANNUAL 1 - 750
ANNUALLY ON 28TH MARCH 1 - 250
NA
NA
2049-2301
2412-2611
On each redemption dates. Refer issuer for the further details.
Put: N.A.Call: N.A.
Put:18 month from the pay-in date.i.e.04/04/2013Call:18 month from the pay-in date.i.e.04/04/2013
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 04/03/2013, 03/03/2014, 02/03/2015, 02/03/2016, 02/03/2017
Put: NACall: NA
MONTHLY i.e. INTEREST WILL BE PAID FIRST DAY OF SUBSEQUENT MONTHS.
Put: NACall: NA
Put:NACall:AT THE END OF 5 YEARS i.e. ON 21/02/2012
Put: NACall:AT THE END OF 5 YEARS i.e. ON 26/02/2017
Put: NACall:AFTER 5 YEAR FROM THE DATE OF ALLOTMENT ON 28/03/2017
30/08/13, 30/08/14, 30/08/15, 30/08/16, 30/08/17, 30/08/18, 30/08/19, 30/08/20, 30/08/21, 30/08/22
Put: NACall: NA
14/10/13, 14/10/14, 14/10/15, 14/10/16, 14/10/17, 14/10/18, 14/10/19, 14/10/20, 14/10/21, 14/10/22
Put: NACall: NA
On maturity Put: N.A.Call: N.A.
On maturity Put: N.A.Call: N.A.
2612-2651
3152-3251
1-734
2302-2411
2652-3151
1-500
523-1448
1449-1748
3557-4121
ON MATURITY 5843 - 6597
NA
ON MATURITY 4984 - 5303
ON MATURITY 5304 - 5457
ON MATURITY 5458 - 5842
On maturity Put: N.A.Call: N.A.
On maturity Put: N.A.Call: N.A.
On 20/10/2010,20/04/2011,20/10/2011,20/04/2012,20/10/2012 & 20/04/2013
Put: N.A.Call: N.A.
On maturity Put: N.A.Call: N.A.
On maturity Put: N.A.Call: N.A.
On maturity Put: N.A.Call: N.A.
On maturity Put: N.A.Call: N.A.
On maturity Put: N.A.Call: N.A.
On maturity Put: N.A.Call: N.A.
Put: NACall: NA
Annually on 1st April & on maturity
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ON MATURITY 6598 - 7352
ON MATURITY 7353 - 7762
NA NA
NA
NA
Annually on 22nd January NA
Annually on 20th March NA
Annually on 04th September NA
Annually on 18th December NA
Annually on 12th November NA
Annually on 18th December NA
Annually on 08th April NA
Annually on 28th April NA
Annually on 12th August 0001 to 6000
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 1st April & on maturity
Put: NACall: NA
Annually on 1st April & on maturity
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: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
0001 to 4000
0001 to 10000
NA
NA
326
326
326
Annually on 24th August till maturity
Put: N.A.Call: N.A.
Annually on 26th October till maturity
Put: N.A.Call: N.A.
ANNUALLY ON JULY 27 EVERY YEAR AND ON FINAL MATURITY
Put: NACall: NA
ANNUALLY ON JULY 27 EVERY YEAR AND ON FINAL MATURITY
Put: NACall: NA
Bullet Redemption Put: N.A.Call: N.A.
Bullet Redemption Put: N.A.Call: N.A.
Bullet Redemption Put: N.A.Call: N.A.
Bullet Redemption Put: N.A.Call: N.A.
326
Bullet Redemption Put: N.A.Call: N.A.
326
Bullet Redemption Put: N.A.Call: N.A.
326
Bullet Redemption Put: N.A.Call: N.A.
326
Bullet Redemption Put: N.A.Call: N.A.
326
Bullet Redemption Put: N.A.Call: N.A.
326
Bullet Redemption Put: N.A.Call: N.A.
326
47
Annually on 31st December NA
Annually & on maturity 37126-37425
26/09/2013 72966 - 73115
07/10/2013 73216 - 73465
Annually on 07th February NA
Bullet Redemption Put: N.A.Call: N.A.
326
Bullet Redemption Put: N.A.Call: N.A.
326
Bullet Redemption Put: N.A.Call: N.A.
326
Bullet Redemption Put: N.A.Call: N.A.
326
Bullet Redemption Put: N.A.Call: N.A.
326
Bullet Redemption Put: N.A.Call: N.A.
326
Bullet Redemption Put: N.A.Call: N.A.
326
Bullet Redemption Put: N.A.Call: N.A.
326
Bullet Redemption Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
26/09/2013, 26/09/2014 73116 - 73215
71766-71965
29634-34598
ANNUALLY 53046 - 53645
NA
NA 52966 - 53045
NA NA
NA 39426 - 39645
NA 39646 - 39985
37926 - 38675
NA NA
40236 - 40385
Annually on 9th September 45536-47035
NA 52386 - 52885
Put: NACall: NA
PAYABLE ANNUALLY ON 16.07.2013, 16.07.2014, 16.07.2015
Put: NACall: NA
30TH JUNE EVERY YEAR TILL THE MATURITY
Put: NACall: NA
Put: NACall: NA
Annually on 31st March & on maturity
Put: N.A.Call: N.A.
Put: NACall: NA
Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Annually on 27th July & on Maturity
Put: NACall: NA
Put: N.A.Call: N.A.
Annually on 29th August & on Maturity
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
39986 - 40235
ANNUALLY 53646 - 54245
NA 55046 - 57045
ON MATURITY 51886 - 52385
62316-63565
37426 - 37925
40386 - 40535
Monthly at the end of each month NA
47536 - 48035
48635-51635
NA 48036 - 48635
NA 51636 - 51885
ANNUALLY 54246 - 55045
NA 62046 - 62315
Annually on 10/08/2012, 10/08/2013,10/08/2014
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY 28/06/2013,28/06/2014
Put: NACall: NA
Annually on 19th July & on Maturity
Put: NACall: NA
Annually on 30th August & on Maturity
Put: NACall: NA
Put:22/09/2012Call:22/09/2012
Annually on 31st October & on Maturity
Put: NACall: NA
Annually on 18th November & on Maturity
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 27th August NA
NA
ANNUALLY ON 22ND FEBRUARY NA
Annually on 7th September 40536-45535
NA
ANNUALLY ON 22ND FEBRUARY NA
57046 - 62045
ANNUALLY ON 30TH MARCH NA
7131 - 8630
63566-71565
71566-71765
8631 - 19633
19634-29633
NA 52886-52965
Put: N.A.Call: N.A.
ANNUALLY ON 31ST JANUARY & ON MATURITY
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 31ST JANUARY & ON MATURITY
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 27TH FEBRUARY & ON MATURITY
Put: NACall: NA
Put: NACall: NA
05TH JUNE EVERY YEAR TILL MATURITY DATE i.e. 05.06.2022
Put: NACall: NA
ANNUALLY ON 28TH JUNE EVERY YEAR
Put: NACall: NA
ANNUALLY ON 06/07/13, 06/07/14, 06/07/15, 06/07/16, 06/07/17, 06/07/18, 06/07/19, 06/07/20, 06/07/21 AND 06/07/22
Put: NACall: NA
05TH JUNE EVERY YEAR TILL MATURITY DATE i.e. 05.06.2027
Put: NACall: NA
ANNUALLY ON 28TH JUNE EVERY YEAR
Put: NACall: NA
Put: NACall: NA
01-10000
18/06/2013, 19/06/2013 26326-26825
NA 7226-7575
30326 - 32325
Annually on 21st November 2726 - 5225
6226 - 7225
PAYABLE ON 30TH EACH YEAR 21326-26325
ANNUALLY ON 26TH MARCH 7576 - 20075
Annually on 22nd November 5226 - 6225
ANNUALLY ON 03RD APRIL 20076 - 21325
26826 - 30325
NA
NA
NA
PAYABLE ANNUALLY ON 28TH JUNE EVERY YEAR
Put: NACall:EXCERCISABLE AFTER THE END OF 10 YEARS FROM THE DATE OF ALLOTMENT (EXCERCISABLE ONLY WITH
Put: NACall: NA
Put: NACall: NA
PAYABLE ON 10/10/2013, 10/10/2014
Put: NACall: NA
Put: NACall: NA
Annually on 01st December & on Maturity
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
PAYABLE ANNUALLY ON 9TH OCTOBER EVERY YEAR TILL MATURITY i.e. ON 09/10/2022
Put: NACall: NA
Quarterly on 10th March,10th June,10th September & 10th December
Put: N.A.Call: N.A.
Semi Annually on 31st December, 30th June & on maturity
Put: N.A.Call: N.A.
Quarterly on 18th May, 18th August, 18th November, 18th February
Put: NACall: NA
NA
NA
Annually 1st April Put & Call: N.A. NA
Annualy on 28th June 1-5000
Annualy on 16th July 1 - 5000
Annually 15th September na
Annually on 30th June NA
NA
ANNUAL (30TH JUNE EVERY YEAR) NA
Annually on 15th September NA
Annually, 1st March Put & Call: N.A. N.A.
Annually 26th July Put & Call: N.A. NA
Annually 08th January na
NA
Quarterly on 21st May, 21st August, 21st November, 21st February
Put: NACall: NA
Quarterly on 22nd May, 22nd August, 22nd November & 22nd February
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call:option at the end of 10th year
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
ON 21/06/2013,21/06/2014,21/06/2015,21/06/2016 & 21/12/2016
Put:21/06/2013Call:21/06/2013
Put:AT PAR AT THE END OF 36 MONTHS FROM DATE OF ALLOTMENTCall:AT PAR AT THE END OF 36 MONTHS FROM DATE OF ALLOTMENTPut: N.A.Call: N.A.
Put: N.A.Call: N.A.
Semi Annually 16th March & 16th September
Put: N.A.Call: N.A.
0001-3000
na
Annually on 26th July 01-5000
Annually on 22nd August 1-3000
Annually on 24th August 1-2900
Annually on 31st December NA
Annually on 5th September 1-5000
1-5000
Annually on 1st September 1-5100
Annually on 10th January NA
1-3000
1-800
Dist. No 0001 to 2000
001 to 2000
Semi Annually on 13th March and 13th September
Put: N.A.Call: N.A.
Semi-Annually 09th July & 09th January
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: NACall: NA
Put: N.A.Call:At par at the end of 10th Year from the deemed date of allotment (with the prior approval of RBI)
Annually on 17th September Put: N.A.Call:At the end of 10th year from the date of allotment i.e. 17/09/2018
Put: N.A.Call:At the end of 10th year from the deemed date of allotment i.e. 01/09/2019
Put: NACall:may be exercise by the bank only if the instrument has run for at lest 10 years with the prior approval of RBI.
Annually on 29th September Put: N.A.Call:At the end of 10th Year from the deemed date of allotment i.e.29/09/2019
Semi Annually on 30th March & 30th September
Put: N.A.Call:At par at the end of 10th Year from the deemed date of allotment (with the prior approval of RBI)
Semi annually on 31st March and 30th September
Put: N.A.Call:At par at the end of 10 years from the date of allotment. subject to prior approval from RBI .contact issuer for furhter
Semi annually on 18th November & 18th May
Put: N.A.Call:At par at the end of 10th Year from the deemed date of allotment (with the prior approval of RBI)
NA 1 to 27 / 1 to 1439737
NA 1 to 42/1 to 11413510
NA 1 to 12/ 1 to 4942825
NA 1 to 28/ 1 to 5100000
NA 1 / 1 to 3070000
1-8250
Put & Call: N.A. 801 to 900
N.A. 0001/(00000001 - 02000000)
N 1 to 100
1-600
Put & Call: N.A. 01 - 790
Put & Call: N.A. 01 -70
1-330
N.A. 01 to 10/(01 to 10)
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: N.A.
Semi annually on 15th April & 15th October
Put: N.A.Call: N.A.
Half Yearly, 15th October & 15th April
Quarterly-01st January01st April01st July &01st October
Half Yearly, 15th April & 15th October
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually-15th April & 15th October
Semi Annually-15th April & 15th October
Semi Annually on 15th April,15th October
Put: N.A.Call: N.A.
Quarterly -01st Jan01st April01st July &01st Oct & on redemption date
01-150
N.A. 001 - 010/(001 - 0100)
Half Yearly, 15th Oct & 15th Apr Put & Call: N.A. 01 to 150
Half Yearly, 15th Oct & 15th Apr Put & Call: N.A. 01 to 250
Half Yearly, 15th Oct & 15th Apr Put & Call: N.A. 01 to 130
N.A. 1 to 100
Half Yearly, 15th Oct & 15th April Put & Call: N.A. 1 to 300
Half Yearly, 15th Oct & 15th April Put & Call : N.A. 1 to 500
N.A. Dist Nos : 1 to 300
1-1000
1-8300
Put & Call: N.A. 901 to 1000
1-1820
N.A.
Semi Annually on 15th October & 15th April
Put: N.A.Call: N.A.
Quarterly -01st Jan01st April01st July &01st Oct & on redemption date
Half Yearly15th October & 15th April
Half Yearly15th Oct & 15th April
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Half Yearly, 15th October & 15th April
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Half yearly - 01st October & 01st April
0001 - 0002/(00000001 - 02000000)
1-3510
1-600
Put & Call: N.A. 01 -70
1-330
N.A. 01 to 10/(01 to 10)
01-150
N.A. 001 - 010/(001 - 0100)
Half Yearly, 15th Oct & 15th Apr Put & Call: N.A. 01 to 130
N.A. 1 to 100
Half Yearly, 15th Oct & 15th April Put & Call: N.A. 1 to 300
Half Yearly, 15th Oct & 15th April Put & Call : N.A. 1 to 500
N.A. Dist Nos : 1 to 300
N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi Annually-15th April & 15th October
Semi Annually on 15th April,15th October
Put: N.A.Call: N.A.
Quarterly -01st Jan01st April01st July &01st Oct & on redemption date
Semi Annually on 15th October & 15th April
Put: N.A.Call: N.A.
Quarterly -01st Jan01st April01st July &01st Oct & on redemption date
Half Yearly15th October & 15th April
Half Yearly15th Oct & 15th April
Half Yearly-01st April & 01st October
170001 - 170018/(00000001 to 00002000)
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Put & Call: N.A. 1001 to 1100
1-600
1-700
Put & Call: N.A. 01 -70
1-330
01-150
N.A. 220001/(00000001 - 00000100)
Half Yearly, 15th Oct & 15th Apr Put & Call: N.A. 01 to 130
N.A. 1 to 100
Half Yearly, 15th Oct & 15th April Put & Call : N.A. 1 to 500
N.A. Dist Nos : 1 to 300
1-18808
Put & Call: N.A. 1101 to 1200
1-600
Half Yearly, 15th October & 15th April
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi Annually-15th April & 15th October
Semi Annually on 15th April,15th October
Put: N.A.Call: N.A.
Semi Annually 15th October & 15th April
Put: N.A.Call: N.A.
Half Yearly-01st April & 01st October & 28th July, every year from 28.07.2002 to 28.07.2015 for part redemption & interest thereon
Half Yearly15th October & 15th April
Half Yearly15th Oct & 15th April
Semi annually on 15th April & 15th October & on maturity
Put: NACall: NA
Half Yearly, 15th October & 15th April
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Put & Call: N.A. 01 -70
1-1100
1-330
01-150
Half Yearly, 15th Oct & 15th Apr Put & Call: N.A. 01 to 130
N.A. 1 to 100
Half Yearly, 15th Oct & 15th April Put & Call : N.A. 1 to 500
N.A. Dist Nos : 1 to 300
1-1250
Put & Call: N.A. 1201 to 1300
1-600
Put & Call: N.A. 01 -70
1-2200
Semi Annually-15th April & 15th October
Semi Annually, 15thOctober, 15th April
Put: N.A.Call: N.A.
Semi Annually on 15th April,15th October
Put: N.A.Call: N.A.
Semi Annually 15th October & 15th April
Put: N.A.Call: N.A.
Half Yearly15th October & 15th April
Half Yearly15th Oct & 15th April
Semi Annually on 15th April,15th October
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Half Yearly, 15th October & 15th April
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi Annually-15th April & 15th October
Semi Annually on 15th April,15th October
Put: N.A.Call: N.A.
1-330
01-150
Half Yearly, 15th Oct & 15th Apr Put & Call: N.A. 01 to 130
N.A. 1 to 100
Half Yearly, 15th Oct & 15th April Put & Call : N.A. 1 to 500
N.A. Dist Nos : 1 to 300
1-28456
Put & Call: N.A. 1301 to 1400
1-600
Put & Call: N.A. 01 -70
1-6040
1-330
01-150
Half Yearly, 15th Oct & 15th Apr Put & Call: N.A. 01 to 250
Semi Annually on 15th April,15th October
Put: N.A.Call: N.A.
Semi Annually on 15th October & 15th April
Put: N.A.Call: N.A.
Half Yearly15th October & 15th April
Half Yearly15th Oct & 15th April
Semi annually on 15th April & 15th October & on maturity
Put: NACall: NA
Half Yearly, 15th October & 15th April
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi Annually-15th April & 15th October
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi Annually on 15th April,15th October
Put: N.A.Call: N.A.
Semi Annually on 15th October & 15th April
Put: N.A.Call: N.A.
Half Yearly, 15th Oct & 15th Apr Put & Call: N.A. 01 to 130
1-8550
Half Yearly, 15th Oct & 15th April Put & Call : N.A. 1 to 500
1-5000
1-17050
Put & Call: N.A. 1401 to 1500
1-5600
1-600
1-330
1-5000
01-150
Half Yearly, 15th Oct & 15th April Put & Call : N.A. 1 to 500
1-1750
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Half Yearly, 15th October & 15th April
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi Annually on 15th April,15th October
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi Annually 15th October & 15th April
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
1-600
01-150
01-8000
1-83591
01-4500
1-600
1-3900
1-7000
01 - 12450
01 - 15000
Annually on 15th October
1-2250
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi Annually on 15th April,15th October
Put: N.A.Call: N.A.
1-330
Semi Annually on 15th October & 15th April
Put: N.A.Call: N.A.
Semi-Annualy on 15th April & 15th October and on Maturity.
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: NACall: NA
Semi annually, 15th October and 15th April
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi-Annually on 15th April & 15th October & on maturity
Put: NACall: NA
Semi Annually, 15thOctober, 15th April
Put: N.A.Call: N.A.
Semi-Annually on 15th April, 15th October
Put: NACall: NA
Semi Annually on 15th April,15th October
Put: N.A.Call: N.A.
1-330
Semi-Annualy on 15th April & 15th October
Put: NACall: NA
Put: NACall: NA
Semi Annually on 15th April,15th October
Put: N.A.Call: N.A.
1 to 31734479
1-600
1-1500
1-10000
1-5000
1-600
1-6150
1-2850
1-3150
1-600
1-2000
1-6000
01 - 10760
ANNUALLY ON 15TH OCTOBER & ON MATURITY
Put: NACall: NA
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi Annually on 15th April,15th October
Put: N.A.Call: N.A.
Semi Annually on 15th April,15th October
Put: N.A.Call: N.A.
1-330
Semi annually on 15th April & 15th October
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi-Annually on 15th April & 15th October
Put: NACall: NA
01 - 1500
1-2550
1-4100
1 to 30954421
1-3200
1-3850
1-14100
1-150
1-9950
1-2200
1-150
1-2200
1-150
Semi-Annually on 15th April & 15th October
Put: NACall: NA
Semi-Annually on 15th April & 15th October & on maturity
Put: NACall: NA
Annually on 15th October & on Maturity
Put: NACall: NA
Semi Annually on 15th April,15th October
Put: N.A.Call: N.A.
ANNUALLY ON 15TH OCTOBER & ON MATURITY
Put: NACall: NA
Semi Annually on 15th April,15th October
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi-Annually on 15th April & 15th October & on maturity
Put: NACall: NA
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
1-2200
1-150
1-2200
1-150
1-2200
N.A.
Annually, 22nd October N.A.
Annually on 24th February NA
Annually on 14th January NA
Annually on 24th September NA
ANNUAL - 04TH JUNE EVERY YEAR NA
Annually on 24th September NA
NA 1 - 8000
ICF D 0001 - 250
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Semi annually on 15th April & 15th October & on maturity
Put: N.A.Call: N.A.
Annually17th January
Put/Call : At the end of 7th Year from the date of allotment17th January, 2010
Put & Call:At the end of 7th year from the date of allotment ie. 22nd October, 2010 Notice period : 30 days prior to the date of exercising the option
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: NACall: NA
Put: N.A.Call: N.A.
Put:25/03/2013Call:25/03/2013
16/08/2013, 16/08/2014, 16/02/2015
Put:16/08/2014 (AT THE END OF 24TH MONTH FROM THE DATE OF ALLOTMENT FOR AN AMOUNT OF RS. 25 CRORE)Call: NA
ICF D 0251 TO 500
ICF DA 0001 - 1500
ICF DB 0001 - 0500
NA
NA
Annually, 1st July Put & Call: N.A. N.A.
Annually 1st April na
NA
NA
NA
NA
NA
12/09/2013, 12/09/2014 & 12/09/2015
Put:12/09/2014 (AT THE END OF 24TH MONTH FROM THE DATE OF ALLOTMENT FOR AN AMOUNT OF Rs 25 CRORE)Call: NA
23/05/2013, 23/05/2014, 23/05/2015, 23/05/2016
Put:PUT OPTION DATES 23/03/2014 (AT THE END OF 22ND MONTH FROM THE DATE OF ALLOTMENT FOR AN AMOUNT OF RS 35 CR , 23/04/2014 (AT THE
23/05/2013, 23/05/2014, 23/05/2015, 23/05/2016
Put:PUT OPTION DATES 23/03/2014 (AT THE END OF 22ND MONTH FROM THE DATE OF ALLOTMENT FOR AN AMOUNT OF RS 15 CR , 23/04/2014 (AT THE
Payable on 10th day of every month
Put: N.A.Call: N.A.
Semi annually on 1st April and 1st October
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 01st April & on maturity
Put: N.A.Call: N.A.
OT2B 1 to OT2B 20 (13001 to 14000)
Annually on 01st January, (first interest payment on 01/01/2007)
Put: N.A.Call: N.A.
Annually on 1st April & on maturity
Put: N.A.Call: N.A.
Semi annually on 1st October & 1st April
Put: N.A.Call:Call option any time after 10 years with one month notice
Semi annually on 1st October & 1st April
Put: N.A.Call:Call option any time after 10 years with one month notice
Semi annually on 1st April and 1st October
Put: N.A.Call:Any time after 10 Years with one month notice subject to RBI Approval
Semi annually on 1st April and 1st October
Put: N.A.Call:Any time after 10 Years with one month notice subject to RBI Approval
Annually January 31 every year na
N.A. N.A.
