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Klm Axiva Finvest Ltd 0.00% BUY SELL

ISIN: INE01I507141 | Public Sector Unit | Rating: CARE BB+;Stable

Overview

Yield

Coupon rate

0.00%

Face Value

1000.0

Maturity date

01-Oct-2022

Last Traded Price

1007.85

Last Traded Date

13-Jan-2022

Key Metrics

Nature of bond

NON-CONVERTIBLE DEBENTURES

Coupon structure

Monthly

Issue size

145185.0

Time till maturity

0y 8m 3d

Ex-Date

01-Jan-2022

Record Date

Issue date

03-Oct-2019

OTHER BONDS ISSUED BY COMPANY

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

KLM Axiva Finvest Ltd 12.25%

CARE BB/Stable

-

1000.0

1000

1y 9m 7d

17 Jan, 2022

KLM Axiva Finvest Ltd 11.50%

CARE BB/Stable

-

1080.0

1000

26 Jul, 2019

KLM Axiva Finvest Ltd 0.0%

CARE BB+;Stable

-

1015.0

1000

08 Feb, 2021

KLM Axiva Finvest Ltd 11.75%

CARE BB/Stable

-

994.51

1000

02 Aug, 2021

KLM Axiva Finvest Ltd 11.0%

CRISIL BB+; Stable

12.1

980.0

1000

4y 9m 3d

18 Jan, 2022