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NRI

Jm Financial Products Limited

ISIN: IN8523H07030 | Sector: Finance | Rating:

Overview

Yield

-

Coupon rate

-

Face Value

1,000,000

Maturity date

16-Jul-2031

Key Metrics

Nature of bond

Secured

Coupon Frequency

PAYABLE ON ANNULAYY BASIS ON 16/07/2022,16/07/2023 AND SO ON TILL MATURITY.

Issue Size (in crs.)

Time till maturity

6y 4m 0d

Issue date

16-Jul-2021

Coupon Structure

Fixed

OTHER BONDS ISSUED BY COMPANY

Bonds issued by company Yield (%) Last Traded Price () Face Value () Time till maturity Last traded on

JM Financial Products Ltd 10.5%

CRISIL AA/Stable

-

1012.61

1000

18 May, 2022

JM Financial Products Ltd 0%

CRISIL AA/Stable

-

1342.0

1000

21 Oct, 2022

JM Financial Products Ltd 0%

CRISIL AA/Stable

22808.48

1580.0

1000

1d

27 Feb, 2025

JM Financial Products Ltd 0%

CRISIL AA/Stable

-

1190.0

1000

23 Feb, 2022

JM Financial Products Ltd 8.2%

CRISIL AA/Stable

5.36

997.10

1000

1y 6m 20d

12 Mar, 2025