N.A. N.A.
Monthly, 19th of every month Put & Call: N.A. N.A.
Annually, 19th February Put & Call: N.A. N.A.
Put & Call: N.A. N.A.
Monthly, 19th of every month Put & Call: N.A. N.A.
Annually, 4th March N.A. N.A.
N.A. N.A.
Annually, 5th March N.A. N.A.
Annually, 31st March N.A. N.A.
Annually, 31st March N.A. N.A.
Annually, 25th April Put & Call: N.A. N.A.
Put & Call: N.A. N.A.
Put: N.A.Call: N.A.
Annually 5th February
Annually 10th February
Quarterly, 19th May, 19th Aug, 19th Nov & 19th Feb
Quarterly, 4th Mar, 4th June, 4th Sept & 4th Dec
Quarterly, 25th July, 25th Oct, 25th Jan & 25th April
Annually, 5th May Put & Call: N.A. N.A.
Annually, 5th June Put & Call: N.A. N.A.
Annually, 7th July Put & Call: N.A. N.A.
Annually, 9th July Put & Call: N.A. N.A.
Annually, 15th July Put & Call: N.A. N.A.
Annually, 1st August Put & Call: N.A.
Annually, 5th August Put & Call: N.A. N.A.
Annually 7th August Put & Call: N.A. NA
Annually, 18th August Put & Call: N.A. N.A.
Annually, 25th August Put & Call: N.A. N.A.
Annually, 4th September Put & Call: N.A. N.A.
Annually 15th September Put & Call: N.A. NA
Annually 22nd September Put & Call: N.A. NA
Annually, 6th October Put & Call: N.A. N.A.
330000001 to 310000055, 330000001 to 310021400
Annually, 9th October Put & Call: N.A. N.A.
Annually 20th October NA NA
Annually 3rd November Put & Call: N.A. NA
Annually 5th November Put & Call: N.A. NA
Annually, 5th December Put & Call : N.A. N.A.
N.A. N.A.
Annually, 12th January Put & Call: N.A. N.A.
Put & Call: N.A. N.A.
NA Put & Call: N.A. N.A.
Annually, 16th January Put & Call: N.A. N.A.
Annually, 5th March Put & Call: N.A. N.A.
Put & Call: N.A. N.A.
Annually 20th April Put & Call: N.A. NA
On maturity, 20th April, 2014 Put & Call: N.A. NA
Annually 6th January
Quarterly, 12th Apr, 12th July, 12th Oct, & 12th Jan
Quarterly, 5th June, 5th Sept, 5th Dec & 5th March
Annually, 29th Sept Put & Call: N.A. N.A.
Annually,04th January NA
On maturity, 12th January, 2015 Put & Call: N.A. N.A.
Annually January 24 every year na
Annually, 25th February NA
NA
On Maturity, 25th February 2015 NA
NA
Na
Annually March 31st na
Anually April 08th na
Yearly June 08 na
Annually, March 30 NA
On maturity, 5th August, 2015 Put & Call: N.A. N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call:IDBI Limited has call option at the end of 7 years 25.02.2012
Semi Annually, 25th February and 25, Aug
Put: N.A.Call:IDBI Limited has call option at the end of 7 years- 25.02.2012
Put: N.A.Call: N.A.
Quarterly , on Feb 25, May 25, Aug 25 , Nov 25
Put: N.A.Call: N.A.
quarterly , Feb 25 , May 25 , Aug 25, Nov 25
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: N.A.
Put & Call: N.A. 48A, 01-22
Annually, 1st August Put & Call: N.A. N.A.
Annually, 5th August Put & Call: N.A. N.A.
Annually, 18th August Put & Call: N.A. N.A.
Annually, 12th January N.A.
Annually, 12th January N.A.
Annually 20th April NA
Included in annuity. N.A. 3112900 – 3116511
N.A. N.A.
Annually on January 19 NA
Annually February 03 N.A.
Annually on February 11 NA
Annually on February 11 NA
Annually on 1st March NA
Half Yearly on 8th March & 8th September
Put:N.A.Call: 12th Jan 2013 & 12th Jan 2016 with two month's notice in a National Newspaper
Put : N.A. Call:12th January, 2013 & 12th January, 2016
Put : N.A. Call: 20/04/2013 & 20/04/2016
3005120 – 30083803008580 – 30086773009045 – 30092243009235 – 3009257
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put:11/02/2011Call: N.A.
Put: N.A.Call: N.A.
Annually on 04th March NA
Annually March 8 NA
Annually on 27th March NA
Annually on 5th April every year NA
Annually September 27th NA
Annually on May 04 NA
Annually on 26th May NA
Annually on 31st May NA
Annually on July 28th NA
Annually on July 29th NA
Annually on 10th August NA
Annually on 16 august NA
Annually on August 30th NA
Annually on 10th September NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put:05/04/2011Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put:31/05/2011Call:31/05/2011
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: N.A.
Put: N.A.Call: N.A.
Annually on 6th April NA
Annually on 10th August NA
Annually on 29th September NA
Annually, 20th July NA
Annually on 16th December NA
Annually January 23rd NA
Annually on 29th March NA
Annually on January 30 NA
Annually, 2nd February N.A.
Annually on February 23 NA
Annual March 8 NA
Annually September 27th NA
Annually on 26th May NA
Annually on 21st September 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: N.A.
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: N.A.
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 16th November NA
Annually on 20th December NA
Annually on 22nd December NA
Annually on 5th February NA
Annually on 7th May NA
Annually on 1st Janury NA
Annually on 16th February NA
Annually on 23rd September NA
NA USB-April, 02/004(001 to 350)
Annually, 1st May N.A.
Annually, 1st September Put & Call: N.A.
N.A
Annually, 1st June Put & Call: N.A.
Annually, 1st Mar 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: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually1st May
USB-April, 2003/003 (3706 to 3735)
9062-9241, 9242-9336, 10020-10149, 10855-10864, 10865-10924.
Annually1st September
USB-August-02/007(1061 to 1075)
USB-May, 2003/008(5019 to 5068), USB-May, 2003/010(5103 to 5132)
UNS/SUB/II/Mar/001 (001 to 800) Tier II
Annually, 1st December NA USB/Dec.2001/002 (001 TO 1100)
Annually, 1st January NA
N.A. Put & Call: N.A. IIBI CB (II)00001 to 21875
ON MATURITY IRL-D-14 TO IRL-D-1013
NA 1014 TO 1513
01 TO 13500000
01 - 4000000
NA NA
Annually on 15th September NA
Annually on 4th October NA
Annually on 3rd January 1 ; 1 to 300
1 ; 1 to 100
1 ; 1 to 30
Annually on 7th January 1 ; 1 to 2000
i)USB/Jan. 2002/005 (001 to 1400), ii)USB/Jan./2002/006 (1401 to 1600)
Put:UNDER SPECIFIED CONDITION CONTACT ISSUER FOR FURTHER DETAILSCall: NA
Put:UNDER SPECIFIED CONDITION MENTIONED IN THE BOARD RESOLUTIONCall: NA
Interest rate at 11% (net of taxes ) p.a. payable computed from the date of allotment to specified date.Contact Issuer for further details
Put: NACall: NA
On specified date which is defined in the month as of 31st May & 30th November every year during the tanure as the case may be or any day and month mutually
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.
Annually on 3rd January & on maturity
Put: N.A.Call: N.A.
Annually on 3rd January & on maturity
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
ON MATURITY 1 ( 1 TO 2500 )
Annually on 08th February 1; 1 to 1500
Annually on 21st February 1 ; 1 to 1000
NA 1 ; 1 to 1500
1 ( 1 to 2500 )
Annually on 13th May 1 ; 1 to 2500
1 ; 1 to 1500
2ND MAY 2013 & 14TH JUNE 2013 1 / (1 - 3000)
ON MATURITY 1 / (1 - 5000)
NA 1 ( 1 TO 2500 )
1 ( 1 TO 500 )
ON MATURITY 1 / (1 - 3000)
Annually on 09th July 1 to 500
1,1 TO 1250
Put: NACall: NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 13th April & on maturity
Put: NACall: NA
Put: N.A.Call: N.A.
Semi Annually on 03rd December & 03rd June
Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 15th July & on Maturity
Put: NACall: NA
Put: NACall: NA
Put: N.A.Call: N.A.
Annually on 10/01/2013 & 10/07/2013
Put: NACall: NA
ON MATURITY 1 ( 1 TO 750 )
1,1 to 2000
Annually on 24th June 1 ( 1 TO 2000 )
1 (1 to 3000)
ON MATURITY 1 ( 1 TO 2000 )
1,1 TO 1500
24.05.2013, 23.08.2013 1 / (1-2000)
NA 1 ( 1 TO 2000 )
1 ( 1 TO 2000 )
1 ( 1 TO 2000 )
1 ; 1 to 1750
1 ( 1 TO 2500 )
1 ( 1 TO 2500 )
1 ; 1 to 2500
Put: NACall: NA
Annually on 24th July & on maturity
Put: NACall: NA
Put: NACall: NA
Annually on 27th July & on Maturity
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 23/02/2013,23/08/2013
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Annually on 15th September Put: N.A.Call: N.A.
Annually on 28th September Put: N.A.Call: N.A.
Annually on 15th June & on maturity
Put: N.A.Call: N.A.
ANNUALLY ON 12TH DECEMBER & ON MATURITY
Put: NACall: NA
ANNUALLY ON 12TH DECEMBER & ON MATURITY
Put: NACall: NA
Semi annually on 30th April & 31st October
Put: N.A.Call: N.A.
1 ( 1 to 2500 )
Annually on 11th November 1 ; 1 to 450
1 ( 1 TO 4650 )
Annually on 02nd December 1 ; 1 to 500
ON MATURITY 1 / (1-2500)
06.06.2013 AND 06.12.2013 1 / (1-2500)
1 , 1 TO 4650
Annually on 16th December 1 ; 1 to 1000
1 , 1 TO 2000
1 ( 1 to 2000 )
ON 21/02/2013 & 21/01/2014 1, 1-2000
ON MATURITY 1 ( 1 TO 1500 )
1 ( 1 TO 1500 )
1 ( 1 TO 2000 )
Annually on 05th December & on Maturity
Put: NACall: NA
Put: N.A.Call: N.A.
ANNUALLY ON 13TH DECEMBER & ON MATURITY
Put: NACall: NA
Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 13TH DECEMBER & ON MATURITY
Put: NACall: NA
Put: N.A.Call: N.A.
Annually on 7th December & on maturity
Put: NACall: NA
Annually on 14th June & on Maturity
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 23RD JULY & ON MATURITY
Put:23/07/2013Call:23/07/2013
ANNUALLY ON 17TH FEBRUARY & ON MATURITY
Put: NACall: NA
1 ( 1 TO 4000 )
1 ( 1 to 2500 )
Annually on 4th May 1 ; 1 to 5000
18.06.2013, 18.06.2014 1 / (1 - 5000)
Annually on 28th June 1 ; 1 to 2000
09/07/2013, 09/07/2014 1 / (1-1000)
11/07/2013, 11/07/2014 1/(1-1000)
1/ (1-3000)
1-300
ANNUALLY ON 07TH FEBRUARY 1 ( 1 TO 3000 )
Annually, on 23rd March Dist no: 1 to 2500
1/ (1-1000)
Annually on 10th May 1 ; 1 to 3400
1 / (1 - 500)
ANNUALLY ON 22ND FEBRUARY & ON MATURITY
Put: NACall: NA
Annually on 13th April & on maturity
Put: NACall: NA
Put: N.A.Call: N.A.
Put: NACall: NA
Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
12.07.2013, 12.07.2014, 12.10.2014
Put: NACall: NA
30/07/2013, 30/07/2014, 30/01/2015
Put: NACall: NA
Put:07/02/2014Call:07/02/214
Put: N.A.Call: N.A.
06/05/2013, 06/05/2014, 06/05/2015
Put: NACall: NA
Put: N.A.Call: N.A.
29/06/2013, 29/06/2014, 29/06/2015
Put: NACall: NA
1 / (1-1000)
1/ (1-3000)
1/ (1 - 2500)
1/ (1 - 600)
1/ (1-2000)
ON MATURITY 29/07/2015 1/1-1000
1/ (1-2000)
Annually on 28th September 1 ; 1 to 2000
Annually on 28th September Cert No. 1 Dist. No. 1-100
Annually on 28th September 1 ; 1 to 250
Annually 10th October 1; 1 to 2500
Annually on 21st November 1 ; 1 to 500
Annually on 30th November Cert. No. 1 Dist No. 1-250
Annually on 30th November 1 ; 1 to 250
06/05/2013, 06/05/2014, 06/05/2015
Put: NACall: NA
11/07/2013, 11/07/2014, 11/07/2015
Put: NACall: NA
18/07/2013, 18/07/2014, 17/07/2015
Put: NACall: NA
17/07/2013, 17/07/2014, 17/07/2015
Put: NACall: NA
25/07/2013, 25/07/2014, 24/07/2015
Put: NACall:25/07/2013, 25/07/2014
Put: NACall: NA
24.05.2013, 23.08.2013, 23.08.2014, 23.08.2015
Put:23.08.2013, 23.08.2014Call:23.08.2013, 23.08.2014
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: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 30th November 1 ; 1 to 250
Annually on 30th November 1 ; 1 to 150
1 ; 1 to 100
Annually on 8th December 1 ; 1 to 100
Annually 09th December 1-10; 1-100
Annually on March 10th 1 / 1 to 2500
1/(1-3000)
1/ (1 - 600)
Annually on 06th October 1 ( 1 to 1000 )
Annually on 14th November 1 ( 1 to 5000 )
ANNUALLY ON 12TH JANUARY 1 ( 1 TO 2500 )
Annually on 14th January 1 ( 1 to 5000 )
ANNUALLY ON 15TH JANUARY 1 ( 1- 2500 )
Annually on 25th January 1 ; 1 to 5000
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 30th November & on maturity
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
11/07/2013, 11/07/2014, 11/07/2015, 11/07/2016
Put: NACall: NA
17/07/2013, 17/07/2014, 17/07/2015, 17/07/2016
Put: NACall: NA
Put: NACall: NA
Put:14/11/2012, 14/11/2013, 14/11/2014, 14/11/2015Call:14/11/2012, 14/11/2013, 14/11/2014, 14/11/2015
Put: NACall: NA
Put:14/01/2013, 14/01/2014, 14/01/2015, 14/01/2016Call:14/01/2013, 14/01/2014, 14/01/2015, 14/01/2016
Put:15/01/2013,15/01/2014,15/01/2015, 15/01/2016Call:15/01/2013,15/01/2014,15/01/2015, 15/01/2016
Put: N.A.Call: N.A.
Annually on 14th February 1 ( 1 to 5000)
ANNUALLY ON 14TH MARCH 1 ( 1 - 2500 )
ANNUALLY ON 27TH MARCH 1 ( 1 TO 1750 )
1 ( 1 TO 1500 )
Annually on 03rd May 1 ( 1 to 2000 )
1;1 to 400
1 ( 1 TO 1500 )
1 ( 1 TO 500 )
1 /(1 TO 3000)
1 ( 1 TO 5000 )
1 ( 1 TO 5000 )
1/ (1 - 600)
ON MATURITY 31/07/2017 1/1-1000
1 ( 1 TO 5000 )
Put:14/02/2013, 14/02/2014, 14/02/2015, 14/02/2016Call:14/02/2013, 14/02/2014, 14/02/2015, 14/02/2016
Put:14/03/2013, 14/03/2014, 14/03/2015, 14/03/2016Call:14/03/2013, 14/03/2014, 14/03/2015, 14/03/2016
Put:27/03/2013, 27/03/2014, 27/03/2015,27/03/2016Call:27/03/2013, 27/03/2014, 27/03/2015,27/03/2016
MATURITY OR PUT/CALL OPTION DATE WHICHEVER IS EARLIER
Put:19/04/2013, 19/04/2014, 19/04/2015, 19/04/2016Call:19/04/2013, 19/04/2014, 19/04/2015, 19/04/2016
Put:03/05/2013, 03/05/2014, 03/05/2015, 03/05/2016,Call:03/05/2013, 03/05/2014, 03/05/2015, 03/05/2016
Semi Annually on 16th November & 16th May
Put: N.A.Call: N.A.
MATURITY OR PUT/CALL OPTION DATE WHICHEVER IS EARLIER
Put:20/05/2013,20/05/2014, 20/05/2015, 20/05/2016Call:20/05/2013,20/05/2014, 20/05/2015, 20/05/2016
MATURITY OR PUT/CALL OPTION DATE WHICHEVER IS EARLIER
Put: 14/06/2013,14/06/2014 & 14/06/2015 & 14/06/2016Call: 14/06/2013,14/06/2014, 14/06/2015 & 14/06/2016
20 JUNE EVERY YEAR TILL MATURITY
Put: NACall: NA
ON MATURITY OR PUT/CALL OPTION DATE
Put:16/07/2013, 16/07/2014, 16/07/2015, 16/07/2016Call:16/07/2013, 16/07/2014, 16/07/2015, 16/07/2016
ON MATURITY OR PUT/CALL OPTION DATE
Put:16/07/2013, 16/07/2014, 16/07/2015, 16/07/2016Call:16/07/2013, 16/07/2014, 16/07/2015, 16/07/2016
17/07/2013, 17/07/2014, 17/07/2015, 17/07/2016, 17/07/2017
Put: NACall: NA
Put: NACall: NA
ON MATURITY OR PUT/CALL OPTION DATE
Put:16/08/2013,16/08/2014,16/08/2015,16/08/2016Call:16/08/2013,16/08/2014,16/08/2015,16/08/2016
1 / (1 - 5000)
1/ (1-2000)
1 ( 1 TO 2000 )
1 / (1-2500)
1 / (1-2500)
Annually on 17th January 1 ; 1 to 2000
Annually on 05th February 1 ; 1 to 3000
Annually on 08th February 1 ; 1 to 1500
1 ; 1 to 1500
Anually on 4th September Certificate No. 1 Dist No. 1-750
Annually on 29th September 1 ; 1 to 1000
Annually on 17th November 1 ; 1 to 1000
Annually on 17th December 1 ; 1 to 2500
Annually 9th February Cert No. 1. Dist No. 1-500
19/08/2013, 19/08/2014, 19/08/2015, 19/08/2016, 19/08/2017
Put:19/08/2013, 19/08/2014, 19/08/2015 AND 19/08/2016Call:19/08/2013, 19/08/2014, 19/08/2015 AND 19/08/2016
PAYABLE ANNUALLY ON 23.08.2013, 23.08.2014, 23.08.2015, 23.08.2016, 23.08.2017
Put:23.08.2013, 23.08.2014, 23.08.2015,23.08.2016 AND 23.08.2017Call:23.08.2013, 23.08.2014, 23.08.2015,23.08.2016 AND 23.08.2017ON MATURITY OR PUT/CALL
OPTION DATEPut:16/10/2013, 16/10/2014, 16/10/2015, 16/10/2016Call:16/10/2013, 16/10/2014, 16/10/2015, 16/10/2016
ANNUALLY ON 06.12.2013, 06.12.2014, 06.12.2015 , 06.12.2016 AND 06.12.2017
Put:06.12.2013, 06.12.2014, 06.12.2015 AND 06.12.2016Call:06.12.2013, 06.12.2014, 06.12.2015 AND 06.12.2016
06.06.2013, 06.12.2013, 06.12.2014, 06.12.2015, 06.12.2016 AND 06.12.2017
Put:06.12.2013, 06.12.2014, 06.12.2015 AND 06.12.2016Call:06.12.2013, 06.12.2014, 06.12.2015 AND 06.12.2016
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 25th August 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: N.A.
Put: N.A.Call: N.A.
Annually on 2nd December 1 ( 1 TO 2000 )
Annually on 24th May 1 ; 1 to 2000
1 ( 1 TO 1000 )
Annually obn 20th September 1 ( 1 to 1000 )
Annually on 29th September 1 ( 1 TO 2500 )
1-112159
November 12,2020 1-169527
1-224389
1-435997
1-746451
1-318781
1 - 1026353
1-324996
1-105426
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Annually on 15th September Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
November 12,2011 and equivalent date every year thereafter
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
November 12,2011 and equivalent date every year thereafter
Put:Buyback Date/Put Option date : November 13,2015.Buyback intimation period : February 12,2015- May 12,2015.Buyback Amt.: Rs.5000 per bond
November 12,2015 if buyback option exercised. Otherwise , November 12,2020
Put:Buyback Date/Put Option date : November 13,2015.Buyback intimation period : February 12,2015- May 12,2015.Buyback Amt.: Rs.7180 per bond
On 31/12/2016, if buyback option exercised.Otherwise 30/12/2021
Put:Buyback date-Date falling 5 years and one day from Deemed date of Allotment,Buyback Amount: Rs- 5000/- per tranche 1 Bond, Buyback intimation period-
Annually on 30/12/2012 and equivalent date every year thereafter.
Put:Buyback date-Date falling 5 years and one day from Deemed date of Allotment,Buyback Amount: Rs- 7695/- per tranche 1 Bond, Buyback intimation period-
ON 21/03/2017,IF BUYBACK OPTION EXERCISED.OTHERWISE 21/03/2022.
Put:Buy Back is considered as put option. Buyback date : 21/03/2017. Buyback Amount: Rs- 7590/- per tranche 2 Bond, Buyback intimation period-The
ANNUAL, 21/03/2012 AND EQUIVALENT DATE EVERY YEAR THEREAFTER.
Put:Buy Back is considered as put option. Buyback date : 21/03/2017. Buyback Amount: Rs- 5000/- per tranche 2 Bond, Buyback intimation period-The
ANNUAL, MARCH 31,2013 AND EQUIVALENT DATE EVERY YEAR THEREAFTER
Put:Buy Back is considered as put option. Buyback date - 31/03/2017. Buyback Amount- Rs- 5000/- per tranche 3 Bond, Buyback intimation period-The
1-252905
1 ; 1 to 1500
Annually on 31st August 1 ; 1 to 750
Annually on 15th September 1 ; 1 to 500
Annually on 15th January 1 ; 1 to 1000
Annually on 15th January 1 ; 1 to 1000
Annually on 27th January 1 ; 1 to 1000
1 ; 1 to 2500
1 ; 1 to 2500
Annually on 28th April 1 ; 1 to 2000
Annually on 13th May 1 ; 1 to 5000
Annually on 28th May 1 ; 1 to 2000
Annually on 15th June 1 ; 1 to 2000
CUMULATIVE,31/03/2017 IF BUYBACK OPTION EXERCISED.OTHERWISE 31/03/2022
Put:Buy Back is considered as put option. Buyback date - 31/03/2017. Buyback Amount- Rs- 7495/- per tranche 3 Bond, Buyback intimation period-The
Annually on 25th August 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: N.A.
