10% NAVI FINSERV LIMITED 25/Mar/2027

INE342T07619
Issuer: NAVI FINSERV LIMITEDi
Bond Type: high-return Bond
Information Memorandum (I.M.)Term Sheet*(Eligible Investors - Individual,NRI,HUF,Corporate,Trust)

SNAPSHOT

Face Value (In INR) and Issue Size (In INR Crores)presented by :Definedge
Face Value100,000.00
Coupon Rate10.0000% (Fix)
Issue Date25/Jun/2025
Maturity Date25/Mar/2027
Remaining Period0Y 11M 30D
Tax FreeNo
Interest Payment TypeSimple
Interest FrequencyMonthly
Issue Size (In Crores)125.00
Max. Available Quantity4
TDS on InterestYes
Call OptionN.A.
Put OptionN.A.
Govt GuaranteeNo
SecuritySenior Secured

BONDS RATING

Rating AgencyINDIA RATING
RatingA
Rating Rationale Click Here
Remarks

ISSUER

Issuer TypeNBFC
About Issuer

Navi Finserv with its systematic and focused approach strives to meet the borrowing needs of the middle income families, and aims to be a Pan India Financial Services Company and provide the full spectrum of financial services, by developing various types of financial products.

About Issuer

Navi Finserv with its systematic and focused approach strives to meet the borrowing needs of the middle income families, and aims to be a Pan India Financial Services Company and provide the full spectrum of financial services, by developing various types of financial products.

NAME OF DEBENTURE TRUSTEE

Catalyst Trusteeship Limited

REMARKS

Please Consider The Risk Before Investing.

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