loader2
Login OPEN ICICI 3-in-1 Account

Navi Finserv Ltd 10% BUY SELL

ISIN: INE342T07619 | Rating: FITCH IND A+

Overview

Yield

-

Coupon rate

10%

Face Value

100,000

Maturity date

25-Mar-2027

Key Metrics

Nature of bond

Coupon Frequency

Monthly

Issue Size (in crs.)

Time till maturity

1y 8m 10d

Issue date

25-Jun-2025

OTHER BONDS ISSUED BY COMPANY

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

Navi Finserve Pvt Ltd 0%

FITCH PP-MLD Aemr/Sta

-

1110000.0

1000000

29 Mar, 2023

Navi Finserve Pvt Ltd 9.15%

FITCH A

-

998900.0

1000000

29 May, 2023

Navi Finserve Pvt Ltd 9.18%

FITCH A

-

994597.0

1000000

19 Sep, 2022

Navi Finserv Ltd 10.25%

FITCH IND A/Stable

-

104999.99

100000

1y 5m 19d

09 Jul, 2025

Navi Finserv Ltd 10.75%

CRISIL A/STABLE

-

9985.83

10000

3y 1m 10d

10 Jul, 2025