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NAVI FINSERV LIMITED

Every NAVI FINSERV LIMITED debt security outstanding in India: bonds, NCDs and money-market lines, with credit rating, coupon, tenor and latest traded yield. Compare each across platforms against the live exchange-traded yield.

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Top yield

12.31%

latest traded

Trading now

22

of 81 live

Instruments

81

outstanding

Top rating

A+

latest

Traded yield by time to maturity

just issued

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. Indigo diamonds are brand-new primary issuance plotted at issuance yield (not a traded yield), shown for context against the traded curve.

Just issued8

New primary-market issuance, not yet in the registry below. The yield shown is the issuance yield (weighted-average at issue), not a traded yield.

The weighted-average yield at which this paper was issued in the primary market — not a secondary traded yield. It reflects the issuer's cost of funds on the issue date.
Navi FinservINE342T14HP4CP91d₹10 cr9.50%09 Sept 2026matures 09 Dec 2026
Navi FinservINE342T14HO7CP181d₹11 cr9.80%08 Sept 2026matures 08 Mar 2027
Navi FinservINE342T14HN9CP365d₹15 cr10.50%07 Sept 2026matures 07 Sept 2027
Navi FinservINE342T14HM1CP91d₹200 cr9.79%01 Sept 2026matures 01 Dec 2026
Navi FinservINE342T14HL3CP181d₹11 cr9.75%25 Aug 2026matures 22 Feb 2027
Navi FinservINE342T14HK5CP360d₹25 cr10.80%24 Aug 2026matures 19 Aug 2027
Navi FinservINE342T14HJ7CP98d₹10 cr9.60%21 Aug 2026matures 27 Nov 2026
Navi FinservINE342T14HI9CP365d₹165 cr9.80%13 Aug 2026matures 13 Aug 2027
Outstanding instruments81

81 securities

The latest agency surveillance grade where one is on record; otherwise the grade at issue. A rating can migrate after issuance, so the two can differ.
Navi FinservINE342T08070NCD
A11.90%31 Dec 20304.3y left12.31%
Navi FinservINE342T07569NCD
A10.60%21 May 20278mo left11.91%
Navi FinservINE342T07643NCD
A10.00%30 Oct 20262mo left11.37%
Navi FinservINE342T07668NCD
A10.75%31 Dec 20282.3y left11.31%
Navi FinservINE342T08096NCD
A11.50%28 Nov 20315.2y left11.28%
Navi FinservINE342T07700NCD
A10.75%13 Nov 20282.2y left11.16%
Navi FinservINE342T07635NCD
A10.30%30 Sept 20271.1y left11.00%
Navi FinservINE342T07684NCD
A10.30%31 May 20281.7y left10.96%
Navi FinservINE342T07650NCD
A10.00%31 Jan 20275mo left10.84%
Navi FinservINE342T07619NCD
A10.00%25 Mar 20277mo left10.84%
Navi FinservINE342T07718NCD
A10.30%31 Mar 20281.6y left10.80%
Navi FinservINE342T07494NCD
A10.50%18 Jun 20279mo left10.75%
Navi FinservINE342T07510NCD
A10.40%13 Nov 20262mo left10.70%
Navi FinservINE342T07726NCD
A10.75%31 Aug 20293.0y left10.69%
Navi FinservINE342T07601NCD
A10.75%19 Aug 20281.9y left10.60%
Navi FinservINE342T07627NCD
A10.20%05 Aug 202711mo left10.60%
Navi FinservINE342T07544NCD
A10.75%31 Dec 20271.3y left10.50%
Navi FinservINE342T07445NCD
A11.19%13 Mar 20276mo left10.20%
Navi FinservINE342T07429NCD
A10.25%31 Dec 20264mo left10.00%
Navi FinservINE342T07536NCD
A10.50%27 Aug 202712mo left9.80%
Navi FinservINE342T14GH3CP
A121 Jul 202617d left9.75%
Navi FinservINE342T07460NCD
A10.65%13 Mar 20276mo left8.85%
Navi FinservINE342T14GD2CP
A109 Jul 20265d left
Navi FinservINE342T14GE0CP
A110 Jul 20266d left
Navi FinservINE342T14DQ1CP
A113 Jul 20269d left

125 of 81

1 / 4

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

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