Put: N.A.Call: N.A.
Annually on 5th April & on maturity
Put: N.A.Call: N.A.
Annually on 5th April & on maturity
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: N.A.
Put: N.A.Call: N.A.
Annualy On 21st July 1 , 1 to 2000
Cert no- 1, Disti no- 1 TO 2000
Annualy on 8th July 1 (1 to 2000)
Annually on 15th September 1 ( 1 to 1000 )
Annually on 20th September 1 ( 1 to 1000 )
Annually on 29th September 1 (1 TO 2500)
Annually on 19th November 1 ( 1 TO 1000 )
NA 1; 1 to 4500
Annually on 15th April 1 ( 1 to 2000 )
NA 1 ( 1 TO 750 )
Annually on 27th December 1 , 1 to 2500
1-378836
378837-1514587
1-329333
Put: N.A.Call: N.A.
Annually on 6th August 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: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: NACall:15/04/2021
Put: NACall: NA
Put: NACall: NA
On 21st February, 2012 and equivalent date every year thereafter
Put:Buyback date-Date falling 5 years and one day from Deemed date of Allotment, Buyback Amt- Rs- 5000/- per Bond, Buyback intimation period-The Period
February 21,2016 if buyback option exercised.Otherwise, February 21,2021
Put:Buyback date-Date falling 5 years and one day from Deemed date of Allotment,Buyback Amt-Rs- 7350/- per Bond,Buyback intimation period-The Period
30/03/2016 if buyback option exercised. Otherwise,30/03/2021
Put:Buyback date-falling 5yr and one day from Deemed date of Allotment,Buyback Amt- Rs- 7435/- per Bond, Buyback intimation period-Period
1-117529
Annually on 17th February 1 ( 1 to 2000 )
Annually on 14th March 1 ( 1 TO 1000)
Annually on 28th March 1 ( 1 to 2000 )
Annually on 24th March 1 ( 1 to 5000 )
Annually on 06th January 1 ( 1 TO 1500 )
Annually, 10th April N.A. N.A.
Annually, 31st March Put & Call: N.A. 1, 1 to 2500
Annually, 15th January N.A. N.A.
Annually, 15th January N.A. N.A.
Annually, 15th January Put & Call: N.A. N.A.
Annually, 15th January Put & Call: N.A. N.A.
Annually, 15th January Put & Call: N.A. N.A.
Annually, 15th January Put & Call: N.A. N.A.
30/03/2012 and equivalent date every year thereafter
Put:Buyback date-falling 5 year and one day from Deemed date of Allotment, Buyback Amt- Rs- 5000/- per Bond, Buyback intimation period-Period
Put: NACall:17/02/2021
Put: NACall:14/03/2019
Put: NACall:28/03/2021
Put: NACall: NA
Put: NACall: NA
Annually, 15th January Put & Call: N.A.
Annually, 15th January Put & Call: N.A. 20001 to 25000
Annually, 15th Jan Put & Call: N.A. 26801 to 27025
Annually, 15th June Put & Call: N.A. 119551 to 120550
Annually, 15th June Put & Call: N.A. 151551 to 155550
Annually, 15th June Put & Call: N.A. 155551 to 156050
Annually, 15th June Put & Call: N.A. 173576 to 182065
Annually, 15th June Put & Call: N.A. 182066 to 187065
Annually, 15th June Put & Call: N.A. 227066 to 227165
Annually - Jun 15 NA Refer Annexure
N.A. N.A.
Annually, 15th January Put & Call: N.A. 49551 to 58550
Annually, 15th January Put & Call: N.A. N.A.
Annually, 15th January Put & Call: N.A. 185041 to 188290
188291 to 191290, 191291 to 194290, 194291 to 204290, 204291 to 214290, 214291 to 244290
Annually15th May
Annually, 15th January Put & Call: N.A. 25001 to 25800, 25801 to 26800
Annually on 15th January 28326-38325
Annually on 20th March 1 to 1000000
Annually on 15th July 749121 to 749420
Annually on 3rd July 1 to 1500000
Annually on 10th October NA
Annually on 10th March 14341 to 15840
1 to 1000000
1 to 100000
Annually on July 15th 500/102601 to 103100
Annually on 15th July 133351-140750
Annually on 15th July
Annually on 15th July 273811 to 274610
Annually on 15th July
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: NACall: NA
Put: N.A.Call: N.A.
Semi-Annually 1st June & 1st December
Put: N.A.Call: N.A.
Semi Annually January 15th & July 15th
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
146851 to 147450 & 147451 to 152010
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
152011-182010,182011-202010,202011-232010,232011-272010,272011-272810,272811-273810,274611-276610,27
Annually on July 15th
Annually on July 15th
Annually on July 15th
Annually on 01st September 1-500000
Annually on 17th August 1 to 3000000
Annually on September 1st NA
Annually on September 1st NA
Annually on 15th July 367221-368220
Annually on 28th September 1 to 3000000
Annually on 10th October NA
Annually on 15th July 368221-418220/50000
Annually on 22nd December 561101 to 1600000
Annually on 15th July 468221 to 478220
Annually on 15th July 478221 to 479120
Put: N.A.Call: N.A.
281611 to 282610,282611 to 284610,285926 to 305925 , 305926 to 310925
Put: N.A.Call: N.A.
334426 - 334925,334976 - 344975, 344976 - 354975,354976 - 364975, 364976 - 365220,365221-367220
Put: N.A.Call: N.A.
284611 to 285610,285611 to 285750 , 310926 to 330925
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: N.A.
Put: NACall: NA
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.
Annually on 15th July 479121 to 499120
Annually on 11th Junel 1 to 615600
Annually on 15th May
Annually on 16th September NA
Annually on 11th August NA
annually on 5th December NA
Annually on 15th December 1 to 1400000
Annually on 16th September NA
Annually on 2nd March 1 to 500000
Annually on 5th March 1 to 3000000
Annually on 22nd March 1 to 500000
Annually on July 15th
Annually on 25th July NA
annually on 5th December NA
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
Put: N.A.Call: N.A.
164501-167000, 170501-190500, 190501-210500 & 210501-240500
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: N.A.Call: N.A.
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.
500/ 1 ot 500 ; 300/100501 to 100800
Put: NACall: NA
Put: NACall: NA
ANNUALLY ON 24TH JANUARY NA
ANNUALLY ON 12TH MARCH 1-2000000
ANNUALLY ON 30TH MAY 1-4000000
Annually on 20th May 1 to 3500000
1 to 1500000
Annually on 24th December NA
Annually on 24th December NA
Annually on 1st March NA
Annually on 14th February NA
Annually on 25th February NA
ON MATURITY NA
Annually on 24th December NA
Annually on 22nd February NA
Annually 12th September Put & Call: N.A. NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: N.A.Call: N.A.
Annually on 17th August Put: N.A.Call: N.A.
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
Put: NACall: NA
NA
NA
NA
NA
NA
NA
1-1050
Annually, 20th July Put & Call: N.A. 1 to 352
NA NA
Annually-1st October NA 100001-100158
Annually-1st October NA 110001-110158
Annually-1st October NA 120001-120158
Annually-1st October NA 130001-130158
NA
Annually on 17th March each year till final redemption
Put: N.A.Call: N.A.
Annually on 24th March each year till final redemption
Put: N.A.Call: N.A.
Annually on 29th March each year till final redemption
Put: N.A.Call: N.A.
Annually on 28th August each year till final redemption
Put: N.A.Call: N.A.
Annually on 15th July each year till final redemption
Put: N.A.Call: N.A.
Annually on 31st January each year till final redemption
Put: N.A.Call: N.A.
Semi annually on 6th May & 6th November
Put:06/11/2012Call:06/11/2012
Put: NACall: NA
Quarterly on 1st October, 1st January, 1st April, 1st July
Put: End of 20/07/2014 or 20/07/2015 or 20/04/2016 or 20/04/2017Call: Any time between 20/07/2013 to 20/07/2017
Annually on 26th December 1-500
1 - 500
100
NA
1 ; 0001-1500
NCD 001,1-2000
Put: N.A.Call: N.A.
Semi-Annually on 03rd April & 03rd October
Put:at the end of 3rd year 03/10/2014Call:at the end of 3rd year 03/10/2014
As per payout schedule Put: N.A.Call: N.A.
As per payout schedule Put: N.A.Call: N.A.
Quarterly on 10th June,10th September,10th December & 10th March
Put: N.A.Call: N.A.
Quarterly on March 19, June 19, September 19 & December 19. 1st interest payment date is 19th March, 2009
Put: N.A.Call: N.A.
Registrar with BP Id No.
AA+.CRISIL,DT- 29/12/2010
AA+,CRISIL
AA+ ICRA DTD 23.05.2012
Address where Physical Securities is to be sent
Credit Rating with name of Credit Rating Agency and Date of Credit Rating
INTIME SPECTRUM REGISTRY IN200094
Mr. Sanjeev Kapoor Company SecretaryIDBI Bank LimitedTrade View Blgd,Oasis Complex
IN200553INVESTOR SERV OF INDIA
MR. AJIT ALEXASST. GENERAL MANAGERIDBI BANK LTDIDBI Bldg, 2nd FloorSector - 11
IN200553INVESTOR SERV OF INDIA
MR. AJIT ALEXASST. GENERAL MANAGERINVESTOR SERVICES OF INDIA LIMITEDIDBI BLDG, 2ND FLOOR
IN200553INVESTOR SERV OF INDIA
Mr. Pratha PatnaikDy. General ManagerIDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
IN200800KARVY COMPUTERSHARE-4
Mr. S.V. RajuAssistant General ManagerKarvy Computershare Private LimitedUnit- IDBI Bonds, Plot No. 17-24,
INVESTOR SERV OF INDIAIN200553
Ms.Usha ShettyAsst.General ManagerIDBI BuildingPlot No. 39, 40, 41, Sector 11CBD Belapur
INVESTOR SERV OF INDIAIN200553
Ms.Usha ShettyAsst.General ManagerIDBI BuildingPlot No. 39, 40, 41, Sector 11CBD Belapur
INVESTOR SERV OF INDIAIN200553
Ms.Sara SamuelAsst. General ManagerIDBI Building, 2nd FloorA Wing, Sector 11CBD Belapur
INVESTOR SERV OF INDIAIN200553
Ms.Usha ShettyAsst.General ManagerIDBI BuildingPlot No. 39, 40, 41, Sector 11CBD Belapur
INVESTOR SERV OF INDIAIN200553
Ms.Usha ShettyAsst.General ManagerIDBI BuildingPlot No. 39, 40, 41, Sector 11CBD Belapur
INVESTOR SERV OF INDIAIN200553
Ms.Usha ShettyAsst.General ManagerIDBI BuildingPlot No. 39, 40, 41, Sector 11CBD Belapur
INVESTOR SERV OF INDIAIN200553
Ms.Usha ShettyAsst.General ManagerIDBI BuildingPlot No. 39, 40, 41, Sector 11CBD Belapur
INVESTOR SERV OF INDIAIN200553
Ms.Usha ShettyAsst.General ManagerIDBI BuildingPlot No. 39, 40, 41, Sector 11CBD Belapur
AA+,CRISIL,DT-12-05-2011
AA+,CRISIL,DT-23-11-2011
AA+,CRISIL,DT-23-11-2011
AA+,CRISIL,DT-23-11-2011
AA+,ICRA,DT-23-11-2011
INVESTOR SERV OF INDIAIN200553
Ms.Usha ShettyAsst.General ManagerIDBI BuildingPlot No. 39, 40, 41, Sector 11CBD Belapur
INVESTOR SERV OF INDIAIN200553
Mr Ajit alexAsst.General ManagerIDBI Building2nd floor,Sector 11Belapur
INVESTOR SERV OF INDIAIN200553
Ms.Usha ShettyAsst.General ManagerIDBI BuildingPlot No. 39, 40, 41, Sector 11CBD Belapur
INVESTOR SERV OF INDIAIN200553
Mr Ajit alexAsst.General ManagerIDBI Building2nd floor,Sector 11Belapur
INVESTOR SERV OF INDIAIN200553
Mr Ajit alexAsst.General ManagerINVESTOR SERV OF INDIAIDBI Building2nd floor,Sector 11
INVESTOR SERV OF INDIAIN200553
Ms.Sara SamuelAsst. General ManagerInvestor Services of India LimitedIDBI Building, 2nd FloorA Wing, Sector 11
IN200553INVESTOR SERV OF INDIA
MR. AJIT ALEXASST. GENERAL MANAGERIDBI BANK LTDIDBI Bldg, 2nd FloorSector - 11
IN200553INVESTOR SERV OF INDIA
Mr. Pratha PatnaikDy. General ManagerIDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
IN200553INVESTOR SERV OF INDIA
Mr. Pratha PatnaikDy. General ManagerIDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
IN200553INVESTOR SERV OF INDIA
Mr. Pratha PatnaikDy. General ManagerIDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
IN200553INVESTOR SERV OF INDIA
Mr. Pratha PatnaikDy. General ManagerIDBI BANK LIMITED (INDUSTRIAL DEVELOPMENT BANK OF INDIA LTD)
INVESTOR SERV OF INDIAIN200553
Mr Ajit alexAsst.General ManagerIDBI Building2nd floor,Sector 11Belapur
INVESTOR SERV OF INDIAIN200553
Mr Ajit alexAsst.General ManagerIDBI Building2nd floor,Sector 11Belapur
INVESTOR SERV OF INDIAIN200553
Mr Ajit alexAsst.General ManagerIDBI Building2nd floor,Sector 11Belapur
INVESTOR SERV OF INDIAIN200553
Mr Ajit alexAsst.General ManagerIDBI Building2nd floor,Sector 11Belapur
INVESTOR SERV OF INDIAIN200553
Mr Ajit alexAsst.General ManagerIDBI Building2nd floor,Sector 11Belapur
INVESTOR SERV OF INDIAIN200553
Mr Ajit alexAsst.General ManagerIDBI Building2nd floor,Sector 11Belapur
INVESTOR SERV OF INDIAIN200553
Mr Ajit alexAsst.General ManagerINVESTOR SERV OF INDIAIDBI Building2nd floor,Sector 11
INVESTOR SERV OF INDIAIN200553
Mr Ajit alexAsst.General ManagerINVESTOR SERV OF INDIAIDBI Building2nd floor,Sector 11
INVESTOR SERV OF INDIAIN200553
Ms.Usha ShettyAsst.General ManagerIDBI BuildingPlot No. 39, 40, 41, Sector 11CBD Belapur
INVESTOR SERV OF INDIAIN200553
Mr Ajit alexAsst.General ManagerIDBI Building2nd floor,Sector 11Belapur
INVESTOR SERV OF INDIAIN200553
Mr Ajit alexAsst.General ManagerIDBI Building2nd floor,Sector 11Belapur
INVESTOR SERV OF INDIAIN200553
Ms.Usha ShettyAsst.General ManagerIDBI BuildingPlot No. 39, 40, 41, Sector 11CBD Belapur
INVESTOR SERV OF INDIAIN200553
Mr Ajit alexAsst.General ManagerINVESTOR SERV OF INDIAIDBI Building2nd floor,Sector 11
INVESTOR SERV OF INDIAIN200553
Mr Ajit alexAsst.General ManagerINVESTOR SERV OF INDIAIDBI Building2nd floor,Sector 11
INVESTOR SERV OF INDIAIN200553
Mr Ajit alexAsst.General ManagerINVESTOR SERV OF INDIAIDBI Building2nd floor,Sector 11
INVESTOR SERV OF INDIAIN200553
Mr Ajit alexAsst.General ManagerINVESTOR SERV OF INDIAIDBI Building2nd floor,Sector 11
INVESTOR SERV OF INDIAIN200553
Mr. Madhusudan ParkhiGeneral Manager - Company Secretary & LegalIDBI HOMEFINANCE LIMITED1204/2, Gopika Niketan
LAAA ICRA DTD 03.05.2012
LAAA ICRA DTD 03.08.2012
LAAA ICRA DTD 03.08.2012
LAAA ICRA DTD 03.08.2012
LAAA ICRA DTD 03.08.2012
LAAA ICRA DTD 03.08.2012
LAAA ICRA DTD 03.08.2012
LAAA ICRA DTD 03.05.2012
LAAA ICRA DTD 03.05.2012
LAAA ICRA DTD 03.05.2012
LAAA ICRA DTD 03.05.2012
LAAA ICRA DTD 03.08.2012
LAAA ICRA DTD 03.08.2012
INVESTOR SERV OF INDIAIN200553
Mr. Madhusudan ParkhiGeneral Manager - Company Secretary & Legal1204/2, Gopika NiketanGhole Road, Shivaji Nagar
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
LAAA ICRA DTD 03.08.2012
LAAA ICRA DTD 04.09.2012
LAAA ICRA DTD 04.09.2012
LAAA ICRA DTD 03.08.2012
LAAA ICRA DTD 04.09.2012
LAAA ICRA DTD 04.09.2012
A+ (SO) BRICKWKS 03.07.12
A+ (SO) BRICKWORK 03.07.12
NA
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. AMIT VYASCOMPLIANCE OFFICERIDL SPECIALITY CHEMICALS LIMITEDIN CENTRE, 49/50 MIDC,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. AMIT VYASCOMPLIANCE OFFICERIDL SPECIALITY CHEMICALS LIMITEDIN CENTRE, 49/50 MIDC,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAJIV L JHASR. AVP COMPANY SECRETARYIFCI FACTORS LIMITED9TH FLOOR, IFCI TOWER, 61,NEHRU PLACE,
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LimitedIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LimitedIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LImitedIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LImitedIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Sanjeev KapoorIntime Spectrum Registry Ltd.Head (North India Operations)A-31, 3rd Floor, Near PVR Cinemas
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LimitedIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI Towrer61, Nehru PlaceNew Delhi 110 019
INTIME SPECTRUM,DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI Towrer61, Nehru PlaceNew Delhi 110 019
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI Towrer61, Nehru PlaceNew Delhi 110 019
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
IN200449LINK INTIME INDIA PVT LTD, DELHI
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
BWR AA,BRICKWORK,DT-20/07/2010
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LImitedIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI Towrer61, Nehru PlaceNew Delhi 110 019
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Gopal SinghAGM - ResourcesIFCI LimitedIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI Towrer61, Nehru PlaceNew Delhi 110 019
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LImitedIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI Towrer61, Nehru PlaceNew Delhi 110 019
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LimitedIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI Towrer61, Nehru PlaceNew Delhi 110 019
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI Towrer61, Nehru PlaceNew Delhi 110 019
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LimitedIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LimitedIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LImitedIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
BWR AA,BRICKWORK,DT-24-05-2011
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LimitedIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LimitedIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LimitedIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LimitedIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Nitin ShahTreasurerIFCI LIMITEDSadhana House, 2nd FloorBehind Mahindra Towers
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
BWE AA,BRICKWORK,20-07-11
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Gopal SinghAGM - ResourcesIFCI LimitedIFCI Towrer61, Nehru Place
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Gopal SinghAGM - ResourcesIFCI LimitedIFCI Towrer61, Nehru Place
BWR AA,BRICKWORK,DT-20-07-2010
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
AA BWR,BRICKWORK,DT-20-07-2010
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LImitedIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LImitedIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LImitedIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LimitedIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LimitedIFCI Towrer61, Nehru Place
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LImitedIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
BWR AA,BRICKWORK,DT-24-05-2011
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LImitedIFCI Towrer61, Nehru Place
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LimitedIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
BWR AA-,BRICKS DT24/05/11
AA- BWR, A+ CARE
A+ CARE, AA- BWR
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Rattan SinghDGM-ResourcesIFCI LimitedIFCI Tower,61 Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LimitedIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
IN200449LINK INTIME INDIA PVT LTD, DELHI
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
BWR AA,BRICKWORK,DT-20/07/2010
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
AA BWR,BRICKWORK,DT-20-07-2010
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LImitedIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI Towrer61, Nehru PlaceNew Delhi 110 019
INTIME SPECTRUM,DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI Towrer61, Nehru PlaceNew Delhi 110 019
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI Towrer61, Nehru PlaceNew Delhi 110 019
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
BWR AA,BRICKWORK 20/07/10
BWR AA,BRICKWORK 20/07/10
BWR AA,BRICKWORK 20/07/10
BWR AA,BRICKWORK 20/07/10
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
BEETAL FINAN.AND COMPU.IN200504
Mr. Punit MittalGeneral ManagerBEETAL FINAN.AND COMPU.Beetal House, 3 rd Floor99, Madangir
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
IN200504BEETAL FINAN.AND COMPU.
MR. S.P. GUPTAVICE PRESIDENTBEETAL FINAN.AND COMPU.99, MADANGIRNEW DELHI 110062
IN200504BEETAL FINAN.AND COMPU.
MR. S.P. GUPTAVICE PRESIDENTBEETAL FINAN.AND COMPU.99, MADANGIRNEW DELHI 110062
IN200504BEETAL FINAN.AND COMPU.
MR. S.P. GUPTAVICE PRESIDENTBEETAL FINAN.AND COMPU.99, MADANGIRNEW DELHI 110062
IN200504BEETAL FINAN.AND COMPU.
