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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

12.32%

latest traded

Trading now

17

of 62 live

Instruments

62

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 issued13

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 FinservINE342T14HC2CP243d₹5 cr9.45%17 Jul 2026matures 17 Mar 2027
Navi FinservINE342T14HB4CP180d₹10 cr10.05%16 Jul 2026matures 12 Jan 2027
Navi FinservINE342T14HA6CP357d₹25 cr10.80%14 Jul 2026matures 06 Jul 2027
Navi FinservINE342T14GZ5CP171d₹45 cr9.50%13 Jul 2026matures 31 Dec 2026
Navi FinservINE342T07635NCD444d₹40 cr10.30%13 Jul 2026matures 30 Sept 2027
Navi FinservINE342T07718NCD627d₹100 cr10.30%13 Jul 2026matures 31 Mar 2028
Navi FinservINE342T07684NCD688d₹130 cr10.30%13 Jul 2026matures 31 May 2028
Navi FinservINE342T07726NCD1145d₹100 cr10.75%13 Jul 2026matures 31 Aug 2029
Outstanding instruments62

62 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 20304.4y left12.32%
Navi FinservINE342T07536NCD
A10.50%27 Aug 20271.1y left11.28%
Navi FinservINE342T07429NCD
A10.25%31 Dec 20265mo left11.09%
Navi FinservINE342T07569NCD
A10.60%21 May 202710mo left11.08%
Navi FinservINE342T07601NCD
A10.75%19 Aug 20282.1y left11.03%
Navi FinservINE342T07460NCD
A10.65%13 Mar 20278mo left11.00%
Navi FinservINE342T07650NCD
A10.00%31 Jan 20276mo left10.84%
Navi FinservINE342T07627NCD
A10.20%05 Aug 20271.0y left10.84%
Navi FinservINE342T07668NCD
A10.75%31 Dec 20282.4y left10.83%
Navi FinservINE342T07544NCD
A10.75%31 Dec 20271.4y left10.83%
Navi FinservINE342T07643NCD
A10.00%30 Oct 20263mo left10.79%
Navi FinservINE342T07445NCD
A11.19%13 Mar 20278mo left10.74%
Navi FinservINE342T07510NCD
A10.40%13 Nov 20264mo left10.25%
Navi FinservINE342T07494NCD
A10.50%18 Jun 202711mo left10.06%
Navi FinservINE342T07577NCD
A10.60%10 Sept 20262mo left10.00%
Navi FinservINE342T14GH3CP
A121 Jul 202617d left9.75%
Navi FinservINE342T07619NCD
A10.00%25 Mar 20278mo left9.74%
Navi FinservINE342T14GD2CP
A109 Jul 20265d left
Navi FinservINE342T14GE0CP
A110 Jul 20266d left
Navi FinservINE342T14DQ1CP
A113 Jul 20269d left
Navi FinservINE342T14FK9CP
A116 Jul 202612d left
Navi FinservINE342T14FG7CP
A117 Jul 202613d left
Navi FinservINE342T14FM5CP
A120 Jul 202616d left
Navi FinservINE342T14GL5CP
A127 Jul 202623d left
Navi FinservINE342T14FO1CP
A129 Jul 202625d left

125 of 62

1 / 3

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

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