9.20 NAVI FINSERV LIMITED 08DEC2023

9.20 NAVI FINSERV LIMITED 08DEC2023

NAVIFIN-N1
INE342T07189
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Bond Description

Key Information

A (IND)
Credit Rating
08-Dec-2023
Maturity
9.20%
Coupon
Month
Payment Frequency
1,000.00
Face Value
08-Jun-2022
Issue Date
Secure
Backed by assets
Senior
Seniority

This bond is issued by NAVI FINSERV LIMITED and is secured (Senior). It is A rated bond. Its maturity date is 8th December, 2023. It pays 9.20% monthly.

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