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NAVI FINSERV LIMITED
INE342T07643A
Share
10.50%
YTM
10.00%
Coupon Rate
Oct 2026
Maturity Date
7M
Time to Maturity
₹10,000
Min Investment
1
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Bond Details
ISININE342T07643
IssuerNAVI FINSERV LIMITED
Bond TypeSenior Secured Bond
Security Type-
Face Value₹10,000
Coupon Rate10.00% per annum
Interest PaymentMonthly
Issue Date26 Aug 2025
Maturity Date30 Oct 2026
Tax TreatmentTaxable (Interest + Capital Gains)
Risk Assessment
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 YTM10.50%
Tax on Interest20% (Slab Rate)
LTCG Tax12.5% (if held >1yr)
Post-Tax Return (Est.)~8.4%
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 (N/A)
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.