Capera

NCD / Debenture · Secured

NAVI FINSERV LIMITED

10.75% SECURED RATED LISTED REDEEMABLE NON CONVERTIBLE DEBENTURE DATE OF MATURITY 31/12/2027

Yield

11.40%

traded yesterday

Coupon

10.75%

monthly

Time to maturity

1 yr, 7 mo, 1 d

31 Dec 2027

Best Offer

11.10%

FixedIncome

Credit rating

At issue
A
CRISIL

Rated 31 Jul 2024

Investment gradeSpeculative
A
AAABBB-D

Issue-time grade. Ratings can migrate after issuance; live surveillance ratings are coming soon.

Recent trading

11.40%yield · traded yesterday
Clean price ₹99.81Last trade 03 Jun 2026Venue IndiaBonds:BSE

An actual exchange-cleared trade in the last 30 days; independent of any platform quote.

Where to buy this bond

The same security, priced across the online bond platforms we track. Capera does not sell bonds; we show every platform's quote so you can pick the best yield.

PlatformPriceYield (YTM)TenureUpdated
FixedIncomeFixedIncomeBest offer₹10,02611.10%19m03 Jun 2026
IndiaBondsIndiaBonds₹10,038.6711.00%19m03 Jun 2026
SMESTSMEST10.77%19m03 Jun 2026
BondskartBondskart₹1,00,834.9310.46%19m03 Jun 2026

Yield by platform

FixedIncomeFixedIncome
11.10%
IndiaBondsIndiaBonds
11.00%
SMESTSMEST
10.77%
BondskartBondskart
10.46%

Highest yield highlighted. Yields move with price; always confirm on the platform before you buy.

Bond detailsSecured
IssuedMatures
13 Jan 202531 Dec 2027

1 yr, 7 mo, 1 d to maturity

ISIN

INE342T07544

Type

NCD

Coupon

10.75%

Payout

Monthly

Face value

₹10,000

Issue size

₹783 Cr

Listed

Listed

Tax

Taxable

Other bonds by NAVI FINSERV LIMITED

Full issuer page

Same issuer, different tenors. Each line is a distinct security; click any to compare it across platforms against the live exchange-traded yield.

Traded yield by time to maturity

Each point is a different security, so the line is a shape, not an apples-to-apples curve. Yields are not directly comparable: seniority, security cover and collateral, put and call options, step-ups and covenants all differ line to line. Read each security on its own terms.

69 securities

The credit grade assigned at issuance (per rating agency). It is not a live or current rating; subsequent surveillance changes are not reflected here.
NAVI FINSERV LIMITEDINE342T07452NCD / DebentureA10.90%13 Jun 202610d left14.98%
NAVI FINSERV LIMITEDINE342T07643NCD / DebentureA10.00%30 Oct 20265mo left11.96%
NAVI FINSERV LIMITEDINE342T08070NCD / DebentureA11.90%31 Dec 20304.6y left11.71%
NAVI FINSERV LIMITEDINE342T07569NCD / DebentureA10.60%21 May 202712mo left11.68%
NAVI FINSERV LIMITEDINE342T07494NCD / DebentureA10.50%18 Jun 20271.0y left11.52%
NAVI FINSERV LIMITEDINE342T07635NCD / DebentureA10.30%30 Sept 20271.3y left11.21%
NAVI FINSERV LIMITEDINE342T07668NCD / DebentureA10.75%31 Dec 20282.6y left11.18%
NAVI FINSERV LIMITEDINE342T07684NCD / DebentureA10.30%31 May 20282.0y left11.14%
NAVI FINSERV LIMITEDINE342T07437NCD / DebentureA10.40%13 Jun 202610d left11.11%
NAVI FINSERV LIMITEDINE342T07601NCD / DebentureA10.75%19 Aug 20282.2y left11.05%
NAVI FINSERV LIMITEDINE342T07627NCD / DebentureA10.20%05 Aug 20271.2y left11.00%
NAVI FINSERV LIMITEDINE342T07445NCD / DebentureA11.19%13 Mar 20279mo left10.75%
NAVI FINSERV LIMITEDINE342T07619NCD / DebentureA10.00%25 Mar 202710mo left10.68%
NAVI FINSERV LIMITEDINE342T07429NCD / DebentureA10.25%31 Dec 20267mo left10.50%
NAVI FINSERV LIMITEDINE342T07460NCD / DebentureA10.65%13 Mar 20279mo left10.40%
NAVI FINSERV LIMITEDINE342T07387NCD / DebentureA10.50%18 Jul 20262mo left10.25%
NAVI FINSERV LIMITEDINE342T07510NCD / DebentureA10.40%13 Nov 20265mo left10.25%
NAVI FINSERV LIMITEDINE342T07536NCD / DebentureA10.50%27 Aug 20271.2y left10.11%
NAVI FINSERV LIMITEDINE342T07403NCD / DebentureA11.02%18 Jul 20262mo left10.03%
NAVI FINSERV LIMITEDINE342T07577NCD / DebentureA10.60%10 Sept 20263mo left10.00%
NAVI FINSERV LIMITEDINE342T07650NCD / DebentureA10.00%31 Jan 20278mo left9.62%
NAVI FINSERV LIMITEDINE342T14FZ7CPA105 Jun 20262d left
NAVI FINSERV LIMITEDINE342T14FY0CPA109 Jun 20266d left
NAVI FINSERV LIMITEDINE342T14FF9CPA115 Jun 202612d left
NAVI FINSERV LIMITEDINE342T14FH5CPA116 Jun 202613d left

125 of 69

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Secured: backed by a charge over the issuer's assets. Unmarked lines are unsecured.

Click any security to compare it across platforms against the live exchange-traded yield. A blank yield means no recent trade, not no value.

Questions

What is INE342T07544 rated?

This security (INE342T07544) was rated A by CRISIL RATINGS LIMITED at issuance (31 Jul 2024). Ratings are per-security, so other instruments from NAVI FINSERV LIMITED can carry different grades. These are issue-time grades; live surveillance ratings are coming soon and can differ.

Where can I buy INE342T07544?

It is quoted on FixedIncome, IndiaBonds, SMEST, Bondskart. Capera does not sell bonds; we show each platform's price so you can choose where to buy.

Has INE342T07544 traded recently?

Yes, it last traded yesterday at a yield of 11.40%.

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