MR. S.P. GUPTAVICE PRESIDENTBEETAL FINAN.AND COMPU.99, MADANGIRNEW DELHI 110062
IN200449LINK INTIME INDIA PVT LTD, DELHI
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
BWR AA,BRICKWORK,DT-20/07/2010
BWR AA, BRICKWORK,
BWR AA, BRICKWORK
BWR AA,BRICKWORK
BWR AA, BRICKWORK
BWR AA, BRICKWORK
BWR AA, BRICKWORK
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Gopal SinghAGM - ResourcesIFCI LimitedIFCI Towrer61, Nehru Place
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Gopal SinghAGM - ResourcesIFCI LimitedIFCI Towrer61, Nehru Place
BWR AA,BRICKWORK,DT-20-07-2010
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
AA,BWR,BRICKWORK,DT-20-07-2010
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavSenior Executive-Operation,Link Intime India Pvt. Ltd.C-13, Pannalal Silk Mills Compound,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavSenior Executive-Operation,Link Intime India Pvt. Ltd.C-13, Pannalal Silk Mills Compound,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavSenior Executive-Operation,Link Intime India Pvt. Ltd.C-13, Pannalal Silk Mills Compound,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavSenior Executive-Operation,Link Intime India Pvt. Ltd.C-13, Pannalal Silk Mills Compound,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavSenior Executive-Operation,Link Intime India Pvt. Ltd.C-13, Pannalal Silk Mills Compound,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
BWR AA,BRICKWORK,DT-24-05-2011
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
INTIME SPECTRUM,DELHIIN200449
Mr. Rattan SinghDGM - ResourcesIFCI LImitedIFCI Towrer61, Nehru Place
BWR AA,BRICKWORK
BWR AA-,BRICKWORKS
AA- BRICKWORK/ A+ BY CARE
AA- BRICKWORK AND A+ BY C
A+ CARE, AA- BWR
BWR AA,BRICKWORK
BWR AA,BRICKWORK
BWR AA, BRICKWORK
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavSenior Executive-Operation,Link Intime India Pvt. Ltd.C-13, Pannalal Silk Mills Compound,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
IN200504BEETAL FINAN.AND COMPU.
MR. S.P. GUPTAVICE PRESIDENTBEETAL FINAN.AND COMPU.99, MADANGIRNEW DELHI 110062
IN200504BEETAL FINAN.AND COMPU.
MR. S.P. GUPTAVICE PRESIDENTBEETAL FINAN.AND COMPU.99, MADANGIRNEW DELHI 110062
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavSenior Executive-Operation,Link Intime India Pvt. Ltd.C-13, Pannalal Silk Mills Compound,
BWR AA, BRICKWORK
BWR AA, BRICKWORK
BWR AA,BRICKWORK
BWR AA,BRICKWORK
BWR AA,BRICKWORK
BWR AA,BRICKWORK
BWR AA,BRICKWORK
A+ CARE, AA- BWR
A+ CARE, AA- BWR
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavSenior Executive-Operation,Link Intime India Pvt. Ltd.C-13, Pannalal Silk Mills Compound,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavSenior Executive-Operation,Link Intime India Pvt. Ltd.C-13, Pannalal Silk Mills Compound,
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavSenior Executive-Operation,Link Intime India Pvt. Ltd.C-13, Pannalal Silk Mills Compound,
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
AA- BWR
AA- BWR
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. GOPAL SINGHSENIOR ASSOCIATE VICE PRESIDENTIFCI LIMITEDIFCI TOWER
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. Gopal SinghAGM - ResourcesIFCI LIMITEDIFCI Towrer61, Nehru Place
In-house Share Registry (BP Id IN200449).
Mr. R.K. ChopraDeputy General ManagerIFCI LimitedIFCI Tower 61 Nehru Place
In-house Share Registry (BP Id IN200449).
Mr. R.K. ChopraDeputy General ManagerIFCI LimitedIFCI Tower 61 Nehru Place
As per Annexure
As per Annexure
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
As per Annexure
As per Annexure
As per Annexure
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
MCS Ltd.(IN200424)
Mr.S.P. Bansal,Asst.Vice President,MCS Limited,Sri Venkatesh Bhavan,212 -A,Shahpurjat,
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
INTIME SPECTRUM,DELHI IN200449
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
As per Annexure
As per Annexure
As per Annexure
As per Annexure
As per Annexure
As per Annexure
As per Annexure
As per Annexure
As per Annexure
As per Annexure
INTIME SPECTRUM,DELHI IN200449
INTIME SPECTRUM,DELHI IN200449
INTIME SPECTRUM,DELHI IN200449
INTIME SPECTRUM,DELHI IN200449
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
INTIME SPECTRUM,DELHI IN200449
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
INTIME SPECTRUM,DELHI IN200449
INTIME SPECTRUM,DELHI IN200449
As per Annexure
As per Annexure
A1+(SO)CARE DT 22.05.2012
A,CARE,DT-07-10-2011
CARE A- DTD-06.07.2012
A,CARE,DT-07-10-2011
A,CARE,DT-07-10-2011
A- CARE, DTD16/10/2022
A-,ICRA DT 07/12/2011
A- ICRS DTD 24.05.2012
AAA FITCH DTD 07.08.2012
AAA FITCH DTD 07.08.2012
AAA,FITCH,DTD-16-12-2011
INTIME SPECTRUM,DELHI IN200449
INTIME SPECTRUM,DELHI IN200449
INTIME SPECTRUM,DELHI IN200449
Mr. Rattan Singh DGM-Resources IFCI Tower, 61, Nehru Place, New Delhi - 110 019
IN200424MCS LTD
MR. OM JOSHIASSOCIATE VICE PRESIDENT - LEGALIFCI VENTURE CAPITAL FUNDS LIMITED
IN200424MCS LTD
MR. OM JOSHIASSOCIATE VICE PRESIDENT - LEGALIFCI VENTURE CAPITAL FUNDS LIMITED
IN200424MCS LTD
MR. OM JOSHIASSOCIATE VICE PRESIDENT - LEGALIFCI VENTURE CAPITAL FUNDS LIMITED
IN200424MCS LTD
MR. OM JOSHIASSOCIATE VICE PRESIDENT - LEGALIFCI VENTURE CAPITAL FUNDS LIMITED
IN200424MCS LTD
MR. OM JOSHIASSOCIATE VICE PRESIDENT - LEGALIFCI VENTURE CAPITAL FUNDS LIMITED
IN200424MCS LTD
MR. OM JOSHIASSOCIATE VICE PRESIDENT - LEGALIFCI VENTURE CAPITAL FUNDS LIMITED
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR.C.KALYANASUNDARAMHEAD OF OPERATIONIFMR CAPITAL FINANCE PRIVATE LIMITEDIITM RESEARCH PARK
IN200043SHAREPRO SERVICES (INDIA) PVT.LTD
MR.C.KALYANASUNDARAMHEAD OF OPERATIONIFMR CAPITAL FINANCE PRIVATE LIMITEDIITM RESEARCH PARK
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS.NEELAM DESAICOMPANY SECRETARYIL&FS FINANCIAL SERVICES LIMITEDPLOT C-22, G BLOCK
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS.NEELAM DESAICOMPANY SECRETARYIL&FS FINANCIAL SERVICES LIMITEDPLOT C-22, G BLOCK
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS.NEELAM DESAICOMPANY SECRETARYIL&FS FINANCIAL SERVICES LIMITEDPLOT C-22, G BLOCK
AAA(IND)FITCH,DT-07-03-12
AAA FITCH DTD 27.06.2012
NA
N.A.
N.A.
NA
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS.NEELAM DESAICOMPANY SECRETARYIL&FS FINANCIAL SERVICES LIMITEDPLOT C-22, G BLOCK
IN200094LINK INTIME INDIA PRIVATE LIMITED
MS.NEELAM DESAICOMPANY SECRETARYIL&FS FINANCIAL SERVICES LIMITEDPLOT C-22, G BLOCK
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. RAJPAL AHUJACOMPANY SECRETARYIL&FS ENERGY DEVELOPMENT COMPANY LIMITED1ST FLOOR, CORPORATE OFFICE TOWERIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. K SUGANYAACOMPANY SECRETARYIL&FS TAMIL NADU POWER COMPANY LIMITEDB BLOCK, 4TH FLOOR, NAVINS PRESIDIUMIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. K SUGANYAACOMPANY SECRETARYIL&FS TAMIL NADU POWER COMPANY LIMITEDB BLOCK, 4TH FLOOR, NAVINS PRESIDIUMIN200094
LINK INTIME INDIA PRIVATE LIMITED
MR. K SUGANYAACOMPANY SECRETARYIL&FS TAMIL NADU POWER COMPANY LIMITEDB BLOCK, 4TH FLOOR, NAVINS PRESIDIUMINVESTOR SERV OF INDIA
IN200553Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INTEGRATED ENTP. (I) LTDIN200264
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
unrated
AA,CRISIL,DT-12-12-2011
AA- ICRA DTD 24.07.2012
AA-,ICRA,DT-15-11-2011
AA-,ICRA,DT-11-01-2012
AA- ICRA DTD 14.08.2012
AA,ICRA DT 10/10/2011
AA,ICRA,DT-10-10-2011
AA-,ICRA,DT-11-01-2012
AA- ICRA DTD 24.07.2012
AA- ICRA 24.07.2012
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. Nikunj DaftaryHead - Depository & IPOC13. pannalal Silk Mills CompoundL.B.S Marg,Bhandup West
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. DILIP VAIDYACompliance OfficerINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. DILIP VAIDYACompliance OfficerINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. DILIP VAIDYACompliance OfficerINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. DILIP VAIDYACompliance OfficerINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. DILIP VAIDYACompliance OfficerINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. DILIP VAIDYACompliance OfficerINDIA INFOLINE FINANCE LIMITEDIIFL CENTRE, KAMALA CITYSENAPATI BAPAT MARG
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. DILIP VAIDYACompliance OfficerINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. DILIP VAIDYACompliance OfficerINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. DILIP VAIDYACompliance OfficerINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. DILIP VAIDYACompliance OfficerINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
LINK INTIME INDIA PRIVATE LIMITEDIN200094
MR. BINOY PARIKHCOMPANY SECRETARYINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
LINK INTIME INDIA PRIVATE LIMITEDIN200094
MR. BINOY PARIKHCOMPANY SECRETARYINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
AA,ICRA,DT-04-10-2011
AA,ICRA,DT-19-07-2011
AA,ICRA,DT-04-10-2011
LINK INTIME INDIA PRIVATE LIMITEDIN200094
MR. BINOY PARIKHCOMPANY SECRETARYINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
LINK INTIME INDIA PRIVATE LIMITEDIN200094
MR. BINOY PARIKHCOMPANY SECRETARYINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
LINK INTIME INDIA PRIVATE LIMITEDIN200094
MR. BINOY PARIKHCOMPANY SECRETARYINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
LINK INTIME INDIA PRIVATE LIMITEDIN200094
MR. BINOY PARIKHCOMPANY SECRETARYINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
LINK INTIME INDIA PRIVATE LIMITEDIN200094
MR. BINOY PARIKHCOMPANY SECRETARYINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
MR. BINOY PARIKHCOMPANY SECRETARYINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
Mr. NIMISH MEHTACompany SecretaryINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
LINK INTIME INDIA PRIVATE LIMITEDIN200094
MR. BINOY PARIKHCOMPANY SECRETARYINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
LINK INTIME INDIA PRIVATE LIMITEDIN200094
LINK INTIME INDIA PRIVATE LIMITEDIN200094
MR. BINOY PARIKHCOMPANY SECRETARYINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. KAMAL AHUJACompliance OfficerINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavASST. VICE PRESIDENTLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. KAMAL AHUJACompliance OfficerINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. KAMAL AHUJACompliance OfficerINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. KAMAL AHUJACompliance OfficerINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
AA,ICRA,DT-04-10-2011
AA,ICRA,DT-04-10-2011
AA,ICRA,DT-19-07-2011
AA,ICRA,DT-19-07-2011
AA,ICRA,DT-19-07-2011
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. KAMAL AHUJACompliance OfficerINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. KAMAL AHUJACompliance OfficerINDIA INFOLINE INVESTMENT SERVICES LTD (INDIA INFOLINE INVEST SER PVT LTD)
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavASST. VICE PRESIDENTLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavASST. VICE PRESIDENTLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavASST. VICE PRESIDENTLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,
KARVY COMPUTERSHARE PVT LTD.-4IN200800
Mr Arun KumarAssociate Vice President10th Floor, Jeevan Prakash Building,Kasturba Gandhi Marg,
KARVY COMPUTERSHARE PVT LTD.-4IN200800
Mr Arun KumarAssociate Vice President10th Floor, Jeevan Prakash Building,Kasturba Gandhi Marg,
Sharepro Services (India)Pvt.Ltd.IN200043
Mr. N. K. MadanVice President , Resource & TreasuryINDIA INFRASTRUCTURE FINANCE COMPANY LIMITED
Sharepro Services (India)Pvt.Ltd.IN200043
Mr. N. K. MadanVice President , Resource & Treasury1201-1027, Naurang House12th Floor, Kasturba Gandhi Marg
Sharepro Services (India)Pvt.Ltd.IN200043
Mr Arun KumarAssociate Vice President10th Floor, Jeevan Prakash Building,Kasturba Gandhi Marg,
Sharepro Services (India)Pvt.Ltd.IN200043
Mr Arun KumarAssociate Vice President10th Floor, Jeevan Prakash Building,Kasturba Gandhi Marg,
Sharepro Services (India)Pvt.Ltd.IN200043
Mr Arun KumarAssociate Vice President10th Floor, Jeevan Prakash Building,Kasturba Gandhi Marg,
Sharepro Services (India)Pvt.Ltd.IN200043
Mr Arun KumarAssociate Vice President10th Floor, Jeevan Prakash Building,Kasturba Gandhi Marg,
Sharepro Services (India)Pvt.Ltd.IN200043
Ms.K.RenuCompany Secretary1201-1207, Navrang House21, Kasturba Gandhi Marg,New Delhi - 110001
AAA CRISIL DTD 11.07.2012
AAA CRISIL DTD 11.07.2012
Sharepro Services (India)Pvt.Ltd.IN200043
Ms.K.RenuCompany Secretary1201-1207, Navrang House21, Kasturba Gandhi Marg,New Delhi - 110001
Sharepro Services (India)Pvt.Ltd.IN200043
Ms.K.RenuCompany Secretary1201-1207, Navrang House21, Kasturba Gandhi Marg,New Delhi - 110001
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
AA+,CARE DT 07/07/2011
AA+ CARE DTD 24.09.2012
AA+ CARE DTD 03.10.2012
AA+,CARE,DT-03-02-2011
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
INVESTOR SERV OF INDIAIN200553
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
IN200035KARVY COMPUTERSHARE
Mr. V.K. JayaramanDy. General ManagerKARVY COMPUTERSHARE PVT. LTD.17-24, Vittalrao Nagar
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
Mr. V.K. JayaramanDy. General ManagerKARVY COMPUTERSHARE PVT. LTD.17-24, Vittalrao Nagar
AA+ CARE DTD 24.09.2012
AA+ CARE DTD 12.07.2012
AA+ CARE DTD 22.12.2011
AA+,CARE,DT-24-01-2012
AA,CARE,DT-24-01-2012
AA+,CARE,DT-08-08-2011
AA+,CARE,DT-08-08-2011
AA+,CARE,DT-26-07-2011
AA+,CARE,DT-24-08-2011
AA+,CARE DT 26/08/2011
AA+,CARE,DT-09-12-2011
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. V.K. JayaramanDy. General ManagerKARVY COMPUTERSHARE PVT. LTD.17-24, Vittalrao Nagar
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. V.K. JayaramanDy. General ManagerKARVY COMPUTERSHARE PVT. LTD.17-24, Vittalrao Nagar
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. V.K. JayaramanDy. General ManagerKARVY COMPUTERSHARE PVT. LTD.17-24, Vittalrao Nagar
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
AA+,CARE,DT-08-08-2011
AA+,CARE,DT-24-01-2012
AA+,CARE,DT-24-01-2012
AA+,CARE,DT-05-12-2011
AA+ CARE DTD 27/06/2012
AA+, CARE,DT-18-07-2011
AA+,CARE,DT-25-08-2011
AA+,CARE,DT-28-10-2011
AA+,CARE,DT-11-11-2011
AA+,CARE,DT-16-11-2011
AA+,CARE,DT-05-12-2011
AA+,CARE,DT-24-01-2012
AA+,CARE,DT-13-03-2012
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. V.K. JayaramanDy. General Manager17-24, Vittalrao NagarMadhapurHyderabad 500 081
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
AA+,CARE,DT-22-12-2011
AA+,CARE,DT-22-12-2011
AA+,CARE DT 05/09/2011
AA+,CARE,DT-22-12-2011
AA+,CARE,DT-22-12-2011
AA+,CARE,DT-21-02-2012
AA+,CARE,DT-22-12-2011
AA+ CARE DTD 22.12.2011
AA CARE DTD 26/06/2012
AA+ CARE DTD 05/07/2012
AA+ CARE DTD 22.12.2011
AA+ CARE DTD 26.06.2012
AA+,CARE,DT-06/1/2012
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. V.K. JayaramanDy. General ManagerKARVY COMPUTERSHARE PVT. LTD.17-24, Vittalrao Nagar
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
AA+ CARE DTD 27.06.2012
AA+ CARE DT 23.09.2011
AA+ CARE DTD 01.10.2012
AA+,CARE,DT-18-11-2011
AA+,CARE,DT- 28-11-2011
AA+,CARE,DT-26-04-2012
AA+,CARE,DT-24-03-2012
AA+,CARE,DT-15-11-2011
AA+,CARE,DT-29-03-2012
AA+ CARE DTD 01.10.2012
A+,CARE,DT-16-02-2011
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Virendra Kumar RanaVice PresidentSkyline Financial Services Private LimitedD-153A, 1st Floor
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Virendra Kumar RanaVice PresidentSkyline Financial Services Private LimitedD-153A, 1st Floor
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Ajit Kumar singhCOMPANY SECRETARYINDIABULLS HOUSING FINANCE LIMITEDindiabulls house
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Virendra Kumar RanaVice PresidentSkyline Financial Services Private LimitedD-153A, 1st Floor
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Virendra Kumar RanaVice PresidentSkyline Financial Services Private LimitedD-153A, 1st Floor
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Virendra Kumar RanaVice PresidentSkyline Financial Services Private LimitedD-153A, 1st Floor
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Virendra Kumar RanaVice PresidentSkyline Financial Services Private LimitedD-153A, 1st Floor
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Virendra Kumar RanaVice PresidentSkyline Financial Services Private LimitedD-153A, 1st Floor
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Virendra Kumar RanaVice PresidentSkyline Financial Services Private LimitedD-153A, 1st Floor
IN200432SKYLINE FIN.SERV PVT LTD
Mr. Virendra Kumar RanaVice PresidentSkyline Financial Services Private LimitedD-153A, 1st Floor
KARVY COMPUTERSHARE PVT LTD.-4IN200800
MR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PVT LTD.-4PLOT NO. 17-24
KARVY COMPUTERSHARE PVT LTD.-4IN200800
MR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PVT LTD.-4PLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PVT LTD.-4PLOT NO. 17-24
A+,CARE,DT-16-02-2011
CARE A+,CARE,DT16/02/2011
AAA,ICRA,DT-
AAA,ICRA
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PVT LTD.-4PLOT NO. 17-24
IN200800KARVY COMPUTERSHARE-4
MR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PVT LTD.-4PLOT NO. 17-24
CAMEO CORPORATE SERV LTD IN200176
Mr. R.D. Ramaswamy General Manager Cameo Corporate Services Ltd."Subramanian Building", No. 1, Club House Road,
CAMEO CORPORATE SERVICES LTDIN200176
Mr. R.D. RamaswamyDirectorCameo Corporate Services Ltd"Subramanian Building"No. 1, Club House Road
CAMEO CORPORATE SERVICES LTDIN200176
Mr. R.D. RamaswamyDirectorCameo Corporate Services Ltd"Subramanian Building"No. 1, Club House Road
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. M. S. Madhusudhan / Mr. Mohd MohsinuddinKARVY COMPUTERSHARE PVT. LTDKarvy House
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. Raju RanganathanCompany SecretaryIndian Oil BhavanG-9, Ali Yavar Jung MargBandra (East)
IN200035KARVY COMPUTERSHARE
Mr. Raju RanganathanCompany SecretaryINDIAN OIL CORPORATION LIMITEDIndian Oil Bhavan
IN200035KARVY COMPUTERSHARE
Mr. Raju RanganathanCompany SecretaryINDIAN OIL CORPORATION LIMITEDIndian Oil Bhavan
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T. SatagopanSenior Finance ManagerCore 2, Scope Complex7, Institutional Area, Lodhi RoadNew Delhi 110 003
DSRC LIMITED IN200230
Mr.H.Krishnamoorthy General Manager(Operations)Data Software Research Co. Limited
DSRC LIMITED IN200230
Mr.H.Krishnamoorthy General Manager(Operations)Data Software Research Co. Limited
CAMEO CORPORATE SERVICES LTDIN200176
Mr. K. Sundar RajanAssistant General Manager & Company SecretaryINDIAN OVERSEAS BANKCentral Office
CAMEO CORPORATE SERVICES LTDIN200176
Mr. K. Sundar RajanAssistant General Manager & Company SecretaryINDIAN OVERSEAS BANKCentral Office
CAMEO CORPORATE SERVICES LTDIN200176
Mr. K. Sundar RajanAssistant General Manager & Company SecretaryINDIAN OVERSEAS BANKCentral Office
CAMEO CORPORATE SERVICES LTDIN200176
Mr. K. Sundar RajanAssistant General Manager & Company SecretaryINDIAN OVERSEAS BANKCentral Office
CAMEO CORPORATE SERVICES LTDIN200176
Mr. K. Sundar RajanAssistant General Manager & Company SecretaryINDIAN OVERSEAS BANKCentral Office
CAMEO CORPORATE SERVICES LTDIN200176
Mr. T.S.SrinivasanAssistant General Manager - Treasury (Domestic)Central Office763, Anna Salai
CAMEO CORPORATE SERVICES LTDIN200176
Mr. B.S.Keshava MurthyGeneral Manager - AccountsCentral Office763, Anna SalaiChennai 600 002
IN200176CAMEO CORPORATE SERV LTD
Mr. C.S.RamachandranAss General Manager INDIAN OVERSEAS BANKCentral Office763, Anna Salai
CAMEO CORPORATE SERVICES LTDIN200176
Mr. K. Sundar RajanAssistant General Manager & Company SecretaryINDIAN OVERSEAS BANKCentral Office
CAMEO CORPORATE SERVICES LTDIN200176
Mr. T.S.SrinivasanAssistant General Manager - Treasury (Domestic)Central Office763, Anna Salai
CAMEO CORPORATE SERVICES LTDIN200176
Mr. B.S.Keshava MurthyGeneral Manager - AccountsCentral Office763, Anna SalaiChennai 600 002
IN200176CAMEO CORPORATE SERV LTD
MR. C.N.RAMACHANDRANASST. GENERAL MANAGERINDIAN OVERSEAS BANKCentral Office763, Anna Salai
CAMEO CORPORATE SERVICES LTDIN200176
Mr. B.S.Keshava MurthyGeneral Manager - AccountsCentral Office763, Anna SalaiChennai 600 002
CAMEO CORPORATE SERVICES LTDIN200176
Mr. K. Sundar RajanAssistant General Manager & Company SecretaryINDIAN OVERSEAS BANKCentral Office
CAMEO CORPORATE SERVICES LTDIN200176
Mr. K. Sundar RajanAssistant General Manager & Company SecretaryCentral Office763, Anna Salai
CAMEO CORPORATE SERVICES LTDIN200176
Mr. K. Sundar RajanAssistant General Manager & Company SecretaryINDIAN OVERSEAS BANKCentral Office
Same as above Same as above
Same as above Same as above
KARVY COMPUTERSHARE PVT LTD-RILIN200078
Mr.VenkatachalamGeneral ManagerKARVY COMPUTERSHARE PVT LTD-RILKarvy House, 46, Avenue 4
KARVY COMPUTERSHARE PVT LTD-RILIN200078
Mr.VenkatachalamGeneral ManagerKARVY COMPUTERSHARE PVT LTD-RILKarvy House, 46, Avenue 4
KARVY COMPUTERSHARE PVT LTD-RILIN200078
Mr.VenkatachalamGeneral ManagerKARVY COMPUTERSHARE PVT LTD-RILKarvy House, 46, Avenue 4
KARVY COMPUTERSHARE PVT LTD-RILIN200078
Mr.VenkatachalamGeneral ManagerKARVY COMPUTERSHARE PVT LTD-RILKarvy House, 46, Avenue 4
KARVY COMPUTERSHARE PVT LTD-RILIN200078
Mr.VenkatachalamGeneral ManagerKARVY COMPUTERSHARE PVT LTD-RILKarvy House, 46, Avenue 4
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S.K. AjmaniAddl. General Manager (Bonds) & Company SecretaryUG Floor, East TowerNBCC Place, Bhisham Pitamah MargKARVY
IN200035 Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVYIN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)UG Floor, East TowerNBCC Place, Bhisham Pitamah Marg
KARVYIN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVYIN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S.K. AjmaniAddl. General Manager (Bonds) & Company SecretaryINDIAN RAILWAY FINANCE CORPORATION LIMITED
Same as above Same as above
Karvy Consultants Ltd(IN200035) Same as above
Karvy Consultants Ltd(IN200035) Same as above
