Priyesh Investments Private Limited ISIN: INE00GB07011 | Sector: Finance | Rating: Overview Yield N.A % Coupon rate 10 PER ANNUM FROM 13TH TO END OF 24TH MONTH AND 14 PER ANNUM FROM 25TH TO END OF 36TH MONTH AND 18 PER ANNUM FROM 37TH TO END OF 48TH MONTH. Face Value 1,000,000 Maturity date 31-Jul-2022 Key Metrics Nature of bond Secured Coupon Frequency MONTHLY STARTING FROM 31-DEC-19, 31-JAN-20 AND SO ON. Issue Size (in crs.) 55.0 Time till maturity Matured Issue date 01-Aug-2018 Coupon Structure Variable ��� Refer Remarks