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Security Name: 10.25% Shri Ram Finance Corporation Private Limited 01 Apr 2028

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ISIN: INE08E807100

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Taxable

Tax Category

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01 Apr, 2028

Maturity Date
(2 Yr 3 Mo 21 D to mature)

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Monthly

Interest Payment Frequency

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No

NRI Eligibility

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01 Oct, 2025

Allotment Date

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NA

Put Date

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01 Jan, 2026

Next Interest Payment Date

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15 days

Shut Period

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Both

Active on NSDL/CDSL

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Guaranteed

Type of Guarantee

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No

Perpetual

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Private Placement

Mode of Issue

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Listed

Listing Details

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Non Public Sector Undertaking

Type of Issuer

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₹NaN

Dirty Price

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10.25%

Coupon

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Fixed Interest

Coupon Basis

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10.2903%

Current Yield

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17 Dec, 2025

Record Date

YOUR EARNING

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Your Investment

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Final Payout

₹0

Error Generating Cashflow 😥. We are looking into this.

*All Interest Payments will be subject to TDS (Not Applicable on Government Securities and Tax Free Bonds)

YOUR RISK

Credit Rating
Low SafetyHigh Safety
Senior

Repayment Priority

Higher the level, higher the priority of investment repayment on default

Secured

Security with Collateral?

An investment secured with collateral helps

ISSUER

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Shri Ram Finance Corporation Private Limited

Raipur (Chhattisgarh) based, SRFCPL was incorporated in 2004 as a Non-Deposit-taking Non-Banking Financial Company (ND-NBFC). Subsequently, it started lending business in 2008 upon receiving an NBFC license. SRFCPL is engaged in extending two wheeler financing, secured and unsecured loans towards SME borrowers and personal loans to government employees. The company primarily operates in eight states namely Chhattisgarh, Madhya Pradesh, Odisha, Jharkhand, Maharashtra, Rajasthan, Andhra Pradesh and Uttar Pradesh through a network of 240 branches as on March 31, 2025.

The ratio in FY25 is 5.58x and it was 5.86x in FY24, indicating a slight decrease in debt levels due to consistent growth in AUM and disbursements, an adequate capital structure and profitability, and a healthy resource-raising ability.

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Debt/EBITDA

The ratio in FY25 is 1.57x and it was 1.66x in FY24, indicating decrease in the debt servicing ability of the issuer due to increase in the interest expenses which led to overall increase in the finance cost.

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Interest coverage ratio

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STEPS TO BUY THIS BOND

Complete KYCe-KYC approval in just 5 minutes!Place your OrderSwipe right to buy this Bond.Transfer funds to ICCLUse Net Banking or visit your nearest branch.SettlementSit back and relax, while we deliver your Security!

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Bank Account Proof

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Demat Account Proof

How to exit the investment?

At MaturityThe Issuer will return your principal and redeem the bond
Sell your bond anytimeYou can sell your bond anytime you want by reaching out to your Relationship Manager.
E-Book

To know more about the Bond and the issuer, download the Information Memorandum.

E-Book

To read about the reasons for the ratings assigned to the Bond, download the Rating Rationale.

Clean Price
Yield (YTM)
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BOND VALUE DETAILS

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Total Investment
Cashflow for INE08E807100
Disclaimer: The actual dates and interest amounts can vary depending on Bank closures, holidays etc. Tax Deducted at Source (TDS) is applicable on interest receivable based on relevant tax regulations. You can avail TDS credit while filing your Income Tax Return (ITR).
Security Name
10.25% Shri Ram Finance Corporation Private Limited 01 Apr 2028
Credit Rating
Coupon Frequency
Monthly
Face Value
₹1,00,000
Coupon
10.250000%
YTM or YTC
YTM
Maturity Date
01/04/2028
Security
Senior Secured
No. of Bonds
1
Settlement Date
Dec 10,2025
Principal Amount
₹99,608.7
Accrued Interest
₹0
Stamp Duty
₹0
Total Amount Payable
₹99,608.7
Price
₹99.6087
Yield
0%
YearPayment DateAmountAmount after TDSPayout Type

Disclaimer: Investments in Debt Securities/ Municipal Debt Securities/ Securitised Debt Instruments are subject to risks including delay and/ or default in payment. Read all the Offer Related documents carefully.

Source: Issuer website, Rating Rationale, Issuer Annual Report, Information Memorandum and News from Google.

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