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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 issuedEach 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.
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 FinservINE342T14HP4CP | 91d | ₹10 cr | 9.50% | 09 Sept 2026matures 09 Dec 2026 |
| Navi FinservINE342T14HO7CP | 181d | ₹11 cr | 9.80% | 08 Sept 2026matures 08 Mar 2027 |
| Navi FinservINE342T14HN9CP | 365d | ₹15 cr | 10.50% | 07 Sept 2026matures 07 Sept 2027 |
| Navi FinservINE342T14HM1CP | 91d | ₹200 cr | 9.79% | 01 Sept 2026matures 01 Dec 2026 |
| Navi FinservINE342T14HL3CP | 181d | ₹11 cr | 9.75% | 25 Aug 2026matures 22 Feb 2027 |
| Navi FinservINE342T14HK5CP | 360d | ₹25 cr | 10.80% | 24 Aug 2026matures 19 Aug 2027 |
| Navi FinservINE342T14HJ7CP | 98d | ₹10 cr | 9.60% | 21 Aug 2026matures 27 Nov 2026 |
| Navi FinservINE342T14HI9CP | 365d | ₹165 cr | 9.80% | 13 Aug 2026matures 13 Aug 2027 |
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 | A | 11.90% | 31 Dec 20304.3y left | 12.31% |
Navi FinservINE342T07569NCD | A | 10.60% | 21 May 20278mo left | 11.91% |
Navi FinservINE342T07643NCD | A | 10.00% | 30 Oct 20262mo left | 11.37% |
Navi FinservINE342T07668NCD | A | 10.75% | 31 Dec 20282.3y left | 11.31% |
Navi FinservINE342T08096NCD | A | 11.50% | 28 Nov 20315.2y left | 11.28% |
Navi FinservINE342T07700NCD | A | 10.75% | 13 Nov 20282.2y left | 11.16% |
Navi FinservINE342T07635NCD | A | 10.30% | 30 Sept 20271.1y left | 11.00% |
Navi FinservINE342T07684NCD | A | 10.30% | 31 May 20281.7y left | 10.96% |
Navi FinservINE342T07650NCD | A | 10.00% | 31 Jan 20275mo left | 10.84% |
Navi FinservINE342T07619NCD | A | 10.00% | 25 Mar 20277mo left | 10.84% |
Navi FinservINE342T07718NCD | A | 10.30% | 31 Mar 20281.6y left | 10.80% |
Navi FinservINE342T07494NCD | A | 10.50% | 18 Jun 20279mo left | 10.75% |
Navi FinservINE342T07510NCD | A | 10.40% | 13 Nov 20262mo left | 10.70% |
Navi FinservINE342T07726NCD | A | 10.75% | 31 Aug 20293.0y left | 10.69% |
Navi FinservINE342T07601NCD | A | 10.75% | 19 Aug 20281.9y left | 10.60% |
Navi FinservINE342T07627NCD | A | 10.20% | 05 Aug 202711mo left | 10.60% |
Navi FinservINE342T07544NCD | A | 10.75% | 31 Dec 20271.3y left | 10.50% |
Navi FinservINE342T07445NCD | A | 11.19% | 13 Mar 20276mo left | 10.20% |
Navi FinservINE342T07429NCD | A | 10.25% | 31 Dec 20264mo left | 10.00% |
Navi FinservINE342T07536NCD | A | 10.50% | 27 Aug 202712mo left | 9.80% |
Navi FinservINE342T14GH3CP | A1 | — | 21 Jul 202617d left | 9.75% |
Navi FinservINE342T07460NCD | A | 10.65% | 13 Mar 20276mo left | 8.85% |
Navi FinservINE342T14GD2CP | A1 | — | 09 Jul 20265d left | — |
Navi FinservINE342T14GE0CP | A1 | — | 10 Jul 20266d left | — |
Navi FinservINE342T14DQ1CP | A1 | — | 13 Jul 20269d left | — |
1–25 of 81
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.
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