10.60% NAVI FINSERV LIMITED 2027

10.60% NAVI FINSERV LIMITED 2027

ISIN
INE342T07569
Face Value
₹10,000
Rate
₹101.45
Principal Amount
₹10,145
Accrued Interest
₹26.14
Settlement Amount
₹10,171.14
Stamp Duty
₹0
Total Amount Payable
₹10,171.14
Coupon Rate
10.60%
Interest Dates
21st every month
Tenure
2 Years, 3 Months
Allotment Date
February 21, 2025
Maturity Date
February 21, 2027
Payment Frequency
Monthly
Secured
As per attachment
Guaranteed
As per attachment

Your Earnings

Your investment will generate consistent returns across the tenure

2025

2026

2027

Note*: TDS will be applicable on interest earnings as per government rules.

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