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NAVI FINSERV LIMITED
INE342T07569A (CRISIL)Senior Secured Bond - SECURED
Share
10.75%
YTM
10.60%
Coupon Rate
May 2027
Maturity Date
1.1Y
Time to Maturity
₹10,000
Min Investment
1
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Bond Details
ISININE342T07569
IssuerNAVI FINSERV LIMITED
Bond TypeSenior Secured Bond
Security TypeSECURED
Face Value₹10,000
Coupon Rate10.60% per annum
Interest PaymentMonthly
Issue Date21 Feb 2025
Maturity Date21 May 2027
Tax TreatmentTaxable (Interest + Capital Gains)
Risk Assessment
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 YTM10.75%
Tax on Interest20% (Slab Rate)
LTCG Tax12.5% (if held >1yr)
Post-Tax Return (Est.)~8.6%
Calculator results are estimates. Actual returns may vary. Consult a tax professional for personalized advice.
About the Issuer
CompanyNAVI FINSERV LIMITED
SectorPersonal Loans
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.