NAVI FINSERV LIMITED


INE342T07601

A Quick Highlight.

Face Value (in INR)

10,000

Coupon Rate

10.75%

Issue Date

01-Dec-25

Maturity Date

19-Aug-28

Remaining Period

2 y 8 m 22 d

Interest Frequency

Monthly

Interest Payment Date

19-Dec-25

Nature of Bond

SECURED

Type of Bond

Rating

CRISIL : A