Taxable
Tax Category
03 Dec, 2026
Maturity Date
(1 Yr 3 Mo 19 D to mature)
Quarterly
Interest Payment Frequency
Yes
NRI Eligibility
03 Dec, 2024
Allotment Date
NA
Put Date
02 Sep, 2025
Next Interest Payment Date
15 days
Shut Period
Both
Active on NSDL/CDSL
Non-Guaranteed
Type of Guarantee
No
Perpetual
Private Placement
Mode of Issue
Listed
Listing Details
Non Public Sector Undertaking
Type of Issuer
Quote Not Available
Dirty Price
9.8%
Coupon
Fixed Interest
Coupon Basis
Quote Not Available
Current Yield
18 Aug, 2025
Record Date
Error Generating Cashflow 😥. We are looking into this.
Repayment Priority
Higher the level, higher the priority of investment repayment on default
Security with Collateral?
An investment secured with collateral helps
IIFL Finance Limited is one of the leading players in the Indian financial services space. IIFL Finance Limited was engaged in the business of financing, asset and wealth management, retail and institutional broking, financial products distribution and investment banking through its various subsidiaries.
The ratio in FY25 is 15.79x and it was 7.12x in FY24, indicating a significant rise in debt levels due to losses incurred by the issuer in FY25.
Debt/EBITDA
The ratio in FY25 is 0.70x and it was 1.43x in FY24, indicating a decrease in debt servicing ability of the issuer due to increase in interest expenses which led to overall rise in Finance cost in FY25.
Interest coverage ratio
Aug 29, 2024 | IIFL Finance Limited
Jul 10, 2025 | IIFL Finance Limited
Jan 21, 2025 | IIFL Finance Limited
Select the number of units below
BOND VALUE DETAILS
Cashflow for INE530B07419 |
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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). |
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Security Name |
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9.80% IIFL Finance Limited 03 Dec 2026 |
Credit Rating |
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AA / Stable by CRISIL |
Coupon Frequency |
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Quarterly |
Face Value |
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₹1,00,000 |
Coupon |
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9.800000% |
YTM or YTC |
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YTM |
Maturity Date |
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03/12/2026 |
Security |
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Senior Secured |
No. of Bonds |
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1 |
Settlement Date |
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Principal Amount |
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₹NaN |
Accrued Interest |
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₹0 |
Stamp Duty |
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₹0 |
Total Amount Payable |
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₹NaN |
Price |
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₹NaN |
Yield |
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% |
Year | Payment Date | Amount | Amount after TDS | Payout Type |
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Quote Not Available for purchase
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.