List of Privately Placed Debt Instruments
Company Name :
Company
Security Code
Security Name
Rate of Interest
Redemption Date
Last Date of Interest
Credit Rating
Notice No.*
2024 PL DAMIAN
975609
2024PLD-9.90%-25-1-28-PTC
9.90
25/01/2028
MONTHLY
IND AA-(SO)(exp)
2024 PL DAN
976384
2024PLDAN-25-7-29-PTC
10.25
25/07/2029
MONTHLY
IND AA(SO)
20250205-29
2024 PL DARWIN
975878
PLD-9.90%-25-1-29-PTC
9.90
25/01/2029
MONTHLY
IND AA/Stable
2024 PL GROOT
976559
GROOT-10.25%-25-9-29-PTC
10.25
25/09/2029
MONTHLY
IND AA
20250327-56
2024 PL KINGSLEY
976070
2024PLKING-9.45%-25-11-25-PTC
9.45
25/11/2025
MONTHLY
IND AA+/Stable
20241004-31
2024 PL KINGSLEY
976072
2024PLKINGSLY-9.45%-25-5-27-PTC
9.45
25/05/2027
MONTHLY
IND AA+/Stable
20241004-31
2025 02 MFI COSECANT
976470
MFIC-9.5%-12-5-26-PTC
9.50
12/05/2026
MONTHLY
ICRA AA-
20250305-32
360 ONE PORTFOLIO MANAGERS LIMITED
976247
360OPML-9.11%-17-12-27-PVT
9.11
17/12/2027
MONTHLY
ICRA AA-/STABLE
20241219-32
360 ONE PORTFOLIO MANAGERS LIMITED
975883
OPML-Nifty 50-2-2-28-PVT
0.00
02/02/2028
CUMULATIVE
ICRA AA/Stable
360 ONE PORTFOLIO MANAGERS LIMITED
975910
OPML-9.65%-13-8-27-PVT
9.65
13/08/2027
ANNUALY
ICRA AA/Stable
360 ONE PORTFOLIO MANAGERS LIMITED
975971
OPML-26-2-27-PVT
0.00
26/02/2027
CUMULATIVE
ICRA AA/Stable
20240902-23
360 ONE Prime Limited
975896
OPL-ZC-13-3-26-PVT
0.00
13/03/2026
CUMULATIVE
ICRA AA/Stable
360 ONE Prime Limited
975596
360OPL-8.50%-15-10-25-PVT
8.50
15/10/2025
QUARTERLY
ICRA AA/Stable
360 ONE Prime Limited
975360
360OPL-9.03%-28-1-26-PVT
9.03
28/01/2026
MONTHLY
ICRA AA+/Stable
20240202-32
360 ONE Prime Limited
975390
360OPL-9.61%-14-2-27-PVT
9.61
14/02/2027
ANNUALY
ICRA AA-
20240216-33
360 ONE Prime Limited
976180
360OPL-9.42%-31-5-27-PVT
9.42
31/05/2027
ANNUALY
ICRA AA
360 ONE Prime Limited
976108
360-ZC-17-5-27-PVT
0.00
17/05/2027
CUMULATIVE
ICRA AA-/STABLE
360 ONE Prime Limited
976054
OPL-Nifty 50-20-9-34-PVT
0.00
20/09/2034
CUMULATIVE
ICRA AA/Stable
360 ONE Prime Limited
976474
OPL-9.40%-4-3-27-PVT
9.40
04/03/2027
ANNUALY
ICRA AA/Stable
20250306-37
360 ONE Prime Limited
976420
OPL-9%-18-4-28-PVT
9.00
18/04/2028
MONTHLY
ICRA AA/Stable
20250220-13
360 ONE Prime Limited
976337
360OPL-9.50%-16-1-35-PVT
9.50
16/01/2035
ANNUALY
CRISIL AA/Stable
20250120-28
A B T Investments (India) Private Ltd
955118
ABTIPL-20%-31-08-18-PVT
20.00
31/08/2018
HALF YEARLY
20161028-
A.K Capital Finance Private Limited
955899
AKCFPL-9.60%-07-03-22-PVT
9.60
07/03/2022
ANNUALY
BWR AA-(SO)
20170323-34
A.K Capital Finance Private Limited
955900
AKCFPL-9.60%-07-03-24-PVT
9.60
07/03/2024
ANNUALY
BWR AA-(SO)
20170323-34
A.K Capital Finance Private Limited
955903
AKCFPL-9.70%-07-03-27-PVT
9.70
07/03/2027
ANNUALY
BWR AA-(SO)
20170323-34
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* Note : Notice No. nomenclature is Year(4), Month(2), date(2) – Notice number.