Karvy Consultants Ltd(IN200035)
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. M.R.V. SubrahmanyamAssistant General ManagerKarvy Computershare Private Ltd.46, Avenue 4, Street No. 1Banjara Hills
KARVY IN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVY IN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVY IN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVYIN200035
Mr. M.R.V. SubrahmanyamAsst. General ManagerKarvy Computershare Pvt. Ltd.Karvy House, 46, Avenue 4,Street No.1, Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. R.V. SubrahmanyamAsst. General ManagerKarvy Computershare Pvt. Ltd.46, Avenue 4, Street No.1Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)UG Floor, East TowerNBCC Place, Bhisham Pitamah Marg
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)UG Floor, East TowerNBCC Place, Bhisham Pitamah Marg
KARVY IN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)UG Floor, East TowerNBCC Place, Bhisham Pitamah Marg
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
Same as above Same as above
Same as above Same as above
Karvy Consultants Ltd(IN200035) Same as above
Karvy Consultants Ltd(IN200035) Same as above
Karvy Consultants Ltd(IN200035)
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)UG Floor, East TowerNBCC Place, Bhisham Pitamah Marg
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)UG Floor, East TowerNBCC Place, Bhisham Pitamah Marg
KARVYIN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S.K. AjmaniAddl. General Manager (Bonds) & Company SecretaryINDIAN RAILWAY FINANCE CORPORATION LIMITED
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. M.R.V. SubrahmanyamAssistant General ManagerKarvy Computershare Private Ltd.46, Avenue 4, Street No. 1Banjara Hills
KARVY IN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVYIN200035
Mr. M.R.V. SubrahmanyamAsst. General ManagerKarvy Computershare Pvt. Ltd.Karvy House, 46, Avenue 4,Street No.1, Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. R.V. SubrahmanyamAsst. General ManagerKarvy Computershare Pvt. Ltd.46, Avenue 4, Street No.1Banjara Hills
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
Same as above Same as above
Karvy Consultants Ltd(IN200035) Same as above
Karvy Consultants Ltd(IN200035) Same as above
KARVY IN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)UG Floor, East TowerNBCC Place, Bhisham Pitamah Marg
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
KARVYIN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S.K. AjmaniAddl. General Manager (Bonds) & Company SecretaryINDIAN RAILWAY FINANCE CORPORATION LIMITED
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. M.R.V. SubrahmanyamAssistant General ManagerKarvy Computershare Private Ltd.46, Avenue 4, Street No. 1Banjara Hills
KARVY IN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. R.V. SubrahmanyamAsst. General ManagerKarvy Computershare Pvt. Ltd.46, Avenue 4, Street No.1Banjara Hills
IN200035KARVY COMPUTERSHARE
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
KARVY IN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)UG Floor, East TowerNBCC Place, Bhisham Pitamah Marg
Karvy Consultants Ltd(IN200035) Same as above
Karvy Consultants Ltd(IN200035) Same as above
KARVYIN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. M.R.V. SubrahmanyamAssistant General ManagerKarvy Computershare Private Ltd.46, Avenue 4, Street No. 1Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S.K. AjmaniAddl. General Manager (Bonds) & Company SecretaryINDIAN RAILWAY FINANCE CORPORATION LIMITED
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. M.R.V. SubrahmanyamAssistant General ManagerKarvy Computershare Private Ltd.46, Avenue 4, Street No. 1Banjara Hills
KARVY IN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. R.V. SubrahmanyamAsst. General ManagerKarvy Computershare Pvt. Ltd.46, Avenue 4, Street No.1Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S.K. AjmaniAddl. General Manager (Bonds) & Company SecretaryINDIAN RAILWAY FINANCE CORPORATION LIMITED
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
KARVY IN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)UG Floor, East TowerNBCC Place, Bhisham Pitamah Marg
KARVYIN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S.K. AjmaniAddl. General Manager (Bonds) & Company SecretaryINDIAN RAILWAY FINANCE CORPORATION LIMITED
Karvy Consultants Ltd(IN200035) Same as above
Karvy Consultants Ltd(IN200035) Same as above
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S.K. AjmaniAddl. General Manager (Bonds) & Company SecretaryINDIAN RAILWAY FINANCE CORPORATION LIMITED
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. M.R.V. SubrahmanyamAssistant General ManagerKarvy Computershare Private Ltd.46, Avenue 4, Street No. 1Banjara Hills
KARVY IN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. R.V. SubrahmanyamAsst. General ManagerKarvy Computershare Pvt. Ltd.46, Avenue 4, Street No.1Banjara Hills
IN200035KARVY COMPUTERSHARE
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
KARVY IN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)UG Floor, East TowerNBCC Place, Bhisham Pitamah Marg
KARVYIN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S.K. AjmaniAddl. General Manager (Bonds) & Company SecretaryUG Floor, East TowerNBCC Place, Bhisham Pitamah MargKARVY COMPUTERSHARE PVT.
LTD.IN200035
Mr. S.K. AjmaniAddl. General Manager (Bonds) & Company SecretaryINDIAN RAILWAY FINANCE CORPORATION LIMITED
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. M.R.V. SubrahmanyamAssistant General ManagerKarvy Computershare Private Ltd.46, Avenue 4, Street No. 1Banjara Hills
KARVY IN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVY IN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S.K. AjmaniAddl. General Manager (Bonds) & Company SecretaryUG Floor, East TowerNBCC Place, Bhisham Pitamah MargKARVY COMPUTERSHARE PVT.
LTD.IN200035
Mr. R.V. SubrahmanyamAsst. General ManagerKarvy Computershare Pvt. Ltd.46, Avenue 4, Street No.1Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)UG Floor, East TowerNBCC Place, Bhisham Pitamah Marg
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)UG Floor, East TowerNBCC Place, Bhisham Pitamah Marg
KARVY IN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)UG Floor, East TowerNBCC Place, Bhisham Pitamah Marg
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)UG Floor, East TowerNBCC Place, Bhisham Pitamah Marg
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S.K. AjmaniAddl. General Manager (Bonds) & Company SecretaryINDIAN RAILWAY FINANCE CORPORATION LIMITED
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)UG Floor, East TowerNBCC Place, Bhisham Pitamah Marg
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. M.R.V. SubrahmanyamAssistant General ManagerKarvy Computershare Private Ltd.46, Avenue 4, Street No. 1Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. R.V. SubrahmanyamAsst. General ManagerKarvy Computershare Pvt. Ltd.46, Avenue 4, Street No.1Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
CRISIL DT 06/05/2011
CRISIL,DT-06-05-2011
CRISIL,DTD-04-07-2011
CRISIL,DT-04-07-2011
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)UG Floor, East TowerNBCC Place, Bhisham Pitamah Marg
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S.K. AjmaniAddl. General Manager (Bonds) & Company SecretaryINDIAN RAILWAY FINANCE CORPORATION LIMITED
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. M.R.V. SubrahmanyamAssistant General ManagerKarvy Computershare Private Ltd.46, Avenue 4, Street No. 1Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
IN200035KARVY COMPUTERSHARE
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. M.R.V. SubrahmanyamAssistant General ManagerKarvy Computershare Private Ltd.46, Avenue 4, Street No. 1Banjara Hills
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)UG Floor, East TowerNBCC Place, Bhisham Pitamah Marg
IN200035KARVY COMPUTERSHARE
Mr. T.BeheraGeneral ManagerINDIAN RAILWAY FINANCE CORPORATION LIMITEDNBCC Place, Bhisham Pitamah MargKARVY COMPUTERSHARE PVT.
LTD.IN200035
Mr. M.R.V. SubrahmanyamAssistant General ManagerKarvy Computershare Private Ltd.46, Avenue 4, Street No. 1Banjara Hills
IN200035KARVY COMPUTERSHARE
Mr. T.BeheraGeneral ManagerINDIAN RAILWAY FINANCE CORPORATION LIMITED
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S.K. AjmaniAddl. General Manager (Bonds) & Company SecretaryINDIAN RAILWAY FINANCE CORPORATION LIMITED
IN200035KARVY COMPUTERSHARE
Mr. T.BeheraGeneral ManagerINDIAN RAILWAY FINANCE CORPORATION LIMITED
IN200035KARVY COMPUTERSHARE
Mr. T.BeheraGeneral ManagerINDIAN RAILWAY FINANCE CORPORATION LIMITED
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S.K. AjmaniAddl. General Manager (Bonds) & Company SecretaryINDIAN RAILWAY FINANCE CORPORATION LIMITED
CRISIL,DT-25-03-2011
IN200035KARVY COMPUTERSHARE
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Computershare Private Limited46, Avenue 4
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)UG Floor, East TowerNBCC Place, Bhisham Pitamah Marg
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S.K. AjmaniAddl. General Manager (Bonds) & Company SecretaryINDIAN RAILWAY FINANCE CORPORATION LIMITED
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S.K. AjmaniAddl. General Manager (Bonds) & Company SecretaryINDIAN RAILWAY FINANCE CORPORATION LIMITED
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S.K. AjmaniAddl. General Manager (Bonds) & Company SecretaryINDIAN RAILWAY FINANCE CORPORATION LIMITED
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S.K. AjmaniAddl. General Manager (Bonds) & Company SecretaryUG Floor, East TowerNBCC Place, Bhisham Pitamah MargKARVY COMPUTERSHARE PVT.
LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)UG Floor, East TowerNBCC Place, Bhisham Pitamah Marg
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S.K. AjmaniAddl. General Manager (Bonds) & Company SecretaryUG Floor, East TowerNBCC Place, Bhisham Pitamah MargKARVY COMPUTERSHARE PVT.
LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)UG Floor, East TowerNBCC Place, Bhisham Pitamah Marg
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)UG Floor, East TowerNBCC Place, Bhisham Pitamah Marg
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)UG Floor, East TowerNBCC Place, Bhisham Pitamah Marg
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
IN200035KARVY COMPUTERSHARE
Mr. T.BeheraGeneral ManagerINDIAN RAILWAY FINANCE CORPORATION LIMITEDNBCC Place, Bhisham Pitamah Marg
CRISIL,DT-25-03-2011
CRISIL DT 06/05/2011
CRISIL,DT-04-07-2011
CRISIL,DT-14-12-2011
CRISIL DT 06/05/2011
IN200035KARVY COMPUTERSHARE
Mr. T.BeheraGeneral ManagerINDIAN RAILWAY FINANCE CORPORATION LIMITEDNBCC Place, Bhisham Pitamah MargIN200035
KARVY COMPUTERSHAREMr. T.BeheraGeneral ManagerINDIAN RAILWAY FINANCE CORPORATION LIMITEDNBCC Place, Bhisham Pitamah MargIN200035
KARVY COMPUTERSHAREMr. T.BeheraGeneral ManagerINDIAN RAILWAY FINANCE CORPORATION LIMITED
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S.K. AjmaniAddl. General Manager (Bonds) & Company SecretaryINDIAN RAILWAY FINANCE CORPORATION LIMITED
IN200035KARVY COMPUTERSHARE
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Computershare Private Limited46, Avenue 4
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. S.K. AjmaniAddl. General Manager (Bonds) & Company SecretaryINDIAN RAILWAY FINANCE CORPORATION LIMITED
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
IN200035KARVY COMPUTERSHARE
Mr. T.BeheraGeneral ManagerINDIAN RAILWAY FINANCE CORPORATION LIMITEDNBCC Place, Bhisham Pitamah MargKARVY COMPUTERSHARE PVT.
LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
AAA CARE DTD 28.05.2012
AA+(SO)ICRA DT 20/06/2012
AA- CARE DTD 05.06.2012
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
KARVY COMPUTERSHARE PVT. LTD.IN200035
Mr. T.BeheraGeneral Manager (Bonds)INDIAN RAILWAY FINANCE CORPORATION LIMITEDUG Floor, East Tower
In-house Share Registry(IN200449)
Mr. S.P. ReddiDy. General Manager (Finance)Indian Renewable Energy Development Agency Ltd.India Habitat Centre
INTIME SPECTRUM,DELHIIN200449
Mr. S.P. ReddiDy. General Manager (Finance)Indian Renewable Energy Development Agency Ltd.India Habitat Centre
INTIME SPECTRUM,DELHIIN200449
Mr. S.K.BhargavaCompany SecretaryCore 4-A, East Court, 1st FloorIndia Habita Centre ComplexLodi Road, New Delhi 110 003
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. S.K.BhargavaCompany SecretaryINDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITEDCore 4-A, East Court, 1st Floor
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. S.K.BhargavaCompany SecretaryINDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITEDCore 4-A, East Court, 1st Floor
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. S K BHARGAVACOMPANY SECRETARYINDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITEDAUGUST KRANTI MAIDAN,
LINK INTIME INDIA PVT LTD, DELHIIN200449
Mr. S.K.BhargavaCompany SecretaryINDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITEDCore 4-A, East Court, 1st Floor
IN200117BIGSHARE SERVICES
Mr. Babu Rapheal CSr. ManagerBigshare Services Pvt. Limited,E-2/3, Ansa Industrial EstateSaki Vihar Road, Sakinaka
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,
AA- CARE DTD 05/06/2012
AA- CARE DT 04.05.2012
AA- CARE DT 04.05.2012
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. Ganesh JadhavAsst. Vice PresidentLink Intime India Private LimitedC-13, Pannalal Silk Mills Compound,
ALANKIT ASSIGNMENTS LTDIN200086
Mr. Pardeep VermaCompany SecretarySCO: 850; Shivalik Enclave,NAC, Manimajra,Chandigarh- 160101
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Mr.Yogesh AdkeAsst. Vice President (Investment Banking}57,Sonawalla Building,Mumbai Samachar Marg,
INTIME SPECTRUM REGISTRY IN200094
Mr. Chetan Shah Sr. Vice PresidentInvestment Banking Dept.INDUSIND BANK LIMITEDMamta House,
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Mr.Yogesh AdkeAsst. Vice President (Investment Banking}Mamata House, 1st Floor231, S.V. Road, Bandra(West)
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Mr. Nikunj DaftaryHead - Depository & IPOC13. pannalal Silk Mills CompoundL.B.S Marg,Bhandup West
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Mr.Yogesh AdkeAsst. Vice President (Investment Banking}INDUSIND BANK LIMITEDMamta House, 1st Floor
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. Nikunj DaftaryHead - Depository & IPOIntime Spectrum Registry Ltd.C13. pannalal Silk Mills CompoundL.B.S Marg,
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Mr.Yogesh AdkeAsst. Vice President (Investment Banking}Mamta House, 1st Floor231, S.V. Road, Bandra(West)
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Mr.Yogesh AdkeAsst. Vice President (Investment Banking}Mamta House, 1st Floor231, S.V. Road, Bandra(West)
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Mr.Yogesh AdkeAsst. Vice President (Investment Banking}INDUSIND BANK LIMITED57,Sonawalla Building,
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Mr.Yogesh AdkeAsst. Vice President (Investment Banking}INDUSIND BANK LIMITED57,Sonawalla Building,
INVESTOR SERV OF INDIAIN200553
Ms.Sara SamuelAsst. General ManagerINDUSTRIAL DEVELOPMENT BANK OF INDIAIDBI Building, 2nd Floor
Investor Services Of India Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
Investor Services Of India Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIAIN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIAIN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIAIN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIAIN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
DATAMATICSIN200336
Shri. R.D. KumbharGeneral ManagerDatamatics Financial Software & Services Ltd.Plot No. B-5, MIDC
DATAMATICSIN200336
Shri. R.D. KumbharGeneral ManagerDatamatics Financial Software & Services Ltd.Plot No. B-5, MIDC
INVESTOR SERV OF INDIAIN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIAIN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIAIN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
KARVYIN200035
Mr. M.R.V. SubrahmanyamAsst. General Manager Karvy Consultants LimitedKarvy House, 46, Avenue 4, Street No.1, Banjara Hills,
KARVYIN200035
Mr. M.R.V. SubrahmanyamAsst. General Manager Karvy Consultants LimitedKarvy House, 46, Avenue 4, Street No.1, Banjara Hills,
INVESTOR SERV OF INDIA IN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIA IN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIA IN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIA IN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIA IN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIAIN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIA IN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIA IN200553
Ms.Poornima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIA IN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIA IN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIA IN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIA IN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIA IN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIAIN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIA IN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIA IN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIAIN200553
Ms.Poornima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIAIN200553
Ms.Poornima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIA IN200553
Ms.Poornima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
Investor Services Of India Ltd.(IN200553)
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
DATAMATICS IN200336
Mr. R.D. Kumbhar General Manager Datamatics Financial Software & Services Ltd.Plot No. B-5. Part B Cross Lane, Marol, MIDC, Andher (East), Mumbai - 400 093
DATAMATICS IN200336
Mr. R.D. Kumbhar General Manager Datamatics Financial Software & Services Ltd.Plot No. B-5. Part B Cross Lane, Marol, MIDC, Andher (East), Mumbai - 400 093
DATAMATICS IN200336
Mr. R.D. Kumbhar General Manager Datamatics Financial Software & Services Ltd.Plot No. B-5. Part B Cross Lane, Marol, MIDC, Andher (East), Mumbai - 400 093
INVESTOR SERV OF INDIA IN200553
Ms.Poornima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
DATAMATICS IN200336
Mr. R.D. Kumbhar General Manager Datamatics Financial Software & Services Ltd.Plot No. B-5. Part B Cross Lane, Marol, MIDC, Andher (East), Mumbai - 400 093
DATAMATICS IN200336
Mr. R.D. Kumbhar General Manager Datamatics Financial Software & Services Ltd.Plot No. B-5. Part B Cross Lane, Marol, MIDC, Andher (East), Mumbai - 400 093
KARVY IN200035
Mr. M.R.V. Subrahmanyam Assistant General ManagerKarvy Consultants Ltd.46, Avenue 4, Street No. 1, Banjara Hills,
KARVY IN200035
Mr. M.R.V. Subrahmanyam Assistant General ManagerKarvy Consultants Ltd.46, Avenue 4, Street No. 1, Banjara Hills,
INVESTOR SERV OF INDIAIN200553
Ms. Poornima Rao/Mr. Ajit AlexAsst. General ManagerInvestor Services Of India LimitedIDBI BuildingPlot No. 39, 40, 41, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms.Sara SamuelAsst. General ManagerInvestor Services of India Ltd.IDBI Building, 2nd FloorA Wing, Sector 11
DATAMATICS IN200336
Mr. R.D. Kumbhar General Manager Datamatics Financial Software & Services Ltd.Plot No. B-5. Part B Cross Lane, Marol, MIDC, Andher (East), Mumbai - 400 093
INVESTOR SERV OF INDIAIN200553
Ms.Sara SamuelAsst. General ManagerINDUSTRIAL DEVELOPMENT BANK OF INDIAIDBI Building, 2nd Floor
DATAMATICS FINANCIAL SOFTWARE AND SERVICES LTDIN200336
Mr.Deepak PhanseSenior ManagerDATAMATICS FINANCIAL SOFTWARE AND SERVICES LTDPlot No. A 16 & 17, MIDC
DATAMATICS FINANCIAL SOFTWARE AND SERVICES LTDIN200336
Mr.Deepak PhanseSenior ManagerDATAMATICS FINANCIAL SOFTWARE AND SERVICES LTDPlot No. A 16 & 17, MIDC
DATAMATICS FINANCIAL SOFTWARE AND SERVICES LTDIN200336
Mr.Deepak PhanseSenior ManagerDATAMATICS FINANCIAL SOFTWARE AND SERVICES LTDPlot No. A 16 & 17, MIDC
DATAMATICS FINANCIAL SOFTWARE AND SERVICES LTDIN200336
Mr.Deepak PhanseSenior ManagerDATAMATICS FINANCIAL SOFTWARE AND SERVICES LTDPlot No. A 16 & 17, MIDC
DATAMATICS FINANCIAL SOFTWARE AND SERVICES LTDIN200336
Mr.Deepak PhanseSenior ManagerDATAMATICS FINANCIAL SOFTWARE AND SERVICES LTDPlot No. A 16 & 17, MIDC
INVESTOR SERV OF INDIAIN200553
Ms.Sara SamuelAsst. General ManagerInvestor Services of India LimitedIDBI Building, 2nd FloorA Wing, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms.Sara SamuelAsst. General ManagerINVESTOR SERV OF INDIAIDBI Building, 2nd FloorA Wing, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms.Sara SamuelAsst. General ManagerInvestor Services of India LimitedIDBI Building, 2nd FloorA Wing, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms.Sara SamuelAsst. General ManagerInvestor Services of India LimitedIDBI Building, 2nd FloorA Wing, Sector 11
DATAMATICS IN200336
Mr. R.D. Kumbhar General Manager Datamatics Financial Software & Services Ltd.Plot No. B-5. Part B Cross Lane, Marol, MIDC, Andher (East), Mumbai - 400 093
INVESTOR SERV OF INDIA IN200553
Ms.Sara Samuel Asst. General ManagerInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A Wing, Sector 11, CBD Belapur, New Mumbai-400 614 INVESTOR SERV OF INDIA
IN200553 Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIA IN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
INVESTOR SERV OF INDIA IN200553
Ms.Purnima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
DATAMATICS IN200336
Mr. R.D. Kumbhar General Manager Datamatics Financial Software & Services Ltd.Plot No. B-5. Part B Cross Lane, Marol, MIDC, Andher (East), Mumbai - 400 093
INVESTOR SERV OF INDIA IN200553
Ms.Poornima S.Rao/ Mr. Ajit AlexAGMInvestor Services Of India Ltd.IDBI Building, 2nd Floor, A WingSector 11, Plot Nos 39,40,41
KARVY IN200035
Mr. M.R.V. Subrahmanyam Assistant General ManagerKarvy Consultants Ltd.46, Avenue 4, Street No. 1, Banjara Hills,
Datamatics Financial Services Limited (BP Id IN200336).
