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Showing list of 5 bonds
Bond name | Rating | Coupon Rate | Payment Freq | Maturity Date |
---|---|---|---|---|
9.74% AAVAS FINANCIERS LIMITED INE216P08017 Unsecured | 9.74% | Annually | 22 Dec 23 | |
8.65% AAVAS FINANCIERS LIMITED INE216P07175 Secured | 8.65% | Semi Annually | 30 Mar 28 | |
8.39% AAVAS FINANCIERS LIMITED INE216P07167 Secured | 8.39% | Semi Annually | 15 Sep 24 | |
AAVAS FINANCIERS LIMITED INE216P07209 Secured | RESET RATE - REFER REMARKS | Quarterly | 31 Dec 25 | |
AAVAS FINANCIERS LIMITED INE216P07225 Secured | REPORATE LINKED | Quarterly | 25 Mar 27 |