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NAVI FINSERV LIMITED

Adequate Safety

Adequate Safety

ISIN

INE342T07569

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Essentials - Secured - Regular Bond/Debenture

Coupon Rate (Returns)

10.6000 %

Rating

Ind-Ra  A

Interest Payment Frequency

MONTHLY

Twelve Times A Year

Maturity Date

May 21, 2027

1 years 10 months

Last Traded
Yield to Maturity (YTM)*

11.4936 % Effective Returns

Security Class

Debentures

Next Interest Payment Date

Aug 21, 2025

Allotment Date

Feb 21, 2025

Call date

-

Put date

-

Coupon Type

Fixed Interest

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Bond Value Details

Face Value

₹ 10,000.00

Market value

₹ 9,959.26

Indicative Principal Amount

(Last Offered Market value * no. of bonds)

₹ 9,959.26

Indicative Accrued Interest till Jul 14, 2025

(Interest earned on the bond this year)

-20

Total Investment

₹ 9,938.93

×

Catalyst Trusteeship Limited (Formerly GDA Trusteeship Limited)

Issue Details

Issue Size

₹ 50 Crores

Private Placement

Listing details

Yes

Debenture Trustee

Catalyst Trusteeship Limited (Formerly GDA Trusteeship Limited)

Issuer Details

NAVI FINSERV LIMITED

Business Sector

Finance

-

Registrar Details

-

Ownership

Non PSU

Security Name

NAVI FINSERV LIMITED 10.6 NCD 21MY27 FVRS10000

NAVI FINSERV LIMITED 10.6 NCD 21MY27 FVRS10000

NAVI FINSERV LIMITED 10.6 NCD 21MY27 FVRS10000

Factors

Yield

High

Issue Size

Large

Rating Category*

A

Tax Saving

No

Mode of Issuance

Private Placement

*Rating Agency -Ind-Ra

*as on 11th July, 2025

Please note this bond is currently in shut period.

*What is an After Market Order (AMO)?

After Market Order (AMO) is a request from the client to place an order when market opens on next trading day on the RFQ (one to one) segment of Exchange based on the terms selected by the client.

Note: Pursuant to the provisions of Section 193 of Income Tax Act, 1961, as amended, with effect from, 1st April 2023, TDS will be deducted @ 10% on any interest payable on any security issued by a company (i.e. securities other than securities issued by the Central Government or a State Government).The listing of products above should not be considered an advertisement, endorsement or recommendation to invest. Please use your own discretion before you transact. The listed products and their price or yield are subject to availability and market cutoff times.

Factors

Yield

High

Issue Size

Large

Rating Category*

A

Tax Saving

No

Mode of Issuance

Private Placement

*Rating Agency - Ind-Ra

What can I earn?

Your investment will yield regular returns across the tenure

Download Cashflow


Your Investment

₹ ₹ 9,938.93


Indicative
Principal Amount

₹ ₹ 9,959.26

+

Indicative
Accrued Interest

₹ -20

Final Payout


Indicative
Principal Payout

₹ ₹ 9,938.93

+

Indicative
Interest Payout

₹ 1,943.000000

Year

Payment Schedule (Date)

Interest Payout (₹)

2025

Monthly

₹ 0

2025

21 Aug

₹ 90.03

2025

21 Sep

₹ 90.03

2025

21 Oct

₹ 87.12

2025

21 Nov

₹ 90.03

2025

21 Dec

₹ 87.12

2026

Monthly

₹ 0

2026

21 Jan

₹ 90.03

2026

21 Feb

₹ 90.03

2026

21 Mar

₹ 81.32

2026

21 Apr

₹ 90.03

2026

21 May

₹ 87.12

2026

21 Jun

₹ 90.03

2026

21 Jul

₹ 87.12

2026

21 Aug

₹ 90.03

2026

21 Sep

₹ 90.03

2026

21 Oct

₹ 87.12

2026

21 Nov

₹ 90.03

2026

21 Dec

₹ 87.12

2027

Monthly

₹ 0

2027

21 Jan

₹ 90.03

2027

21 Feb

₹ 90.03

2027

21 Mar

₹ 81.32

2027

21 Apr

₹ 90.03

2027

21 May

₹ 10,000.00

Your Investment

Total Investment

₹ 9,938.93

Final Payout

Total Payout

11,943.000000

2025

2026

2027

Final Payout

Total Payout

11,943.000000

Download Cashflow

Know this Issuer

It's essential to understand the issuer of the bonds where you're investing your money.

Navi Finserv Limited

Navi Finserv Limited (NFL) offers lending products such as personal loans and home loans under the Navi brand.

Financial Performance

Particulars Q3 FY25 (₹ in cr) FY24 (₹ in cr) FY23 (₹ in cr)
NNPA% 0.40 0.23 0.21
REVENUE 1771 2614 1377
CRAR% 30.39 28.42 28.37
GNPA% 2.47 1.87 1.19
Net Worth 3126 2934 2270
PAT 192 669 172

Healthy capitalisation

Adequate risk management systems

Diversified resource profile

Strong Liquidity

Average profitability

Susceptibility of asset quality given unsecured nature of loans

What is my risk?

Each bond is regularly evaluated by multiple reputed rating agencies

Credit Rating

A

(Dec 11, 2024)

Instruments with this rating are considered to have adequate degree of safety regarding timely servicing of financial obligations. Such instruments carry low credit risk.

Credit Outlook

Stable

A Stable outlook indicates that the Rating is likely to remain unchanged

Rating Watch

Under Watch

Not Applicable

Not Applicable

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Repayment Priority

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

Senior

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Security with Collateral?

An investment secured with collateral helps

SECURED

UNSECURED

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Type of Guarantee

Guarantee of investment by third-party if company defaults

GUARANTEED

NON GUARANTEED

PARTIAL GUARANTEED

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Want to know more?

Download Issue Documents (Information Memorandum / Termsheet / General Information Document / Key Information Document)

How do I buy this bond?

You can follow the steps mentioned to complete your Purchase.

How do I buy this bond?

You can follow the steps mentioned to complete your Purchase.

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