Mr. R. D. KhumbharGeneral ManagerDatamatics Financial Software and Services LimitedPlot No. A – 16 & A – 17, Part B
Karvy Consultants Limited (BP Id IN200035).
Mr. M. R. V. SubramanyamAsst. General ManagerKarvy Consultants LimitedKarvy House46 Avenue, Road No. 4
INVESTOR SERV OF INDIAIN200553
Ms. Poornima Rao/Mr. Ajit AlexAsst. General ManagerInvestor Services of India Ltd.IDBI BuildingPlot No. 39, 40, 41, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms. Poornima Rao/Mr. Ajit AlexAsst. General ManagerInvestor Services of India Ltd.IDBI BuildingPlot No. 39, 40, 41, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms. Poornima Rao/Mr. Ajit AlexAsst. General ManagerInvestor Services of India Ltd.IDBI BuildingPlot No. 39, 40, 41, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms. Poornima Rao/Mr. Ajit AlexAsst. General ManagerInvestor Services of India Ltd.IDBI BuildingPlot No. 39, 40, 41, Sector 11
INVESTOR SERV OF INDIAIN200553
Mr. M. BhattacharyaAsst. General ManagerIDBI Tower,WTC Complex,Cuffe Parade,Mumbai 400 005
INVESTOR SERV OF INDIAIN200553
Ms. Poornima Rao/Mr. Ajit AlexAsst. General ManagerIDBI BuildingPlot No. 39, 40, 41, Sector 11CBD Belapur
INVESTOR SERV OF INDIAIN200553
Ms. Poornima Rao/Mr. Ajit AlexAsst. General ManagerInvestor Services of India Ltd.IDBI BuildingPlot No. 39, 40, 41, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms. Poornima Rao/Mr. Ajit AlexAsst. General ManagerIDBI BuildingPlot No. 39, 40, 41, Sector 11CBD Belapur
INVESTOR SERV OF INDIAIN200553
Ms. Poornima Rao/Mr. Ajit AlexAsst. General ManagerInvestor Services of India Ltd.IDBI BuildingPlot No. 39, 40, 41, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms.Sara SamuelAsst. General ManagerInvestor Services of India LimitedIDBI Building, 2nd FloorA Wing, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms. Poornima Rao/Mr. Ajit AlexAsst. General ManagerInvestor Services of India Ltd.IDBI BuildingPlot No. 39, 40, 41, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms. Poornima Rao/Mr. Ajit AlexAsst. General ManagerInvestor Services of India Ltd.IDBI BuildingPlot No. 39, 40, 41, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms. Poornima Rao/Smt. Savita GokhaleDy. General Manager/Asst.General ManagerInvestor Services of India Ltd.
INVESTOR SERV OF INDIAIN200553
Ms. Poornima Rao/Smt. Savita GokhaleDy. General Manager/Asst.General ManagerInvestor Services of India Ltd.
INVESTOR SERV OF INDIAIN200553
Ms. Poornima Rao/Smt. Savita GokhaleDy. General Manager/Asst.General ManagerInvestor Services of India Ltd.
INVESTOR SERV OF INDIAIN200553
Ms. Poornima Rao/Smt. Savita GokhaleDy. General Manager/Asst.General ManagerInvestor Services of India Ltd.
INVESTOR SERV OF INDIAIN200553
Ms.Sara SamuelAsst. General ManagerInvestor Services of India LimitedIDBI Building, 2nd FloorA Wing, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms.Sara SamuelAsst. General ManagerInvestor Services of India LimitedIDBI Building, 2nd FloorA Wing, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms.Usha ShettyAsst.General ManagerINVESTOR SERV OF INDIAIDBI BuildingPlot No. 39, 40, 41, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms.Sara SamuelAsst. General ManagerIDBI Building, 2nd FloorA Wing, Sector 11CBD Belapur
INVESTOR SERV OF INDIAIN200553
Ms.Usha ShettyAsst.General ManagerINVESTOR SERV OF INDIAIDBI BuildingPlot No. 39, 40, 41, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms.Usha ShettyAsst.General ManagerIDBI BuildingPlot No. 39, 40, 41, Sector 11CBD Belapur
INVESTOR SERV OF INDIAIN200553
Ms.Sara SamuelAsst. General ManagerInvestor Services of India LimitedIDBI Building, 2nd FloorA Wing, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms. Poornima Rao/Mr. Ajit AlexAsst. General ManagerInvestor Services of India Ltd.IDBI BuildingPlot No. 39, 40, 41, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms.Sara SamuelAsst. General ManagerInvestor Services of India LimitedIDBI Building, 2nd FloorA Wing, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms. Poornima Rao/Mr. Ajit AlexAsst. General ManagerIDBI BuildingPlot No. 39, 40, 41, Sector 11CBD Belapur
INVESTOR SERV OF INDIAIN200553
Ms. Poornima Rao/Mr. Ajit AlexAsst. General ManagerInvestor Services of India Ltd.IDBI BuildingPlot No. 39, 40, 41, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms. Poornima Rao/Mr. Ajit AlexAsst. General ManagerInvestor Services of India Ltd.IDBI BuildingPlot No. 39, 40, 41, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms. Poornima Rao/Smt. Savita GokhaleDy. General Manager/Asst.General ManagerInvestor Services of India Ltd.
INVESTOR SERV OF INDIAIN200553
Ms. Poornima Rao/Mr. Ajit AlexAsst. General ManagerInvestor Services of India Ltd.IDBI BuildingPlot No. 39, 40, 41, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms.Sara SamuelAsst. General ManagerInvestor Services of India LimitedIDBI Building, 2nd FloorA Wing, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms. Poornima Rao/Mr. Ajit AlexAsst. General ManagerInvestor Services of India Ltd.IDBI BuildingPlot No. 39, 40, 41, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms.Usha ShettyAsst.General ManagerINVESTOR SERV OF INDIAIDBI BuildingPlot No. 39, 40, 41, Sector 11
Karvy Consultants Ltd. (IN200035)
Karvy Consultants Ltd. (IN200035)
INVESTOR SERV OF INDIAIN200553
Ms.Usha ShettyAsst.General ManagerINVESTOR SERV OF INDIAIDBI BuildingPlot No. 39, 40, 41, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms.Usha ShettyAsst.General ManagerINVESTOR SERV OF INDIAIDBI BuildingPlot No. 39, 40, 41, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms.Usha ShettyAsst.General ManagerINVESTOR SERV OF INDIAIDBI BuildingPlot No. 39, 40, 41, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms.Usha ShettyAsst.General ManagerIDBI BuildingPlot No. 39, 40, 41, Sector 11CBD Belapur
INVESTOR SERV OF INDIAIN200553
Ms.Usha ShettyAsst.General ManagerINVESTOR SERV OF INDIAIDBI BuildingPlot No. 39, 40, 41, Sector 11
INVESTOR SERV OF INDIAIN200553
Ms.Usha ShettyAsst.General ManagerIDBI BuildingPlot No. 39, 40, 41, Sector 11CBD Belapur
INVESTOR SERV OF INDIAIN200553
Mr. M. BhattacharyaAsst. General ManagerIDBI Tower,WTC Complex,Cuffe Parade,Mumbai 400 005
INVESTOR SERV OF INDIAIN200553
Ms.Usha ShettyAsst.General ManagerINVESTOR SERV OF INDIAIDBI BuildingPlot No. 39, 40, 41, Sector 11
Mr. M.R.V. Subrahmanyam Mr. V. MaheshVice PresidentKarvy Consultants Ltd. 46, Avenuee 4
KARVY IN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
KARVY IN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
Karvy Consultants Ltd. (IN200035)
Mr. M.R.V.SubrahmanyamAsst. General ManagerKarvy Consultants Limited46, Avenue 4Street No.1
KARVY IN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Street No. 1, Banjara Hills, Hyderabad 500034. Tel: (040) 331 2454 / 332 0251 / 0751
Karvy Consultants Ltd. (IN200035)
Karvy Consultants Ltd. (IN200035)
A+,CARE DT 16/03/2012
A+,CARE,DT-16-03-2012
NA
NA
Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Street No. 1, Banjara Hills, Hyderabad 500034. Tel: (040) 331 2454 / 332 0251 / 0751
Mr. V. Mahesh, Vice President, Karvy Consultants Ltd. 46, Avenuee 4, Street No. 1, Banjara Hills, Hyderabad 500034. Tel: (040) 331 2454 / 332 0251 / 0751
KARVY IN200035
Mr. M.R.V.SubrahmanyamAsst. General Manager/RISKarvy Consultants Limited46, Avenue 4Street No.1
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR.TAHER ALISR MANAGERINFINITI RETAIL LIMITED201,AKRUTI CENTRE POINT,MIDC,ANDHERI EAST
IN200336DATAMATICS FINANCIAL SERVICES LIMITED
MR.TAHER ALISR MANAGERINFINITI RETAIL LIMITED201,AKRUTI CENTRE POINT,MIDC,ANDHERI EAST
IN200248INTEGRATED ENTP.(I) LTD, BANGALORE
MR. P RAMA KRISHNASR. MANAGER-LEGAL & COMPANY SECRETARYINFORMATION TECHNOLOGY PARK LIMITED
IN200248INTEGRATED ENTP.(I) LTD, BANGALORE
MR. P RAMA KRISHNASR. MANAGER-LEGAL & COMPANY SECRETARYINFORMATION TECHNOLOGY PARK LIMITED
KARVY COMPUTERSHARE PVT LTD-RILIN200078
KARVY COMPUTERSHARE PVT LTD.-4IN200800
MR. P.A. VARGHESEGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD.-4CYBER VILLE,PLOT NO. 17 - 24,
KARVY COMPUTERSHARE PVT LTD.-4IN200800
MR. PUNEET ANURAGCOMPANY SECRETARYINFOTEL BROADBAND SERVICES LIMITED77-B, 3RD FLOOR, IFFCO ROAD
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. SUNIL SHELARASST. MANAGERHARMONY, 1ST FLOORSECTOR - IKHANDA
LAAA,ICRA,DT-01-12-2011
LAAA,ICRA,DT-11-03-2011
LAAA ICRA DTD 01.12.2011
LAAA ICRA DTD 03.05.2012
LAAA,ICRA,DT-01-12-2011
LAAA,ICRA,DT-06-06-2011
LAAA ICRA DTD 01.12.011
LAAA,ICRA, DT 01/12/2011
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. SUNIL SHELARASST. MANAGERHARMONY, 1ST FLOORSECTOR - IKHANDA
MCS LTD, MUMBAIIN200019
MR. SUNIL SHELARASST. MANAGERHARMONY, 1ST FLOORSECTOR - IKHANDA
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWDEMANAGERMCS LTD21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. SUNIL SHELARASST. MANAGERHARMONY, 1ST FLOORSECTOR - IKHANDA
MCS LTD, MUMBAIIN200019
MR. SUNIL SHELARASST. MANAGERHARMONY, 1ST FLOORSECTOR - IKHANDA
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
Ms. Valsa SajanAsst. Vice PresidentMCS LimitedOffice No. 21/22, Ground FloorKashiram Jamnadas Bldg
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. SUNIL SHELARASST. MANAGERHARMONY, 1ST FLOORSECTOR - IKHANDA
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
LAAA,ICRA,DT-01-12-2011
LAAA,ICRA,06/06/2011
LAAA,ICRA,DT-06-06-2011
LAAA,ICRA,DT-06-06-2011
LAAA,ICRA,DT-01-12-2011
LAAA,ICRA,DT-01-12-2011
LAAA ICRA DTD 01.12.2011
LAAA,ICRA,DT-01-12-2011
LAAA,ICRA,DT- 01-12-2011
LAAA,ICRA,DT- 01-12-2011
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
Ms. Valsa SajanAsst. Vice PresidentMCS LimitedOffice No. 21/22, Ground FloorKashiram Jamnadas Bldg
IN200019MCS
Ms. Valsa SajanAsst. Vice PresidentMCS LimitedOffice No. 21/22, Ground FloorKashiram Jamnadas Bldg
IN200019MCS
Ms. Valsa SajanAsst. Vice PresidentMCS LimitedOffice No. 21/22, Ground FloorKashiram Jamnadas Bldg
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. SUNIL SHELARASST. MANAGERHARMONY, 1ST FLOORSECTOR - IKHANDA
LAAA,ICRA,DT-01-12-2011
LAAA,ICRA,DT- 01-12-2011
LAAA ICRA DTD 03.05.2012
LAAA ICRA DTD 03.05.2012
LAAA,ICRA,DT- 01-12-2011
LAAA,ICRA,DT-01-12-2011
LAAA,ICRA,DT-06-06-2011
LAAA,ICRA,DT-01-12-2011
LAAA,ICRA,DT-01-12-2011
LAAA,ICRA,DT-01-12-2011
LAAA,ICRA,DT-01-12-2011
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGER21/22, KASHIRAM JAMNADAS BLDG5, P.D'MELLO ROAD,
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. SUNIL SHELARASST. MANAGERHARMONY, 1ST FLOORSECTOR - IKHANDA
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. SUNIL SHELARASST. MANAGERHARMONY, 1ST FLOORSECTOR - IKHANDA
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
Ms. Valsa SajanAsst. Vice PresidentMCS LimitedOffice No. 21/22, Ground FloorKashiram Jamnadas Bldg
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
LAAA,ICRA,DT-01-12-2011
LAAA,ICRA,DT-11-03-2011
LAAA ICRA DTD 03.05.2012
LAAA ICRA DTD 03.05.2012
LAAA ICRA DTD 03.05.2012
LAAA ICRA DTD 03.05.2012
LAAA ICRA DTD 03.05.2012
LAAA,ICRA,DT-01-12-2011
LAAA ICRA 03.05.2012
LAAA ICRA DTD 03.05.2012
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWDEMANAGERMCS LTD21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
Mr. Rajesh Satardekar/Mr. Ayan ChakrabortyManager/Sr. Secretarial OfficerMCS LIMITED,MUMBAISri Venkatesh Bhavan
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
LAAA ICRA DTD 03.05.2012
LAAA ICRA DTD 03.05.2012
LAAA ICRA DTD 03.05.2012
LAAA ICRA DTD 03.05.2012
LAAA ICRA DTD 03.05.2012
LAAA ICRA DTD 03.05.2012
LAAA ICRA DTD 01.12.2011
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGER21/22, KASHIRAM JAMNADAS BLDG5, P.D'MELLO ROAD,
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGER21/22, KASHIRAM JAMNADAS BLDG5, P.D'MELLO ROAD,
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGER21/22, KASHIRAM JAMNADAS BLDG5, P.D'MELLO ROAD,
MCS LTD, MUMBAIIN200019
Mr. Rajesh Satardekar/Mr. Ayan ChakrabortyManager/Sr. Secretarial OfficerMCS LTDSri Venkatesh Bhavan
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGER21/22, KASHIRAM JAMNADAS BLDG5, P.D'MELLO ROAD,
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGER21/22, KASHIRAM JAMNADAS BLDG5, P.D'MELLO ROAD,
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGER21/22, KASHIRAM JAMNADAS BLDG5, P.D'MELLO ROAD,
LAAA ICRA DTD 03.05.2012
LAAA ICRA DTD 03.05.2012
LAAA,ICRA,DT-03-08-2011
LAAA,ICRA,DT-03-08-2011
LAAA,ICRA,DT-01-12-2011
LAAA,ICRA,DT-03-08-20111
LAAA,ICRA,DT-01-12-2011
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGER21/22, KASHIRAM JAMNADAS BLDG5, P.D'MELLO ROAD,
MCS LTD, MUMBAIIN200019
Mr. Sunil BhoiteManagerMCSSri Venkatesh Bhavan, Plot No. 27,
MCS LTD, MUMBAIIN200019
Mr. Sunil BhoiteManagerMCSSri Venkatesh Bhavan, Plot No. 27,
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
Ms. Valsa SajanAsst. Vice PresidentMCS LimitedOffice No. 21/22, Ground FloorKashiram Jamnadas Bldg
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. SUNIL SHELARASST. MANAGERMCS LTD, MUMBAIHARMONY, 1ST FLOORSECTOR - I
LAAA,ICRA,DT-03-08-2011
LAAA,ICRA,DT-01-12-2011
LAAA,ICRA,DT-01-12-2011
LAAA,ICRA,DT-01-12-2011
LAAA.ICRA,DT-03-08-2011
LAAA,ICRA,DT-01-12-2011
LAAA,ICRA,DT-01-12-2011
LAAA ICRA DTD 01.12.011
LAAA,ICRA,DT-01-12-2011
LAAA,ICRA,DT-01-12-2011
LAAA ICRA DTD 03.05.2012
LAAA ICRA DTD 03.05.2012
LAAA,ICRA,DT-01-12-2011
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. SUNIL SHELARASST. MANAGERMCS LTD, MUMBAIHARMONY, 1ST FLOORSECTOR - I
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
LAAA ICRA DTD 03.05.2012
LAAA ICRA DTD 01.12.2011
LAAA,ICRA,DT-01-12-2011
LAAA ICRA DTD 03.05.2012
LAAA ICRA DTD 03.05.2012
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. SUNIL SHELARASST. MANAGERHARMONY, 1ST FLOORSECTOR - IKHANDA
MCS LTD, MUMBAIIN200019
MR. SUNIL SHELARASST. MANAGERHARMONY, 1ST FLOORSECTOR - IKHANDA
MCS LTD, MUMBAIIN200019
MR. SUNIL SHELARASST. MANAGERHARMONY, 1ST FLOORSECTOR - IKHANDA
MCS LTD, MUMBAIIN200019
MR. SUNIL SHELARASST. MANAGERHARMONY, 1ST FLOORSECTOR - IKHANDA
MCS LTD, MUMBAIIN200019
Mr. Sunil BhoiteManagerSri Venkatesh Bhavan, Plot No. 27,Road No. 11, Andheri (East), Mumbai,MCS LTD, MUMBAI
IN200019MR. RAMESH GAWADEMANAGER21/22, KASHIRAM JAMNADAS BLDG5, P.D'MELLO ROAD,
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGER21/22, KASHIRAM JAMNADAS BLDG5, P.D'MELLO ROAD,
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
Mr. Sunil BhoiteManagerMCSSri Venkatesh Bhavan, Plot No. 27,
AAA,ICRA,DT-17-08-2011 &
AAA,ICRA,DT-17-08-2011 &
AAA,ICRA,DT-17-08-2011
AAA,ICRA,DT-17-08-2011
AAA,ICRA,DT-17-08-2011
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
KARVY COMPUTERSHARE PVT. LTD.IN200035
MR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PVT LTD.-4PLOT NO. 17-24
KARVY COMPUTERSHARE PVT. LTD.IN200035
MR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PVT LTD.-4PLOT NO. 17-24
KARVY COMPUTERSHARE PVT. LTD.IN200035
MR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PVT LTD.-4PLOT NO. 17-24
KARVY COMPUTERSHARE PVT. LTD.IN200035
MR. ALOK SHARMAVICE PRESIDENTKARVY COMPUTERSHARE PVT LTD.-4PLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17-24VITTAL RAO NAGAR
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17-24VITTAL RAO NAGAR
AAA,ICRA,DT-08-11-2011IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17-24VITTAL RAO NAGAR
MCS LTD, MUMBAIIN200019
MR. SUNIL SHELARASST. MANAGERHARMONY, 1ST FLOORSECTOR - IKHANDA
MCS LTD, MUMBAIIN200019
MR. SUNIL SHELARASST. MANAGERHARMONY, 1ST FLOORSECTOR - IKHANDA
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGER21/22, KASHIRAM JAMNADAS BLDG5, P.D'MELLO ROAD,
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
LAAA,ICRA,DT-11-03-2011
LAAA,ICRA,DT-11-02-2011
LAAA,ICRA,DT-31-08-2010
AAA(ind),FITCH,16-12-2010
LAAA,ICRA,31-08-10,14/12/
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS LTD, MUMBAIIN200019
Mr. Sunil BhoiteManagerMCS Limited Sri Venkatesh Bhavan, Plot No. 27,
IN200019MCS
Ms. Valsa SajanAsst. Vice PresidentMCS LimitedOffice No. 21/22, Ground FloorKashiram Jamnadas Bldg
IN200019MCS
Ms. Valsa SajanAsst. Vice PresidentMCS LimitedOffice No. 21/22, Ground FloorKashiram Jamnadas Bldg
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17-24VITTAL RAO NAGAR
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTDPLOT NO. 17-24VITTAL RAO NAGAR
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
LAAA,ICRA,31-08-10,14/12/
LAAA,ICRA,DT-11-02-2011
LAAA,ICRA,DT-11-02-2011
LAAA,ICRA,DT-11-02-2011
LAAA,ICRA,DT11-03-2011
IN200035KARVY COMPUTERSHARE
MR. ALOK SHARMAGENERAL MANAGERKARVY COMPUTERSHARE PVT LTD-RILPLOT NO. 17-24
IN200019MCS
MR. RAMESH GAWDEMANAGERMCS LTD21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
Ms. Valsa SajanAsst. Vice PresidentMCS LimitedOffice No. 21/22, Ground FloorKashiram Jamnadas Bldg
IN200019MCS
Ms. Valsa SajanAsst. Vice PresidentMCS LimitedOffice No. 21/22, Ground FloorKashiram Jamnadas Bldg
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
IN200019MCS
MR. RAMESH GAWADEMANAGERMCS LTD, MUMBAI21/22, KASHIRAM JAMNADAS BLDG
MCS IN200019
Mr. Rajesh Satardekar / Mr. Ayan ChakrobortyManager / Senior Secretarial OfficerMCS Limited,
MCS IN200019
Mr. Rajesh Satardekar / Mr. Sunil BhoiteManager /Asst. ManagerMCS Limited,Sri Venkatesh Bhavan
INTIME SPECTRUM REGISTRYIN200094
Mr. Narendra Gangan,Manager(Corporate),Infrastructure Leasing & Financial Services Ltd,The IL&FS Financial Centre,
INTIME SPECTRUM REGISTRYIN200094
Mr. Narendra Gangan,Manager(Corporate),Infrastructure Leasing & Financial Services Ltd,The IL&FS Financial Centre,
INTIME SPECTRUM REGISTRY IN200094
Mr. Narendra Gangan,Manager(Corporate),Infrastructure Leasing & Financial Services Ltd,The IL&FS Financial Centre,
INTIME SPECTRUM REGISTRY IN200094
Mr. Narendra Gangan,Manager(Corporate),Infrastructure Leasing & Financial Services Ltd,The IL&FS Financial Centre,
INTIME SPECTRUM REGISTRY IN200094
Mr. Narendra Gangan,Manager(Corporate),Infrastructure Leasing & Financial Services Ltd,The IL&FS Financial Centre,
INTIME SPECTRUM REGISTRY IN200094
Mr. Narendra Gangan,Manager(Corporate),Infrastructure Leasing & Financial Services Ltd,The IL&FS Financial Centre,
