Invest in Bonds

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0% JM FINANCIAL CREDIT SOLUTIONS LIMITED 2022
INE651J07655 Regular
Coupon Rate: 0.0%
Yield: 6.9%
Rating: AA/STABLE(ICRA)
Payments
Yearly
Face Value
1,000
Call/Maturity date
13-06-2022
10.50% Indusind Bank Limited
INE095A08082 Perpetual
Coupon Rate: 10.5%
Yield: 8.0%
Rating: AA
Payments
Yearly
Face Value
1,000,000
Call/Maturity date
28-03-2024
8.20 JM Financial Product Limited 2026
INE523H07BO4 Regular
Coupon Rate: 8.2%
Yield: 7.9%
Rating: AA
Payments
Yearly
Face Value
1,000
Call/Maturity date
07-10-2026
BOB
INE028A08216 Perpetual
Coupon Rate: 8.25%
Yield: 7.1%
Rating: AA+
Payments
Yearly
Face Value
1,000,000
Call/Maturity date
17-07-2025
HDFCBANK
INE040A08377 Perpetual
Coupon Rate: 8.85%
Yield: 5.75%
Rating: AAA
Payments
Yearly
Face Value
1,000,000
Call/Maturity date
12-05-2022
HPCL Mittal Energy Limited
INE137K07042 Regular
Coupon Rate: 9.18%
Yield: 7.9%
Rating: AA+
Payments
Yearly
Face Value
1,000,000
Call/Maturity date
28-02-2030
JM Financial Credit Solutions ltd 2023
INE651J07671 Regular
Coupon Rate: 9.67%
Yield: 7.1%
Rating: AA
Payments
Yearly
Face Value
1,000
Call/Maturity date
13-12-2023
Piramal Capital and Housing Finance Limited
INE516Y07402 Regular
Coupon Rate: 8.5%
Yield: 7.75%
Rating: AA(ICRA)
Payments
Yearly
Face Value
1,000
Call/Maturity date
23-07-2024
Piramal Capital and Housing Finance Limited 2031
INE516Y07444 Regular
Coupon Rate: 6.75%
Yield: 9.5%
Rating: AA
Payments
Yearly
Face Value
1,000
Call/Maturity date
26-09-2031
ROYAL SUNDARAM GEN INSURANCE CO. LTD
INE499S08021 Regular
Coupon Rate: 10.5%
Yield: 6.0%
Rating: AA+
Payments
Yearly
Face Value
1,000,000
Call/Maturity date
27-03-2022
State Bank of India
INE062A08249 Perpetual
Coupon Rate: 7.74%
Yield: 6.9%
Rating: AA+
Payments
Yearly
Face Value
1,000,000
Call/Maturity date
09-09-2025
Tata Motors Finance Ltd
INE909H08113 Perpetual
Coupon Rate: 11.25%
Yield: 6.2%
Rating: A(ICRA)
Payments
Yearly
Face Value
500,000
Call/Maturity date
28-06-2022
HDFC Floating Rate Savings Bond, 2020 (Taxable)
Floating Rate
Coupon Rate: 7.15%
Yield: 7.15%
Rating: Sov
Payments
Yearly
Face Value
1,000
Call/Maturity date
7 years from the date of issue
NHAI
Capital Gain Bond
Coupon Rate: 5%
Yield: 5%
Rating: PSU
Payments
Yearly
Face Value
10,000
Call/Maturity date
5 years from the date of the issue