Bonds issued by company | Yield (%) | Last Traded Price () | Face Value () | Time till maturity | Last traded on |
---|---|---|---|---|---|
Bharat Oman Refineries Ltd 6.27%CRISIL AAA |
6.27 |
1000000 |
1y 7m 7d |
01 Jan, 0001 |
|
Bharat Oman Refineries Ltd 5.75%CRISIL AA+ |
5.75 |
1000000 |
01 Jan, 0001 |
||
Bharat Oman Refineries Ltd 5.85%CRISIL AA+ |
5.85 |
1000000 |
01 Jan, 0001 |
Bonds issued by company | Yield (%) | Last Traded Price () | Face Value () | Time till maturity | Last traded on |
---|---|---|---|---|---|
State Bank of India 7.72%CRISIL AA+ |
- |
10439000.0 |
10000000 |
-1y -7m -30d |
18 Jun, 2024 |
State Bank of India 7.75%CRISIL AA+ |
- |
10071696.0 |
10000000 |
-1y -7m -30d |
06 Dec, 2023 |
Shriram Transport Finance Company Ltd 9.5%CRISIL AA+ |
- |
930000.0 |
1000000 |
-1y -7m -30d |
06 Oct, 2021 |
Bank of Baroda 8.6%CRISIL AA+ |
- |
913950.0 |
1000000 |
-1y -7m -30d |
20 Jan, 2022 |
Shriram Transport Finance Company Ltd 9%CRISIL AA+ |
5.75 |
1085000.0 |
1000000 |
-1y -7m -30d |
11 Mar, 2025 |