Same as above Same as above
Same as above
INTIME SPECTRUM REGISTRY IN200094
Mr. Narendra Gangan,Manager(Corporate),Infrastructure Leasing & Financial Services Ltd,The IL&FS Financial Centre,
INTIME SPECTRUM REGISTRY IN200094
Mr. Narendra Gangan,Manager(Corporate),Infrastructure Leasing & Financial Services Ltd,The IL&FS Financial Centre,
INTIME SPECTRUM REGISTRY IN200094
Mr. Narendra Gangan,Manager(Corporate),Infrastructure Leasing & Financial Services Ltd,The IL&FS Financial Centre,
INTIME SPECTRUM REGISTRY IN200094
Mr. Narendra Gangan,Manager(Corporate),Infrastructure Leasing & Financial Services Ltd,The IL&FS Financial Centre,
INTIME SPECTRUM REGISTRYIN200094
Mr. Narendra Gangan,Manager(Corporate),Infrastructure Leasing & Financial Services Ltd,The IL&FS Financial Centre,
INTIME SPECTRUM REGISTRY IN200094
Mr. Narendra Gangan,Manager(Corporate),Infrastructure Leasing & Financial Services Ltd,The IL&FS Financial Centre,
INTIME SPECTRUM REGISTRY IN200094
Mr. Narendra Gangan,Manager(Corporate),Infrastructure Leasing & Financial Services Ltd,The IL&FS Financial Centre,
INTIME SPECTRUM REGISTRY IN200094
Mr. Narendra Gangan,Manager(Corporate),Infrastructure Leasing & Financial Services Ltd,The IL&FS Financial Centre,
INTIME SPECTRUM REGISTRY IN200094
Mr. Narendra Gangan,Manager(Corporate),Infrastructure Leasing & Financial Services Ltd,The IL&FS Financial Centre,
Intime Spectrum Registry Ltd.(IN200094)
INTIME SPECTRUM REGISTRY IN200094
Mr. Narendra Gangan,Manager(Corporate),Infrastructure Leasing & Financial Services Ltd,The IL&FS Financial Centre,
INTIME SPECTRUM REGISTRY IN200094
Mr. Narendra Gangan,Manager(Corporate),Infrastructure Leasing & Financial Services Ltd,The IL&FS Financial Centre,
INTIME SPECTRUM REGISTRY IN200094
Mr. Narendra Gangan,Manager(Corporate),Infrastructure Leasing & Financial Services Ltd,The IL&FS Financial Centre,
AAA(ind)FITCH,DT-20-9-11
INTIME SPECTRUM REGISTRY IN200094
Mr. Narendra Gangan,Manager(Corporate),Infrastructure Leasing & Financial Services Ltd,The IL&FS Financial Centre,
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerThe IL&FS Financial CentrePlot C-22, 'G' BlockBandra Kurla Complex
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Mr. V. Srinivas RaoAsst. ManagerThe IL&FS Financial CentrePlot C-22, 'G' BlockBandra Kurla Complex
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. V SRINIVAS RAOMANAGERINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDTHE IL&FS FINANCIAL CENTER,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Mr. Narendra GanganSenior Manager (Corporate)INFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL & FS Financial Centre
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarAssistant ManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerThe IL&FS Financial CentrePlot C-22, 'G' BlockBandra Kurla Complex
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerThe IL&FS Financial CentrePlot C-22, 'G' BlockBandra Kurla Complex
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
AAA(ind)FITCH,DT-20-9-11
AAA(ind),FITCH,20-9-11
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. V. Srinivas RaoAsst. ManagerThe IL&FS Financial CentrePlot C-22, 'G' BlockBandra Kurla Complex
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. V SRINIVAS RAOMANAGERINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDTHE IL&FS FINANCIAL CENTER,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. V SRINIVAS RAOMANAGERINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDTHE IL&FS FINANCIAL CENTER,
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerThe IL&FS Financial CentrePlot C-22, 'G' BlockBandra Kurla Complex
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
LAAA,ICRA,DT11-04-2011
AAA(ind)FITCH,06-06-2011
LAAA,ICRA,DT11-04-2011
AAA(ind)FITCH,6-6-11
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. V SRINIVAS RAOMANAGERINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDTHE IL&FS FINANCIAL CENTER,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. V SRINIVAS RAOMANAGERINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDTHE IL&FS FINANCIAL CENTER,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. V SRINIVAS RAOMANAGERINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDTHE IL&FS FINANCIAL CENTER,
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Mr. V. Srinivas RaoAsst. ManagerThe IL&FS Financial CentrePlot C-22, 'G' BlockBandra Kurla Complex
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. V SRINIVAS RAOMANAGERINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDTHE IL&FS FINANCIAL CENTER,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. V. Srinivas RaoManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. V. Srinivas RaoManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. V. Srinivas RaoManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Ms. Vinaya DatarManagerThe IL&FS Financial CentrePlot C-22, 'G' BlockBandra Kurla Complex
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. V SRINIVAS RAOMANAGERINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDTHE IL&FS FINANCIAL CENTER,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. V SRINIVAS RAOMANAGERINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDTHE IL&FS FINANCIAL CENTER,
AAA,CARE,DT-14-12-2011
AAA,ICRA
AAA CARE
AAA,CARE,DT-10-02-2011
AAA,CARE,DT-10-01-2011
AAA,(ind)FITCH,DT-15-2-11
AAA,CARE,DT-10-02-2011
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. V SRINIVAS RAOMANAGERINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDTHE IL&FS FINANCIAL CENTER,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. V SRINIVAS RAOMANAGERINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDTHE IL&FS FINANCIAL CENTER,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. V SRINIVAS RAOMANAGERINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDTHE IL&FS FINANCIAL CENTER,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. V. Srinivas RaoManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Mr. V. Srinivas RaoManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. V. Srinivas RaoManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. V. Srinivas RaoManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. V SRINIVAS RAOMANAGERINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDTHE IL&FS FINANCIAL CENTER,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. V SRINIVAS RAOMANAGERINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDTHE IL&FS FINANCIAL CENTER,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. V. Srinivas RaoManagerInfrastructure Leasing & Financial Services LtdThe IL&FS Financial Centre
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. V SRINIVAS RAOMANAGERINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDTHE IL&FS FINANCIAL CENTER,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr. V. Srinivas RaoManagerINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDThe IL&FS Financial Centre
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. V SRINIVAS RAOMANAGERINFRASTRUCTURE LEASING & FINANCIAL SERVICES LTDTHE IL&FS FINANCIAL CENTER,
BIGSHARE SERVICES IN200117
Mr.N. V. K.Mohan Managing Director Bigshare Services Pvt. Ltd.E-2, Ansa Industrial Estate, Saki Vihar Road, Sakinaka, Andheri (East), Mumbai-400072
NA
NA
BIGSHARE SERVICES LTDIN200117
Mr.N. V. K.MohanManaging DirectorE-2, Ansa Industrial EstateSaki Vihar Road, SakinakaAndheri (East)
BIGSHARE SERVICES LTDIN200117
Mr.N. V. K.MohanManaging DirectorE-2, Ansa Industrial EstateSaki Vihar Road, SakinakaAndheri (East)
BIGSHARE SERVICES LTDIN200117
Mr.N. V. K.MohanManaging DirectorE-2, Ansa Industrial EstateSaki Vihar Road, SakinakaAndheri (East)
BIGSHARE SERVICES LTDIN200117
Mr.N. V. K.MohanManaging DirectorBIGSHARE SERVICES LTDE-2, Ansa Industrial EstateSaki Vihar Road, Sakinaka
BIGSHARE SERVICES LTDIN200117
Mr.N. V. K.MohanManaging DirectorE-2, Ansa Industrial EstateSaki Vihar Road, SakinakaAndheri (East)
BIGSHARE SERVICES LTDIN200117
Mr.N. V. K.MohanManaging DirectorE-2, Ansa Industrial EstateSaki Vihar Road, SakinakaAndheri (East)
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr Manoj NairCompany SecretaryINTAS PHARMACEUTICALS LIMITED2nd Floor, Chinubhai Centre,
Debenture will be redeemable in 3 installments.33% on 06/11/2012,33% on 06/11/2013 & 34% on 06/11/20
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Mr. Bamasish PaulHead- Strategic PlanningInternational Biotech Park Limited304, Enterprise CentreOff. Nehru Road
IN200086ALANKIT ASSIGNMENTS LTD
MR. ROBIN VIJESHWARMANAGING DIRECTORINTERNATIONAL AMUSEMENT LIMITEDBUILDING NO. 101A, PLOT NO. A2
KARVY CONSULTANTS LIMITEDHYDERABADBP ID NO.IN200035
M.S. MADHUSUDHANASSTT.GENL.MGR.KARVY HOUSE,46, AVENUE 4,STREET NO.1,
KARVY CONSULTANTS LIMITEDHYDERABADBP ID NO.IN200035
M.S. MADHUSUDHANASSTT.GENL.MGR.KARVY HOUSE,46, AVENUE 4,STREET NO.1,
KARVY CONSULTANTS LIMITEDHYDERABADBP ID NO.IN200035
M.S. MADHUSUDHANASSTT.GENL.MGR.KARVY HOUSE,46, AVENUE 4,STREET NO.1,
KARVY CONSULTANTS LIMITEDHYDERABADBP ID NO.IN200035
M.S. MADHUSUDHANASSTT.GENL.MGR.KARVY HOUSE,46, AVENUE 4,STREET NO.1,
IN200094LINK INTIME INDIA PRIVATE LIMITED
MR. PARTHASARATHI NAYAKCHIF FINANCIAL OFFICERIOT UTKAL ENERGY SERVICES LIMITEDPLOT NO- N3/193
AA,CRISIL,DT-26-09-2011
INTIME SPECTRUM REGISTRY, MUMBAIIN200094
Mr Harish P. KamathVice President - Legal & Company Secretary142-AB, Kandivali Industrial Estate,
IN200094LINK INTIME INDIA PRIVATE LIMITED
Mr.Harish P. KamathVice President - Legal & Company SecretaryIPCA Laboratories Ltd142-AB, Kandivali Industrial Estate,LINK INTIME INDIA PRIVATE
LIMITEDIN200094
Mr Shivaji GunwareVice PresidentIDBI Trusteeship Services Limited
Ground Floor, Asian Bldg,
LINK INTIME INDIA PRIVATE LIMITEDIN200094
Ms Poonam MirchandaniCompliance OfficerIL&FS TRUST COMPANY LIMITEDThe IL&FS Financial CentreC-22, Block G,
KARVY COMPUTERSHARE PVT LTD.-4IN200800
MR. P.VIJAYA BHASKARCOMPANY SECRETARYIVR PRIME URBAN DEVELOPERS LIMITED ( FORMERLY IVR REALTORS LTD)
KARVY COMPUTERSHARE PVT LTD.-4IN200800
Mr B SubrahmanyamCompany SecretaryMihir ; 8-2-350/5/A/24/1-B & 2Road No.2,Panchavathi ColonyBanjara Hills
Remarks
NA
NA
Arranger/Lead Manager to the issue
Redeemable in 3 installments. 233 NCD on 31/10/2014;233 NCD on 31/10/2015 & 234 NCD on 31/10/2016
Refer issuer for further detail
NA
28/01/2010 is subject to Modified following business day convention as defined by the ISDA definitions 2000
The coupon shall be increased by 25bps for the remaining tenure if the call option is not exercised
Arranger- IDBI CAPITAL MARKET SERVICES LTD
Arranger- STANDARD CHARTERED BANK
ZERO COUPON WITH YIELD TO MATURITY OF 10.25%
Final redemption amount is Rs.1006053.31
Refer issuer for further detail
Mr. Ajay JaiswalCompany SecretaryDEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED)
9.15% for 1st 10 years and step up rate of 9.65% for last 5 year if call option is not exercised
Debenture will be redeemable on 31/05/2009,30/06/2009,25/02/2010,15/03/2010,25/03/2010,15/06/2010,15
Debenture will be redeemable in 3 installment.33% on 18/02/2016,33% on 18/02/2017& 34% on 18/02/2018
Debenture will be redeemable in 3 equal installments on 25/11/2013,25/11/2014 & 25/11/2015.
Mr. Ramesh Kumar DamaniG.M. (Taxation) & Company SecretaryBIRLA CORPORATION LIMITEDBirla Building
Mr.Ramesh HaranHead - ComplianceBARCLAYS INVESTMENTS & LOANS (INDIA) LIMITED7th Floor,B wing, Bonanza,SaharPlazaDebenture will be redeemable in 3 installments. 40% (Rs.400) on 01/06/2013,40% (Rs.400) on 01/06/201
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9.15% for 1st 10 years and step up rate of 9.65% for last 5 year if call option is not exercised
DEBENTURES ARE ALSO ISSUED ON 07.06.11, 27.09.11, 28.11.11, 08.02.12, 24.02.12, 18.04.12
REDEMPTION IN 3 EQUAL INSTALLMENTS AT THE END OF 6TH, 7TH AND 8TH YEARS RESPECTIVELY FROM THE DATE OO ISSUE i.e, 20/07/2018,
REDEMPTION OF THE PRINCIPAL IN 4 EQUAL HALF YEARLY INSTALLMENTS STARTING FROM THE END OF 18TH MONTH THE DEEMED DATE OF ALLOTMENT
50% OF THE FACE VALUE TO BE REDEEMED ON 09/08/2016, & 50% ON 09/08/2017
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NA
NA
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DEBENTURES WILL BE REDEEMABLE IN 36 INSTALLMENTS STARTING FROM 25/06/2012 TILL 25/03/2021
Redemption Schedule per debenture (In Rs.) : 17/12/04- 25,000;10/09/05- 7,500; 17/12/05- 25,000; 04/01/06 - 17,500; 10/09/06- 7,500;
Issue date / Allotment date : 30/11/199730/11/2001
10.00% p.a.,The Issuer retain the option to step up the rate only once during the life of the perpetual debentures after the expiry of 10 (ten) years from the
9.17% for 1st 10 years and step up rate of 9.67% for last 5 year if call option is not exercised
Contact issuer for Redemption Premium details.
Contact issuer for Redemption Premium details
Debenture will be redeemable in 8 installments starting from 31/12/2009 till 31/03/2012
8.95% Upto 26/06/2019, thereafter step up of coupon by 50bps if call option is not exercised
Mr. Mandan MishraCompany SecretaryREI AGRO LIMITEDEverest House46/C Chowringee Road
Contact issuer for further details.
Remark on Redemption date : In 5 equal annual instalments on08/10/2010 -20%08/10/2011- 20%08/10/2012- 20%
Redeemable in 5 equal instalment starting from 09/09/2016 till 09/09/2020
Conversion at any time at the option of the holder of the CCD within 18 months from the date of allotment and if not converted within 18 months,the CCD are
Mr. Mandan MishraCompany SecretaryREI AGRO LIMITEDEverest House46/C Chowringee Road
9.65%,step up of 50bps in coupon rate if call option is not exercised at the end of 10 years.The Ste
Remark on Redemption date : In 3 Annual instalments on18.10.2013 - 30% with 6.75%premium on face value18.10.2014-40% with premium of 8.95% on face value
ARRANGER - TRUST INVESTMENT ADVISORS PVT LTD.
ARRANGER - IFCI FINANCIAL SERVICES LTD, KARVY STOCK BROKING LTD
Participation Ratio = 110%
Refer issuer for further detail
Ms. K. Uma MaheswaramChief ManagerANDHRA BANKFort Branch,Nanavati Mahalaya, 18, Homi Street,
Arranger- ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD, EDELWEISS CAPITAL LTD, ETC
Arranger- ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD, EDELWEISS CAPITAL LTD, ETC
Arranger- ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD, EDELWEISS CAPITAL LTD, ETC
Arranger- ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD, EDELWEISS CAPITAL LTD, ETC
Arranger- ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD, ICICI SECURITIES LTD, IFCI FINANCIAL SER
Arranger- ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD, ICICI SECURITIES LTD, IFCI FINANCIAL SER
Arranger- A.K.CAPITAL SERVICES LTD, ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD, ICICI SECURITI
Arranger- A.K.CAPITAL SERVICES LTD, ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD, ICICI SECURITI
Arranger- A.K.CAPITAL SERVICES LTD, ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD, ICICI SECURITI
YIELD OF 10.30% ON XIRR BASIS
Arranger-ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD, ICICI SECURITIES LTD, IFCI FINANCIAL SERV
Arranger- A K CAPITAL SERVICES LTD, ALMONDZ GLOBAL SECURITIES LTD, DARASHAW & CO. LTD, ICICI PRIMAR
ARRANGER- A.K. CAPITAL SERVICES LTD, ALMONDZ GLOBAL SECURITIES LTD, DARASHAW & CO.(P) LTD, LKP SECURITIES LTD, R R INVESTORS CAPITAL
ARRANGER- A.K. CAPITAL SERVICES LTD, ALMONDZ GLOBAL SECURITIES LTD, DARASHAW & CO.(P) LTD, LKP SECURITIES LTD, R R INVESTORS CAPITAL
ARRANGER - DARASHAW AND CO (P) LTD.
Arranger- ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD, ICICI SECURITIES LTD, IFCI FINANCIAL SER
BUYBACK DATE- THE FIRST WORKING DAY AFTER THE EXPIRY OF 5 YEARS FROM THE DEEMED DATE OF ALLOTMENT AND THE FIRST WORKING DAY AFTER THE
Mr. Mandan MishraCompany SecretaryREI AGRO LIMITEDEverest House46/C Chowringee Road
Ms. Poonam MirchandaniCompliance OfficerTML AUTO SECURITISATION TRUST FEBRUARY 2010The IL&FS Financial Centre
Mr. N.K. BasuGeneral Manager (R&A)WEST BENGAL FINANCIAL CORPORATION12A, Netaji Subhash Road
Arranger- ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD, ICICI SECURITIES LTD, IFCI FINANCIAL SER
Arranger- ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD, ICICI SECURITIES LTD, IFCI FINANCIAL SER
Arranger- A.K.CAPITAL SERVICES LTD, ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD, ICICI SECURITI
Arranger-ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD, ICICI SECURITIES LTD, IFCI FINANCIAL SERV
Arranger- ALMONDZ GLOBAL SECURITIES LTD, BAJAJ CAPITAL LTD, ICICI SECURITIES LTD, IFCI FINANCIAL SER
Arranger- A K CAPITAL SERVICES LTD, ALMONDZ GLOBAL SECURITIES LTD, DARASHAW & CO. LTD, ICICI PRIMAR
ARRANGER - IFCI FINANCIAL SERVICES LTD.
ARRANGER - DARASHAW AND CO. (P) LTD.
Refer issuer for further details.
ARRANGER - LKP SECURITIES LTD.
Assured Coupon = 16% (flat, not p.a.) Booster Coupon = 8% (flat, not p.a.)
Refer issuer for further details
Refer issuer for further details
ARRANGER - TRUST INVESTMENT ASVISORS LTD.
Bonds will be redeemable in 3 installments.35% on 15/09/09; 35% on 15/09/10; 30% on 15/09/11
Remark on Redemption date : In Five Equal Annual Instalments on 31-July-2008, 31-July-2009, 31-July-2010, 31-July-2011 & 31-July-2012
The bonds have lock in period of three years for three years from deemed date of allotment till September 29, 2006
The bonds have lock in period of three years for three years from deemed date of allotment till September 29, 2006
SPA MERCHANT BANKERS LTD
SPA CAPITAL ADVISORS LTD
SPA Capital Advisors Ltd
DEUTSCHE BANK
NA
YIELD FOR 1ST YEAR SPREAD SHALL BE FIXED AT 14.40% MINUS 1 YEAR OIS AS THE DATE OF DRAWDOWN INTEREST. REDEMPTION OF 50% OF THE FV
Arranger- SPA MERCHANT BANKERS LTD
Arranger- SPA MERCHANT BANKERS LTD
Arranger- SPA MERCHANT BANKERS LTD
ARRANGER - AXIS BANK LTD, ING VYSYA BANK LTD, ICICI BANK LTD
INT PAYMENT IS ANNUAL AND ON MATURITY OR ON CALL OPTION WHICHEVER IS EARLIER. 27/07/2013, 27/07/2014
Arranger- AXIS BANK LTD, ICICI BANK LTD, ICICI SECURITIES PRIMARY LTD, KOTAK MAHINDRA BANK LTD
ARRANGER - ICICI BANK LIMITED
NA
N.A.
N.A.
