8.35 NATIONAL INSURANCE COMPANY LIMITED 26MAR2027

8.35 NATIONAL INSURANCE COMPANY LIMITED 26MAR2027

INE168X08014

bid

-

YTM: -

ask

100.7422

YTM: 8.12%

Bond Description

Key Information

A+ (ICRA)
Credit Rating
26-Mar-2027
Maturity
8.35%
Coupon
Annual
Payment Frequency
₹10,00,000
Face Value
27-Mar-2017
Issue Date
Unsecure
Residual claim on assets
Senior
Seniority

This bond is issued by NATIONAL INSURANCE COMPANY LIMITED and is unsecured (Senior). It is A+ rated bond. Its maturity date is 26th March, 2027. It pays 8.35% annually.

Issuer: NATIONAL INSURANCE COMPANY LIMITED
Corporate Finance
No issuer description available
Bond Price / Yield Calculator
Input yield or clean price to re-calculate all other values
8.35 NATIONAL INSURANCE COMPANY LIMITED 26MAR2027 INE168X08014
Clean Price (₹)
YTM (%)
Quantum (FV) in lacs
Value Date
Principal Amount
₹10,07,422.00
Accrued Interest
₹45,067.12
Total Amount
₹10,52,489.12
Last IP Date
27-Mar-2022
No of Accrued Days
197 days
Coupon (Paid Annually)
8.35%
* Stamp duty additional (1 rupee per 10 lacs)
Explanation and Disclaimer
You can input yield or clean price to re-calculate all other values.
Interest and Principal Payments (Principal Amount - ₹10,00,000)

This bond is issued by NATIONAL INSURANCE COMPANY LIMITED and is unsecured (Senior). It is A+ rated bond. Its maturity date is 26th March, 2027. It pays 8.35% annually.

View More bonds by Issuer

Calculator

Cashflow

More About the Issuer

bid

-

YTM: -

ask

100.7422

YTM: 8.12%

Indicate Price
Last IP Date
-
No of Accrued Days
days
Principal Amount
₹0.00
Accrued Interest
₹0.00
Total Amount
₹0.00
* Stamp duty additional (1 rupee per 10 lacs)
Harmoney