senior secured

TREASURE TREE INVESTMENTS LIMITED

TREASURE TREE INVESTMENTS LIMITED SR 225 14.12 NCD 30OT27 FVRS1000

Private IssueActive
ISIN - INE0D7Q07EQ1
Allotment Date
2022-08-31
Business Sector
-
Coupon Rate
14.12 %
Credit Rating
-
Face Value
₹ 1,000
Instrument Type
DEBENTURES
Interest Repayment
On Maturity
Issue Size
₹ 18,15,000
Issuer Nature
Other
Issuer Ownership
Non PSU
Redemption Date
2027-10-30
Series
225
Taxability
Taxable
Time left for Maturity
4 years ~7 months
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