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NAVI FINSERV LIMITED 31/Dec/2027

INE342T07544A (CRISIL)Corporate Bonds - Senior Secured
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INE342T07544 is a Corporate Bonds issued by NAVI FINSERV LIMITED 31/Dec/2027, rated A. As of 30 Aug 2026, it offers up to 10.65% yield to maturity with a minimum investment of ₹10,000, listed on 3 platforms tracked by BondDekho.

10.65%
YTM
10.75%
Coupon Rate
Dec 2027
Maturity Date
1.3Y
Time to Maturity
₹10,000
Min Investment
3
Platforms

Compare Across Platforms

StableMoney bond investment platform logo
StableMoney
Highest YTM
10.65%
YTM
₹10,000
Price
₹10,000
Min Invest
View on StableMoney
WintWealth bond investment platform logo
WintWealth
10.50%
YTM
₹10,015
Price
₹10,000
Min Invest
View on WintWealth
TheFixedIncome bond investment platform logo
TheFixedIncome
10.75%
Coupon
₹10,000
Price
₹10,000
Min Invest
View on TheFixedIncome

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Bond Details

INE342T07544
IssuerNAVI FINSERV LIMITED 31/Dec/2027
Corporate Bonds
Security TypeSenior Secured
₹10,000
10.75% per annum
Monthly
Issue Date13 Jan 2025
31 Dec 2027
Taxable (Interest + Capital Gains)

Frequently Asked Questions

What is INE342T07544?

INE342T07544 is a Corporate Bonds issued by NAVI FINSERV LIMITED 31/Dec/2027 with a A credit rating. It offers a coupon rate of 10.75%. Maturity date: 2027-12-31.

What is the YTM of INE342T07544?

The current yield to maturity (YTM) for NAVI FINSERV LIMITED 31/Dec/2027 (INE342T07544) is up to 10.65%, available across 3 platforms on BondDekho.

What is the coupon rate of NAVI FINSERV LIMITED 31/Dec/2027 bond INE342T07544?

NAVI FINSERV LIMITED 31/Dec/2027 (INE342T07544) has a coupon rate of 10.75%. Interest is paid monthly.

What is the minimum investment for INE342T07544?

The minimum investment for NAVI FINSERV LIMITED 31/Dec/2027 (INE342T07544) starts from ₹10,000. Compare prices across 3 platforms on BondDekho.

Risk Assessment

INE342T07544 is a Corporate Bonds from NAVI FINSERV LIMITED 31/Dec/2027, rated A. Key risk factors:

Secured

Backed by collateral. Priority in repayment.

Interest Rate Risk

Bond prices may fall if interest rates rise.

Liquidity Risk

May be difficult to sell before maturity.

Tax-Adjusted Returns

Pre-Tax YTM10.65%
Tax on Interest20% (Slab Rate)
LTCG Tax12.5% (if held >1yr)
Post-Tax Return (Est.)~8.5%

Calculator results are estimates. Actual returns may vary. Consult a tax professional for personalized advice.

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About the Issuer

NAVI FINSERV LIMITED 31/Dec/2027 is an NBFC-sector bond issuer rated A by CRISIL.

CompanyNAVI FINSERV LIMITED 31/Dec/2027
SectorNBFC
Credit RatingA (CRISIL)

Disclaimer: Bond data is sourced from public sources and third-party platforms. Verify all details on the respective platform before investing. Yields are indicative and not guaranteed. This is not investment advice.

NAVI FINSERV LIMITED 31/Dec/2027 10.75% Corporate Bonds A (INE342T07544) | BondDekho