Securitywise Trade Information
Issuer Name : --
Security Code : 965NVCL77 ISIN No : INE118D08052
Face Value : 1,000,000 Yield : 9.5400
Maturity Date : 06/07/2077 Coupon (%) : 9.65 Coupon Frequency :
Last Interest Payment Date : Rating : CRISIL AA- DT.03.07.2017
Trade DateLTPYieldTraded Qty.Turnover
(Rs. lacs)
15/04/2021101.01009.543723,720.00
15/04/2021101.01009.543723,720.00
15/04/2021101.00009.543723,720.00
12/04/2021101.01009.543503,500.00
12/04/2021101.01009.543503,500.00
12/04/2021101.00009.543503,500.00
09/04/2021101.00009.543503,500.00
09/04/2021101.01009.543503,500.00
09/04/2021101.01009.543503,500.00
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