Navi Finserv Limited Jan '27
10NFL2027BSE

Navi Finserv Limited Jan '27

₹0
Tenure left
5 months
Interest payout
Monthly
Principal payout
Maturity
Bond details
Minimum investment--
Date of maturity31 Jan 2027
ISININE342T07650
Bond typeSenior Secured
Performance
Today’s low
NA
Today’s high
NA
Rating
A
What does rating mean?
Other details
Issue size75.00Cr
Listed onBSE
Allotment date31 Oct 2025
Coupon rate10.00%
Original bond tenure15 months