NA
Arranger- AXIS BANK LTD, ICICI BANK LTD, ICICI SECURITIES PRIMARY DEALERSHIP LTD
9.80% for 28.05.2012 to 27.11.2012, 9.91% for 28.11.2012 to 27.07.2013, 9.95% for 28.07.2013 to 27.11.2013,10.10% for 28.11.2013 to 27.05.2014,
BONDS WILL BE REDEEMABLE IN 4 EQUAL ANNUAL INSTALLMENTS STARTING FROM 15/05/2019 TILL15/05/2022
Mr. Parag SharmaVice President - FinanceSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDWockhardt Towers, 3rd Floor
9.05% p.a for first 10 year and 9.55% p.a for subsequent year if call option is not exercised at the
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LEAD ANAGERS - AXIS BANK LTD., SBI CAPITAL MARKETS LTD, EDELWEISS FINANCIAL SERVICES LTD., ETC
1ST PARTIAL REDEMPTION DATE 31/07/2013, 2ND PARTIAL REDEMPTION DATE 30TH NOV 2013, 3RD PARTIAL REDEMPTION DATE 31ST MARCH 2014.
ARRANGER - TRUST INVESTMENT ADVISORS PRIVATE LIMITED
ARRANGER - TRUST INVESTMENT ADVISORS PRIVATE LTD.
Mr. K. SundaravadhanamDy. Financial Controller-ResourcesTAMILNADU ELECTRICITY BOARDN.P.K.R.R. Maaligai, 7th Floor800, Anna Salai
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
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NA
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
Mr. S. RamabadranExecutive Director & Company SecretarySUNDARAM BNP PARIBAS HOME FINANCE LIMITED
Bonds shall be redeemable only with the prior approval of NHB & shall not be redeemable at the initiative of the holder.8.70% p.a. for 10 years with a step up by 0.50% for further 5 years tenor if call option is not exercised.
Mr. A. K. RastogiCompany SecretaryNTPC LIMITED (FORMERLY NATIONAL THERMAL POWER CORPORATION LIMITED)
Mr. Ektar KhanZonal Head - FIPSINDUSIND BANK LIMITEDGround Floor,Maker Chamber IVNariman Point
Refer issuer for further detail
Mr Subhendu TripathyDeputy General ManagerICICI BANK LIMITEDICICI Bank Ltd. Towers2nd Floor, Treasury - Middle OfficeG
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NA
Lead Manager to the issue- AXIS BANK LTD, JM FINANCIAL CONSULTANT PVT LTD, A.K.CAPITAL SERVICES LTD
Lead Manager to the issue- AXIS BANK LTD, JM FINANCIAL CONSULTANT PVT LTD, A.K.CAPITAL SERVICES LTD
Lead Manager to the issue- AXIS BANK LTD, JM FINANCIAL CONSULTANT PVT LTD, A.K.CAPITAL SERVICES LTD
Refer issuer for further detail
Redeemable in 18 quarterly installments starting from 31/03/2011 till 30/06/2015
ARRANGER - A K CAPITAL, AXIS BANK, BARCLAYS BANK ETC.
ARRANGER - A K CAPITAL, AXIS BANK, BARCLAYS BANK ETC.
Ms. Swati KulkarniOperations & Technology HeadCITICORP FINANCE (INDIA) LIMITEDGround Floor, Cititower
Mr. N. C. GuptaCompany Secretary & Compliance OfficerPVR LIMITEDBlock A, 4th Floor, Building No. 9
Mr. N. C. GuptaCompany Secretary & Compliance OfficerPVR LIMITEDBlock A, 4th Floor, Building No. 9
Mr. N. C. GuptaCompany Secretary & Compliance OfficerPVR LIMITEDBlock A, 4th Floor, Building No. 9
Mr. N. C. GuptaCompany Secretary & Compliance OfficerPVR LIMITEDBlock A, 4th Floor, Building No. 9
Mr. L. VednarayananManaging DirectorRBS FINANCIAL SERVICES (INDIA) PRIVATE LTD81, Sakhar Bhawan
Mr K ChakravarthyAsst General ManagerNATIONAL HOUSING BANKCore 5A, 3rd FloorIndia Habitat Centre
Mr. Ajay JaiswalCompany SecretaryDEUTSCHE POSTBANK HOME FINANCE LTD (EARLIER BHW HOME FINANCE LIMITED)
PEERLESS MUTUAL FUND
NA
Ms. Swati KulkarniVP OperationsCITIFINANCIAL CONSUMER FINANCE INDIA LTD. (FORMER ASSOCIATES INDIA FIN SERV
Mr. Harish ShahCompany SecretaryKOTAK MAHINDRA PRIME LIMITED (FORMERLY KOTAK MAHINDRA PRIMUS LIMITED)
Mr. V.R. MohanCompany Secretary & ManagerRELIANCE CAPITAL LIMITED570,Rectifier House,Naigaum Cross Road,
Mr. Mahendra N. ShahCompany SecretaryINFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED5th Floor, 501, Naman Chambers
Mr. Mahendra N. ShahCompany SecretaryINFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED5th Floor, 501, Naman Chambers
Mr Subhendu TripathyDeputy General ManagerICICI BANK LIMITEDICICI Bank Ltd. Towers2nd Floor, Treasury - Middle OfficeGMs Parminder ChopraDGM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
Ms Parminder ChopraDGM - Finance, Resourse Mobilisation UnitPOWER FINANCE CORPORATION LIMITED
Mr. S.K.BhargavaCompany SecretaryINDIAN RENEWABLE ENERGY DEVELOPMENT AGENCY LIMITEDCore 4-A, East Court, 1st Floor
Debenture will be redeemable at premium on 14/06/2016 Rs.16,03,200/-
Arranger- IDBI CAPITAL MARKET SERVICES LTD
PEERLESS MUTUAL FUND
NA
DARASHAW AND CO. PVT LTD.
IN CASE OF EARLY CONVERSION AT THE OPTION OF DEBENTURE HOLDER, INTEREST SHALL BE PAID TILL THE EARLY
Debenture will be redeemable in 7 installments starting from 18/10/2011 till 18/04/2013
Refer issuer for further details.
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NA
Debenture will be redeemable in 3 installments.30% on26/08/2012,30% on 26/08/2013& 40% on 26/08/2014
9.8150% XIRR (YIELD)
9.81% XIRR YIELD
DARASHAW AND CO. PVT LTD
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NA
DARASHAW AND CO. PVT LTD
NA
Arranger- AK CAPITAL SERVICES PVT LTD
Arranger- A K CAPITAL SERVICES LTD
Arranger-AK CAPITAL SERVICES LTD
Arranger- A K CAPITAL SERVICES LTD
NA
N.A.
NA
N.A.
Arranger- YES BANK LTD
NA
Arranger- YES BANK LTD
REDEMPTION WOULD BE AT PREMIUM. REDEMPTION VALUE PER SECURITY RS 11,54,224/-
Arranger- YES BANK LTD
ARRANGER-YES BANK LTD Contact issuer for redemption premium details
8.57% p.a. for first 10 years & 9.07% p.a.for the last five years if call option is not exercised by
Debenture will be redeemable in 23 unequal installments starting from 25/09/2010 till 25/03/2016
Debenture will be redeemable in 4 annual installments.25% on 31/10/2011;25% on 31/10/2012;25% on 31/10/2013 &
Arranger- AK CAPITALSERVICES PVT LTD, ICICI SECURITIES PRIMARY DEALERSHIP LTD, AXIS BANKLTD, ALMONDZ
Refer Issuer for further details
Allotted also on 05/12/2005 for Series 4
Coupon rate: Zero coupon (YTM of 9% calculated on a semi annual basis)
9.35% p.a.(step up option coupon 9.85% from 27/07/2016,if call option not exercised)
9.98% upto 12/09/2016 & 10.98% from 13/09/2016,if the call option not is exercised by the Bank
10.05% for first 10 Years and 11.05% from 30-09-2016 if call option not exercised by bank.
10.25% for first 10 Years and step up to 10.75 for thereafter if call option is not exercised by ba
25/09/2009 is subject to Modified following business day convention as defined by the ISDA definitions 2000.Refer to issuer for further detail
Coupon rate to be reduced to 9.50% from 31/03/2007 (Contact issuer for further detail)
Remark on Redemption date : PartialRs.66.66 on 31-Mar-02Rs.66.66 on 31-Mar-03Rs.66.66 on 31-Mar-04
Remark on Redemption date : 30% on 21-June-2011, 30% on 21-June-2012 & 40% on 21-June-2013
Debenture will be redeemed on 26/03/2014 Unless previously converted by the holders,the company will redeem the bonds in 5 equal half yearly installments
Remark on Redemption date : Partial-30% on 16-Apr-0930% on 16-Apr-1040% on 16-Apr-11
Remark on Redemption date : In 3 Annual instalments in ratio of 30:30:40 at the end of 10th, 11th & 12th year ie 11th July, 2014, 11th July, 2015 & 11th July, 2016
Debenture will be redeemable in 2 equal installments on 24/03/2013 & 24/03/2014.
10.25% for 1st 10 years and step up rate of 10.75% for last 5 year if call option is not exercised
Mr. Sandeep LakhotiaCompany Secretary / SecretarialSREI INFRASTRUCTURE FINANCE LIMITED‘Viswakarma’
9.95%p.a.upto 25/03/2019 &10.45% p.a.from 26/03/2019 till 25/03/2024,if call option is not exercised
Remark on Redemption date : In 5 equal Annual instalments commencing from 02-Aug-2010, 02-Aug-2011, 02-Aug-2012, 02-Aug-2013 & 02-Aug-2014
Refer issuer for further detail
Debenture will be redeemable in 12 equal quarterly instalments from 22/02/2009 to 22/11/2011.Debenture is also issued on 16/03/2007
The Bonds are also held in the Book Entry form(Certificate of holdings)
Bonds have a lock in period of 3 years for 3 years from deemed date of allotment till Feb 28,2007
Mr. Sandeep LakhotiaCompany Secretary / SecretarialSREI INFRASTRUCTURE FINANCE LIMITED‘Viswakarma’
Bonds have a lock in period of 3 years for 3 years from deemed date of allotment till Feb 28,2007
The promoters of the company have right to buyback the debentures in full or part anytime within 3 years from date of subscription. In the event the
10.40% for 1st 10 years and step up of 50bps if call option is not exercised
Bonds have a lock in period of 3 years for 3 years from deemed date of allotment till Feb 28,2007
10.25% for 1st 10 years and step up rate of 10.75% for last 5 year if call option is not exercised
Bonds have a lock in period of 3 years for 3 years from deemed date of allotment till Feb 28,2007
Mr. Parag SharmaVice President - FinanceSHRIRAM TRANSPORT FINANCE COMPANY LIMITEDWockhardt Towers, 3rd Floor
Mr. Sandeep LakhotiaCompany Secretary / SecretarialSREI INFRASTRUCTURE FINANCE LIMITED‘Viswakarma’
9.20% for 1st 10 years & 9.70% for subsequent years if call option is not exercised
100% (Rs.1000) to be redeemed on 01/06/2017 plus a premium of Rs.1000.
9.30% p.a. for 1st 10 years i.e.upto 25/03/2019, step up option of 0.50% if call option is not exer
10.65% for 1st 10 years and w.e.f. 31/07/2017 step up rate of 11.15% if call option is not exercise
Refer issuer for conversion details
Bond will bear interest rate of 9.10% p.a. & step up of 0.50% if call option is not exercised
Mr M.P.KharbandaCompany SecretaryMONNET ISPAT AND ENERGY LIMITED (FORMERLY KNOWN AS MONNET ISPAT LTD.)
MR. SANJAY CHAURASIACOMPANY SECRETARYSREI EQUIPMENT FINANCE PRIVATE LIMITEDVISHWAKARMA
Lead Manager to the issue- SBI CAPS, ICICI SECURITIES, A.K.CAPITAL
MR. SANJAY CHAURASIACOMPANY SECRETARYSREI EQUIPMENT FINANCE PRIVATE LIMITEDVISHWAKARMA
Ms Shobha ShettyCompany SecretaryPATEL ENGINEERING LIMITEDPatel Estate RoadJogeshwari (West)
Mr.Kedar GadgilManager - FinanceLARSEN AND TOUBRO LIMITEDL & T House, P.O. Box 278N.M. Marg Ballard Estate
N.A.
Ms Shobha ShettyCompany SecretaryPATEL ENGINEERING LIMITEDPatel Estate RoadJogeshwari (West)
Mr. A.K. ChoudharyGeneral ManagerIFCI LIMITEDIFCI Tower61, Nehru Place
Ms Shobha ShettyCompany SecretaryPATEL ENGINEERING LIMITEDPatel Estate RoadJogeshwari (West)
Mr.Deepinder Singh BediExecutive DirectorTULIP TELECOM LIMITEDC-160, Okhla Industrial AreaPhase - I
Mr. Rohit MishraAsst. Gen ManagerNATIONAL BANK FOR AGRICULTURE AND RURAL DEVELOPMENT
Mr. Mahendra N. ShahCompany SecretaryINFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED5th Floor, 501, Naman Chambers
ARRANGER - JM FINANCIAL INSTITUTIONAL SECURITIES PRIVATE LIMITED
ARRANGER - ADITYA BIRLA FINANCE LIMITED
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ARRANGER - ADITYA BIRLA FINANCE LIMITED
Debenture will be redeemable in 3 annual installments.30% on 04/05/2017; 30% on 04/05/2018 & 40% o
1st Instalment shall be redeemed on 31/03/2011 & balance in 36 equal quarterly installment commencing from
Remark on Redemption date : In 24 Equal Quarterly instalments commencing from 1st August, 2003 and maturing on 1st May, 2009
Redemption, quarterly Rs. 1685 per 6 bonds
Same as above
Remark on Redemption date : Partial Redemption-In two Annual instalments on 01-Feb-2009 & 01-Feb-2010
Issue date / Allotment date : 10-Apr-0230-May-02
Remark on Redemption date : 50% on 23rd March, 2005 & 50% on 23rd March, 2006
Remark on Redemption date : At par in three Annual instalments in the ratio of 30;30:40 at the end of 10th,11th & 12th year respectively (ie 7th Dec, 2012,
Remark on Redemption date : At par in 3 annual instalments in the ratio of 30:30:40 at the end of 10th, 11th & 12th year respectively (ie 7th Jan, 2013, 7th
Rs. 20/- out of Rs. 150/- shall be converted nto 2 equity shares of Rs. 10/- each on 18th November, 2003Premium on Redemption of each instalment - 25% on principal value. Remark on Redemption date : Four Annual Instalments
Remark on Redemption date : In 4 Equal Annual Instalments Starting From End Of 7th Year From Date Of Issue : 14/10/2010, 14/10/2011, 14/10/2012,
Remark on Redemption date : At par in three Instalments in 30:30:40 at the end of 10th, 11th & 12th year respectively from deemed date of allotment ie. 7th
The bonds have a Lock in Period of 3 years from the deemed date of allotment ie till 29th June, 2006
The bonds have a lock in period of three years from their deemed date of allotment.
OFCDs shall be converted in equity/preference shares at par at any time for the outstanding amount till 15th September, 2012. Remark on Redemption date :
The bonds have a lock in period of three years from deemed date of allotment-till October 30, 2006
Issue date / allotment date : 01/10/2003 to31/10/2003
Remark on Redemption date : In 3 Instalments on 15-Apr-2009, 15-Jul-2010 & 15-Oct-2011
Redemption in three Equal instalments 30th June 09 ; 30th June 2010; 30th June 2011
The bonds have a lock in period of three years from deemed date of allotment-till October 30, 2006
Part Redemption[From 05th April 2004, 10 equal annuities of Rs 1635/- per bond will be paid.]
Part Redemption[From 11th Sept 2004, 10 equal annuities of Rs. 1500/- each per bond will be paid.]
Partial Redemption of 50% on 15.05.2012 and 50 % on 15.05.2013
Partial Redemption 50% on 04.07.2012 and 50 % on 04.07.2013
For further detail refer to the issuer
Partial Redemption in 8 Equal Instalments from 10/12/2002 to 10/12/2009
Coupon rate step up to 9.45% from15/11/2016 if call option not exercised by bank
For further detail refer to the issuer
For further detail refer to the issuer
The Bonds are also held in the Book Entry form(Certificate of holdings)
The Bonds are also held in the Book Entry form(Certificate of holdings)
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The Bonds are also held in the Book Entry form(Certificate of holdings)
The Bonds are also held in the Book Entry form(Certificate of holdings)
Arranger/Lead Manager to the issue- J P MORGAN SECURITIES INDIA PVT LTD
Contact issuer for conversion details.
Debenture will be redeemable in 2 equal installments on 19/08/2019 & 19/08/2020
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For further detail refer to the issuer
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Refer Issuer for further details.
10.21% XIRR
12.50%, if the call option has not happened at the end of 10th year, then the interest will changed from 12.50% to 13.50%
Refer issuer for further details.
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Redeemable in 5 equal installments starting from 27/10/2010 till 27/10/2014
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Refer issuer for further details.
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N.A.
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Premium on Issue Price for subscription amount less than Rs 1 Cr is 2% & more than Rs 1 Cr is 1%.
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10.235% XIRR
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N.A.
For further detail refer to the issuer
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Refer issuer for further detail
Debenture will be redeemable in two equal installments on 24/02/2019 & 24/02/2020
Ms. Swati KulkarniOperations & Technology HeadCITICORP FINANCE (INDIA) LIMITEDGround Floor, Cititower
9.90% , The step up shall be 50 bps over and above the initial coupon rate of 9.90%, if call option
Lead Manager to the issue- ICICI SECURITIES LTD, JM FINANCIAL CONSULTANT PVT LTD, KARVY INVESTOR SER
Lead Manager to the issue- ICICI SECURITIES LTD, JM FINANCIAL CONSULTANT PVT LTD, KARVY INVESTOR SER
Lead Manager to the issue- KARVY INVESTORS SERVICES LTD,HDFC BANK LTD, ICICI SECURITIES LTD, JM FINA
Debenture will be redeemable in 3 equal annual installments on 18/06/2014 , 18/06/2015 & 18/06/2016
Mr. L. VednarayananManaging DirectorRBS FINANCIAL SERVICES (INDIA) PRIVATE LTD81, Sakhar Bhawan
Mr S.Krishna KumarCompany SecretaryL & T INFRASTRUCTURE FINANCE COMPANY LIMITED3A, Laxmi Towers
Mr. Harish ShahCompany SecretaryKOTAK MAHINDRA PRIME LIMITED (FORMERLY KOTAK MAHINDRA PRIMUS LIMITED)
NA
Debenture will be convertible in to 3 equal installments on 21/01/2012,21/01/2013 & 21/01/2014.Conta
Lead Manager to the issue- Kotak Mahindra Capital co Ltd, Enam Securities Pvt Ltd, HDFC Bank ltd,etc
Lead Manager to the issue- Kotak Mahindra Capital co Ltd, Enam Securities Pvt Ltd, HDFC Bank ltd,etc
Lead Manager to the issue-JM Financial Consultants pvt ltd , Enam Securities Pvt Ltd etc
NA
Contact Issuer for further details.
Lead Manager to the issue-JM Financial Consultants pvt ltd , Enam Securities Pvt Ltd etc
Arranger- AXIS BANK, ICICI BANK LTD, ISec PD, TRUST CAPITAL
Remark on Redemption date : 35% on 26.06.200935% on 26.06.201030% on 26.06.2011
For further detail refer to the issuer
For further detail refer to the issuer
8.37% p.a. for the 1st 10 years & step up coupon rate of 8.87% for last 5 years if call option is no
Arranger- ICICI BANK LTD, AXIS BANK LTD
Refer issuer for further details.
bonds has a lockin period of three years
bonds has a lockin period of three years
bonds has a lockin period of three years
Linked to the movement of the S&P CNX Nifty as expressed on NSE.(Contact issuer for further detail)
Arranger- ICICI BANK LTD, AXIS BANK LTD & ICICI SECURITIES PRIMARY DEALERSHIP LTD
Arranger- ICICI BANK LTD, AXIS BANK LTD
For further detail refer to the issuer
10.28% XIRR
For further detail refer to the issuer
Linked to the movement of the S&P CNX Nifty as expressed on NSE.(Contact issuer for further detail)
Arranger-ICICI BANK LTD, AXIS BANK LTD
Arranger- ICICI BANK LTD,AXIS BANK LTD
Deb will be redeemable in 3 installments on 40% on 25/11/2011 ; 40% on25/11/2012 & 20% on 25/11/2013
Arranger-ICICI BANK LTD, AXIS BANK LTD
Mr. Mahendra N. ShahCompany SecretaryINFRASTRUCTURE DEVELOPMENT FINANCE COMPANY LIMITED5th Floor, 501, Naman Chambers
Mr. Ramesh Kumar LaddhaSr. Manager (Finance & Accounts)ELECTROSTEEL CASTINGS LIMITED4 B.B.D. Bag (East)
Arranger- ICICI BANK LTD, AXIS BANK LTD, KOTAK MAHINDRA BANK LTD
Arranger- BARCLYAS BABK PLC
Arranger- ICICI BANK LTD
Arranger- ICICI BANK LTD
Arranger- AXIS BANK LTD
Arranger- ICICI BANK LTD
Arranger- ICICI BANK LTD
ARRANGER - ICICI BANK LTD, ICICI SECURITIES PRIMARY DEALERSHIP LTD, AXIS BANK LTD, DARASHAW & CO PVT
Mr. Sandeep LakhotiaCompany Secretary / SecretarialSREI INFRASTRUCTURE FINANCE LIMITED‘Viswakarma’
Debentures will be redeemable at the end of 5th,6th,7th year i.e.23/11/2015,23/11/2016 & 23/11/2017
0% for first 5 years from the date of issue, 10% per annum for the remaining tenure on the face value.
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25/09/2009 is subject to Modified following business day convention as defined by the ISDA definitions 2000.Refer to issuer for further detail
STRPP-> Separately Tranferable Redeemable Principal Parts
STRPP-> Separately Tranferable Redeemable Principal Parts
STRPP-> Separately Tranferable Redeemable Principal Parts
STRPP-> Separately Tranferable Redeemable Principal Parts
Arranger- BARCLAYS BANK , PLC
Contact issuer for conversion details
Debenture will be redeemable in three installment on 01/09/2012,01/10/2012 & 01/11/2012
100% (Rs.1000) to be redeemed on 01/12/2016 plus a premium of Rs.1000.
Mr Subhendu TripathyDeputy General ManagerICICI BANK LIMITEDICICI Bank Ltd. Towers2nd Floor, Treasury - Middle OfficeG