Security Name:9.10%Piramal Finance Limited 23 Feb 2035
ISIN: INE140A07815
Clean Price
Yield (YTM)
To know more about the Bond and the issuer, download the Information Memorandum.
To read about the reasons for the ratings assigned to the Bond, download the Rating Rationale.
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BOND VALUE DETAILS
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Cashflow for INE140A07815
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
9.10% Piramal Finance Limited 23 Feb 2035
Credit Rating
AA Stable by ICRA AA Stable by CARE
Coupon Frequency
Yearly
Face Value
₹1,00,000
Coupon
9.100000%
YTM or YTC
YTM
Maturity Date
23/02/2035
Security
Senior Secured
No. of Bonds
1
Settlement Date
Mar 18,2026
Principal Amount
₹1,05,044.1
Accrued Interest
₹0
Stamp Duty
₹0
Total Amount Payable
₹1,05,044.1
Price
₹105.0441
Yield
0%
Year
Payment Date
Amount
Amount after TDS
Payout 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.