Securitywise Trade Information
Issuer Name
:
NAVI FINSERV LIMITED
Security Code
:
950NFL23
ISIN No
:
INE342T07197
Face Value
:
1,000
Yield
:
10.5000
Maturity Date
:
08/12/2023
Coupon (%)
:
9.50
Coupon Frequency
:
Last Interest Payment Date
:
Rating
:
IND A DT 12/04/2022
No Records Found.
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